Case Title: State of Missouri, Respondent vs. Donald R. Nash, Appellant.

Citation: 

Docket Number: SC90649

State: missouri

Court: Missouri Supreme Court

Date: 2011-05-17T00:00:00Z

Document:
SUPREME COURT OF MISSOURI 
en banc 
 
 
 
STATE OF MISSOURI,   
 
 
) 
 
 
 
 
 
 
 
) 
 
Respondent,  
 
 
 
) 
 
 
 
 
 
 
 
) 
v. 
 
 
 
 
 
 
) 
No. SC90649 
 
 
 
 
 
 
 
) 
DONALD R. NASH, 
 
 
 
) 
 
 
 
 
 
 
 
) 
 
Appellant. 
 
 
 
 
) 
 
APPEAL FROM THE CIRCUIT COURT OF CRAWFORD COUNTY 
The Honorable Douglas E. Long, Judge 
 
Opinion issued May 17, 2011 
 
A jury found Donald Nash guilty of capital murder in violation of section 
565.001, RSMo 1978, for the 1982 killing of Judy Spencer.  He was sentenced to 
life imprisonment without the possibility for probation or parole for 50 years.   
He appeals, asserting that he was wrongly convicted under section 565.001, 
RSMo 1978, because he argues that this statute was repealed in 1983 and that no 
other statute replaced it to criminalize the murder with which he was charged.  He 
also maintains that his conviction should be reversed because it rests on 
1 
 
2 
 
                                                
insufficient evidence, he was not allowed to offer a circumstantial evidence jury 
instruction, and the trial court excluded his evidence that another person 
committed the murder. 
Because this Court finds no reversible errors in Nash’s case, the judgment 
is affirmed.1 
I.  Background 
 
Judy Spencer was killed on the morning of March 11, 1982,2 in a rural area 
near Salem, where Judy lived with her boyfriend, Nash.  On the night before 
Judy’s death, there had been “a large party” in the area where her body was 
found.3  Judy’s body had been dragged to and dumped in the foundation of an 
abandoned outhouse and then covered with tree branches and logs.  She had been 
strangled with a shoelace from her shoe and, then, after she died, had been shot in 
the neck with a shotgun.  Some of her clothing had been strewn in the woods near 
her body, which was discovered partially clothed.  It later was determined, 
however, that there was no evidence of sexual contact or a sexual assault.   
 
1 As discussed further below, the State conceded to Nash’s assertions that jurisdiction 
over this appeal is vested in this Court pursuant to Mo. Const. art. V, sec. 3. 
2 The defense suggests that the time of death was established as 9:10 a.m., the time that 
Judy’s watch had stopped working.  The State, however, argues that there is no 
evidentiary basis for Nash’s insistence that the time of death was 9:10 a.m. March 11.    
The State’s pathologist testified that he could not determine the time of death to a 
reasonable degree of scientific certainty.   
3 Judy’s purse was found in a creek bed one-tenth to one-half of a mile away from where 
her body was found, and her car was discovered about 30 minutes away.  Her car had 
gone down a steep embankment and was stuck in the mud, and it appeared that someone 
had tried to drive it back onto the road.  Beer bottles and cans were found in the interior 
of the car, and the keys were on the console.  The car was thought to have been there 
since sometime between 9 p.m. March 10 and 7:30 a.m. March 11.  
 
On the day before Judy’s death, March 10, she had spent the afternoon and 
evening drinking4 and driving around with her friends, including Janet Jones.  
Judy lied to Nash about drinking that night, saying she was out of town when she 
actually was drinking at Janet’s apartment.  Nash went to Janet’s apartment to 
switch cars with Judy, and Janet observed Nash throw Judy’s car keys toward her.  
Judy told Janet that Nash had told her, “This is the last time you’ll ever lie to me, 
bitch.” Judy also told Janet, “[Nash] thinks I’m ugly.  He doesn’t like my hair.”  
 
Janet testified that Judy washed and restyled her hair in Janet’s sink after 
talking with Nash that night.  Judy went to the home she shared with Nash, and 
Judy and Nash argued about drinking.  Judy then returned to Janet’s apartment.  
Later in the evening, Judy drove off mad and upset, saying she was going to 
Houston, Missouri.   
 
Nash later told the state trooper who informed him of Judy’s death that he 
had looked for Judy at some time after 8 p.m. March 10.  He stated that he had 
looked for her at the Legion Hall and at the hospital and then had stayed home the 
rest of the night and did not leave until the next morning.  Judy’s friend, Christine 
Colvin, however, testified at trial that she had seen Nash driving through the 
parking lot of Janet’s apartment complex between 11 p.m. and midnight March 10. 
 
Janet also had searched briefly for Judy on the night of March 10.  She 
recalled that Nash had called her around 8:30 p.m., 9:30 p.m., and 10 p.m. that 
night, stating that he loved Judy and was worried for her safety.  The next day at 
                                                 
4 Judy’s post-mortem blood alcohol content was 0.18 percent. 
3 
 
5:45 a.m., Janet called Nash, who had requested the previous night that she call 
him so he would not be late to work.  Nash called Janet twice later that morning, 
again stating that he was worried and looking for Judy.  He said that he was 
concerned that Judy would drink and drive and he feared that she would be in an 
accident or be arrested.   
 
Nash also called Judy’s mother, whom he had never called before, on the 
morning of March 11.  He asked if Judy was at her mother’s house, and when she 
said “no,” he said “I won’t keep you then.”  He told Judy’s mother that he was 
calling from the telephone at his work and stated that he was looking for Judy.    
 
In the afternoon on March 11, Nash and Janet left Salem and went to look 
for Judy in Houston.  Nash continued to express that he was concerned for Judy.  
When Nash and Janet later returned to Salem and went to check Nash and Judy’s 
answering machine, they received a call to come to the hospital, where they were 
informed that Judy had died.  Janet had to be sedated, and Nash became upset and 
cried.  Janet and Nash were interviewed separately by investigators, who did not 
provide details about Judy’s death.  Nash described Judy’s drinking the night 
before, and he detailed what she had been wearing when he last saw her.      
 
Janet testified at trial that Nash later appeared heartbroken because of 
Judy’s death.  But testimony also revealed that he was involved with another 
woman within a week of Judy’s death. 
   
When Judy’s death initially was investigated in 1982, no blood or tissue 
was found under her fingernails, and no physical evidence linked Nash to the 
4 
 
crime scene.  He was fingerprinted and was swabbed for gunshot residue, but no 
gunshot residue was found.  He also did not have scratches or marks that would 
have been consistent with being involved in a physical altercation.  There was also 
no evidence that the tire tracks located in the area where Judy’s body was 
discovered matched Nash’s truck.   
 
In May 1982, at the request of law enforcement, Janet recorded a 
conversation that she had with Nash discussing Judy’s death.  Janet told Nash that 
she suspected he was involved in Judy’s death.  He stated that he did not have an 
alibi for the night of March 10, and Janet did not ask him about having an alibi for 
the morning of March 11.  He admitted that he had been angry with Judy on the 
night of March 10, but he also stated, “I’m innocent.  They’re on the wrong track.  
They’re not going to catch the right guy.”   
 
Judy’s case laid dormant until 2007, when Judy’s sister requested that 
investigators renew the investigation.  Investigators then requested a DNA sample 
from Nash to compare to DNA evidence found on fingernail clippings taken from 
Judy’s body in 1982.  He voluntarily gave a DNA sample, and testing revealed 
that his DNA was found under the fingernails of Judy’s left hand.  No DNA 
profile or evidence of a third person was detected under Judy’s fingernails (only 
Judy’s DNA and Nash’s DNA was detected). 
 
An information was filed charging Nash with the class A felony of capital 
murder in violation of section 565.001, RSMo 1978, and punishable under section 
565.008.1, RSMo 1978.  A jury trial was held, and jurors heard testimony about 
5 
 
the events of March 10 and 11, 1982, and about the DNA evidence.  The jury 
found Nash guilty, and the court sentenced him to life imprisonment with no 
chance for probation or parole for 50 years.  This Court now considers his appeal. 
II. Jurisdiction 
 
Nash’s jurisdictional statement asserts that this Court has exclusive 
jurisdiction over his appeal pursuant to Mo. Const. art. V, sec. 3, because he 
challenges that his conviction under section 565.001, RSMo 1978, violates Mo. 
Const. art. III, sec. 28, which provides: 
No act shall be revived or reenacted unless it shall be set forth at 
length as if it were an original act.  No act shall be amended by 
providing that words be stricken out or inserted, but the words to be 
stricken out, or the words to be inserted, or the words to be stricken 
out and those inserted in lieu thereof, together with the act or section 
amended, shall be set forth in full as amended. 
 
 
His jurisdictional statement argues that the “statutes under which [he] was 
charged, tried and convicted are and at all times pertinent hereto were invalid” 
because the 1983 repeal of section 565.001, RSMo 1978, “was not accompanied 
or followed by [a] revival or reenactment of the repealed pre-October 1, 1984 
[c]apital [m]urder statute, which revival or reenactment is prescribed by Article 
III, section 28 of the Constitution of Missouri.”   
 
But outside of these assertions in his jurisdictional statement, Nash’s brief 
and reply brief do not discuss his challenge to his conviction in light of Mo. Const. 
6 
 
art. III, sec. 28.5  And, because he failed to raise his arguments as to violations of 
Mo. Const. art. III, sec. 28 in his points on appeal, these arguments are deemed 
waived.  See Brizendine v. Conrad, 71 S.W.3d 587, 593 (Mo. banc 2002) (noting 
that an argument not set out in the point relied on and merely referenced in the 
argument is non-compliant with Rule 84.04(d) and considered abandoned by this 
Court).  This Court will not review a party’s constitutional arguments that are not 
explained.  See, e.g., Leahy v. Leahy, 858 S.W.2d 221, 228 (Mo. banc 1993) 
(citing Big Boys Steel Erection, Inc. v. Hercules Const. Co., 765 S.W.2d 684, 687 
(Mo. App.1989), for the proposition that appellate review is not warranted when 
“‘references are merely bald statements without supporting argument’” and 
“‘assertions made without reasoning’”).    
 
Despite Nash’s failure to maintain his argument invoking this Court’s 
exclusive jurisdiction, the State’s jurisdictional statement concedes that 
“jurisdiction is vested in the Supreme Court of Missouri” pursuant to Mo. Const. 
art. V, sec. 3, because Nash “does challenge his conviction as being in violation of 
[Mo. Const. art. III, sec. 28].”  This concession to jurisdiction, however, is 
insufficient to warrant an opinion by this Court.  “This Court may not obtain 
jurisdiction of the subject matter of [an] appeal by consent, waiver, or in the 
                                                 
5 The most Nash discussed Mo. Const. art. III, sec. 28 was in his jurisdictional statement 
supporting his notice of appeal.  This previous explanation of this Court’s jurisdiction 
argued that his conviction under section 565.001, RSMo 1978, was invalid because, after 
that statute was repealed in 1983, the legislature never specifically reenacted or revived it 
in accordance with Mo Const. art. III, sec. 28 to cover crimes committed prior to October 
1, 1984.  He argued:  “To the extent that Section 565.001 [RSMo 2000] purports to 
revive the repealed [1978] version, it too is invalid, in that it violates the mandate of 
[a]rticle III, section 28 of the Constitution of Missouri.” 
7 
 
interest of judicial economy.”  Kuyper v. Stone Cnty. Comm’n, 838 S.W.2d 436, 
438-39 (Mo. banc 1992) (noting that this Court’s jurisdiction may not be expanded 
beyond its constitutional limits).  However, pursuant to Mo. Const. art. V, sec. 10, 
this Court can take transfer of this case before its disposition by the court of 
appeals “because of the general interest or importance of a question involved in 
the case, or for the purpose of reexamining the existing law.”  Nash’s appeal meets 
this transfer standard insofar as he requests consideration of the constitutional 
validity of Missouri’s long-existing “direct connection rule” for evidence relating 
to third-person guilt.  As such, this Court, on its own motion, transfers this case 
under Mo. Const. art. V, sec. 10, and examines Nash’s assertions of error.   
III.  Arguments On Appeal 
 
A.  Nash’s Conviction Was Proper Under Section 565.001, RSMo 1978 
 
Nash first argues that the trial court erred in overruling his motion to quash 
the information against him and to dismiss the charges against him.  He contends 
that he improperly was charged, tried, and convicted under section 565.001, 
RSMo 1978, the statute that criminalized premeditated murder when Judy was 
killed in March 1982.6  He maintains that this statute was repealed in 1983 and 
that no other statute has existed or now exists that allows him to be prosecuted for 
Judy’s murder.  He asserts that his conviction under the repealed statute violates 
                                                 
6 The State notes that the statute referenced a premeditated murder as “capital murder,” 
regardless of whether the death penalty was sought.   
8 
 
section 556.026, RSMo 2000,7 which provides:  “No conduct constitutes an 
offense unless made so by this code or by other applicable statute.”  This Court 
reviews these statutory arguments de novo.  See Sch. Dist. of Kansas City v. State, 
317 S.W.3d 599, 604 (Mo. banc 2010) (noting that statutory construction 
challenges and constitutional challenges are reviewed de novo).   
 
Section 565.001, RSMo 1978, was repealed in 1983 along with a number of 
other criminal statutes.8  In the place of these repealed statutes, the legislature 
enacted a new chapter 565, which defines offenses against persons.  The new 
provisions included section 565.020, which defines the crime of first-degree 
murder.  The new chapter 565 specified its applicability to crimes committed after 
July 1, 1984, and its effective date later was changed to October 1, 1984: 
1.  The provisions of [chapter 565] shall govern the construction and 
procedures for charging, trial, punishment and appellate review of 
any offense defined in this chapter and committed after July 1, 1984 
[effective date later October 1, 1984]. 
2.  The provisions of this chapter shall not govern the construction or 
procedures for charging, trial, punishment or appellate review of any 
offense committed before the effective date of this chapter.  Such an 
offense must be construed, punished, charged, tried and reviewed on 
appeal according to the applicable provisions of law existing prior to 
the effective date … in the same manner as if this chapter had not 
been enacted, the provisions of section 1.160, RSMo, 
notwithstanding.   
3. All provisions of “The Criminal Code” or other law consistent 
with the provisions of this chapter shall apply to this chapter.  In the 
event of a conflict, the provisions of this chapter shall govern the 
interpretation of the provisions of this chapter. 
                                                 
7 Unless a previous version of a statute was amended substantively in a way that impacts 
this case, or unless otherwise indicated, all statutory references in this opinion are to 
RSMo 2000.   
8 See L. 1983 S.B. 276. 
9 
 
…. 
 
Section 565.001.   
 
 
Nash maintains that the reference in section 565.001.2 to “the provisions of 
section 1.160, RSMo, notwithstanding,” makes the provisions of section 1.160, 
RSMo Supp. 2010, inapplicable to all murders committed before October 1, 1984.  
Section 1.160, RSMo Supp. 2010, referred to as the “saving statute,” provides: 
No offense committed and no fine, penalty, or forfeiture incurred, or 
prosecution commenced or pending previous to or at the time when 
any statutory provision is repealed or amended, shall be affected by 
the repeal or amendment, but the trial and punishment of all such 
offenses, and the recovery of the fines, penalties, or forfeitures shall 
be had, in all respects, as if the provisions had not been repealed or 
amended, except that all such proceedings shall be conducted 
according to existing procedural laws. 
 
 
He argues that, because the “notwithstanding” phrase in section 565.001.2 
expresses that section 1.160, RSMo Supp. 2010, does not apply to the new chapter 
565 provisions, no statute is in place that allows him to be prosecuted for Judy’s 
murder, which occurred prior to the October 1, 1984, effective date for the new 
chapter 565, but was not prosecuted before the new provisions took effect. 
 
This Court, however, is not persuaded by Nash’s insistence that Judy’s 
murder cannot be charged and punished pursuant to the provisions of section 
565.001, RSMo 1978.  The “notwithstanding” phrase of the new section 565.001.2 
cannot be read in a way that would decriminalize a subset of murders simply 
because the perpetrators avoided prosecution before October 1, 1984. 
10 
 
 
Statutes cannot be interpreted in ways that yield unreasonable or absurd 
results, and it is assumed that the legislature’s enactment of a statute is meant to 
serve the best interests and welfare of the general public.  See Tribune Pub. Co. v. 
Curators of Univ. of Mo., 661 S.W.2d 575, 583 (Mo. App. 1983).  These canons of 
statutory construction undermine Nash’s arguments that section 1.160, RSMo 
Supp. 2010, is inapplicable and fails to permit his prosecution under section 
565.001, RSMo 1978.  Nash’s view of the meaning of the “notwithstanding” 
phrase in section 565.001 advances that certain murders escape prosecution based 
on legislative semantics.  This is an absurd result that is against the public’s 
interest.   
 
The apparent purpose of the 1983 enactment of the new section 565.001 
was to make clear that an offense committed in 1982 should be charged and 
prosecuted according to the laws existing in 1982, not the law as it existed after 
the new chapter 565 changes were enacted.  The effect of the language of section 
565.001.2 is the same as the language in section 1.160, RSMo Supp. 2010.  The 
trial court did not err in allowing Nash’s prosecution under section 565.001, 
RSMo 1978, to proceed, as Nash was not entitled to have the information filed 
against him dismissed. 
B.  Sufficiency of the Evidence 
 
Nash also argues that the evidence against him was insufficient to sustain 
his conviction, particularly because the State’s case relied on circumstantial 
evidence.   
11 
 
1.  The Applicable Standard of Review 
 
Generally, this Court’s review of the sufficiency of the evidence is limited 
to whether the State has introduced sufficient evidence for any reasonable juror to 
have been convinced of the defendant’s guilt beyond a reasonable doubt.  State v. 
Bateman, 318 S.W.3d 681, 686-87 (Mo. banc 2010).  This is not an assessment of 
whether the Court believes that the evidence at trial established guilt beyond a 
reasonable doubt but rather a question of whether, in light of the evidence most 
favorable to the State, any rational fact-finder “could have found the essential 
elements of the crime beyond a reasonable doubt.”  Id. at 687 (internal quotations 
omitted).  In reviewing the sufficiency of the evidence, all evidence favorable to 
the State is accepted as true, including all favorable inferences drawn from the 
evidence.  Id.  All evidence and inferences to the contrary are disregarded.  Id.   
“When reviewing the sufficiency of evidence supporting a criminal conviction, the 
Court does not act as a ‘super juror’ with veto powers, but gives great deference to 
the trier of fact.”  State v. Chaney, 967 S.W.2d 47, 52 (Mo. banc 1998) (internal 
quotations omitted).  “[T]his Court will not weigh the evidence anew since the 
fact-finder may believe all, some, or none of the testimony of a witness when 
considered with the facts, circumstances and other testimony in the case.”  State v. 
Freeman, 269 S.W.3d 422, 425 (Mo. banc 2008) (internal quotations omitted).  
 
Nash, however, argues that these current standards of review do not 
accurately reflect the standard of appellate review this Court should employ in 
assessing the sufficiency of the evidence in his case.  He argues that the standards 
12 
 
expressed above differ from the standard of review for testing the sufficiency of 
the evidence for a 1982 case based on circumstantial evidence.  He argues that in 
1982 his case would have been held to a higher sufficiency of the evidence 
standard based on the circumstantial evidence rule, which at the time required:  
“Where the conviction rests on circumstantial evidence, the facts and 
circumstances to establish guilt must be consistent with each other, consistent with 
the guilt of the defendant, and inconsistent with any reasonable theory of his 
innocence.”  See State v. Grim, 854 S.W.2d 403, 405-07 (Mo. banc 1993) 
(discussing the historical purpose and application of the circumstantial evidence 
rule).  In 1993, Grim abrogated the circumstantial evidence rule and rejected the 
use of the circumstantial evidence instruction.  Id. at 407-08.  Nash argues that 
failure to employ the circumstantial evidence rule in his case, as this Court would 
have done pre-Grim, will result in “an ex post facto-type violation of [his] due 
process rights” because his conviction will then be “resting upon insufficient 
evidence” according to standard appropriate in 1982. 
 
Nash argues that this Court’s failure to apply the circumstantial evidence 
rule would result in the type of ex post facto violation described in Calder v. Bull 
as a “law the alters the legal rules of evidence, and receives less, or different, 
testimony, than the law required at the time of the commission of the offense, in 
order to convict the offender.”  3 U.S. 386, 390 (1798).  But this Court’s appellate 
review of the evidence through the lens of the present sufficiency of the evidence 
13 
 
standards versus the circumstantial evidence rule does not alter what was required 
“in order to convict” Nash for Judy’s murder.   
 
Ex post facto concerns exist where “the government refuses, after the fact, 
to play by its own rules, altering them in a way that is advantageous only to the 
State, to facilitate an easier conviction.”  Carmell v. Texas, 529 U.S. 513, 533 
(2000).  In Nash’s case, the elements of the crime that the State was required to 
prove beyond a reasonable doubt did not change from 1982 to the present.  As 
such, Nash’s concerns about the standard of appellate review used by this Court to 
assess the sufficiency of the evidence do not present ex post facto or due process 
concerns as there was no alteration in what the State was required to prove in 
order to convict Nash.9  Use of the present sufficiency of the evidence standards to 
review Nash’s case will not violate his constitutional rights.  Cf. Freeman, 269 
S.W.3d at 425 (employing post-Grim sufficiency of the evidence review standards 
to a crime that occurred pre-Grim but was not prosecuted until after Grim).   
2. The Evidence Was Sufficient 
Viewing the evidence in the light most favorable to Nash’s conviction, 
there was sufficient evidence to allow a rational trier of fact to find him guilty 
beyond a reasonable doubt for Judy’s murder.   
                                                 
9 Cf. Carmell, 529 U.S. at 532-33 (finding an ex post facto violation where the statute 
was amended in a way that altered the rules of evidence and required less evidence to 
obtain conviction; noting ex post facto concerns are raised where “the government 
subverts the presumption of innocence by reducing the number of elements it must 
prove” and “[r]educing the quantum of evidence necessary to meet the burden of proof is 
simply another way of achieving the same end”). 
 
14 
 
The State’s evidence included that only Judy’s DNA and Nash’s DNA were 
found under Judy’s fingernails at the time of her death.  It was the jury’s province 
to weigh the theories offered by the State and the defense as to the significance of 
Nash’s DNA being found.   
The State’s DNA expert stated that the quantity of DNA found and tested 
from under Judy’s fingernails was not considered a “low level” sample of DNA,  
distinguishing the tested sample from one that would be considered “low level, 
non-contact.”  The expert testified that the same quantities of Nash’s DNA and 
Judy’s own DNA were found in the tested DNA sample.   
The prosecution suggested that Nash’s DNA lodged under Judy’s 
fingernails when he killed her.  It argued that Nash’s DNA would not have been 
present on Judy on March 11 unless he had recent contact with her, highlighting 
that Judy had washed her hair on the night before her death.  Although it was not 
known if Judy had washed her hair using shampoo, the State’s DNA expert 
testified that hair-washing, particularly with shampoo, would remove DNA from 
underneath the fingernails that existed prior to the washing.  The expert did not 
have an opinion as to what quantity of DNA would persist under fingernails 
following shampooing, but said it would “have a great effect” in removing DNA.     
In countering the State’s DNA evidence, Nash argued that the DNA 
evidence was insignificant and did not establish that he killed Judy.  He 
maintained that the amount of his DNA found under Judy’s fingernails was what 
would be expected to be present from touching a surface or clothing.  He 
15 
 
highlighted that there was no evidence of a struggle involved in Judy’s murder, 
and he argued that his DNA was present because he and Judy lived together, not 
because he struggled with or killed her.  He also presented evidence of studies 
examining DNA evidence found under fingernails.10  His evidence included that 
cohabiters in some homes commonly carry one another’s DNA.  He also 
suggested that his DNA could have been present because he and Judy had sexual 
relations a few days before her death.   
The jury, by its verdict, found that the State’s expert’s testimony suggesting 
that Nash’s DNA from under Judy’s fingernails that existed on the night before 
her murder would have been removed when she washed her hair.  It is not this 
Court’s role to reweigh the DNA evidence to contradict the jury’s conclusions.  
See State v. Hampton, 959 S.W.2d 444, 450 (Mo. banc 1997) (refusing to 
“reweigh the evidence and second-guess” the trier of fact’s factual conclusion that 
was supported by expert testimony).  There was sufficient evidence to support the 
jury’s conclusions that Nash’s DNA, rather than a third person’s DNA, was 
present under Judy’s fingernails because Nash was the last person to have contact 
with Judy before she was killed.   
Additionally, viewing the evidence in the light most favorable to the State, 
other evidence supported the jury’s conclusions that the presence of Nash’s DNA 
                                                 
10 Testimony included discussions about a journal study involving DNA evidence relating 
to cohabiters, an article about DNA evidence concerning a male nurse who sexually 
abused a patient and frequently washed his hands, and an article reviewing the 
persistence of DNA under fingernails following submersion in water. 
 
16 
 
was significant in linking him to Judy’s death:  the investigator who requested that 
Nash submit to DNA testing testified that Nash appeared to be very nervous at the 
time and his hands were shaking; he asked the investigator “will you let me know 
if I am eliminated?”; he told the investigator that he believed a female may have 
killed Judy, and he “stepped back and stared” at the investigator when he was told 
the DNA profile was that of a male; and when he was told that his DNA was 
found on Judy’s fingernails and at the crime scene, he said it was not possible and 
his hands began shaking.11   
And this DNA-related evidence was bolstered by the other evidence 
favorable to the jury’s conclusion that Nash killed Judy:  he had told her the night 
before she died, “That’s the last time you’ll lie to me, bitch.”; he was seen driving 
around Janet’s apartment complex at a time after he told police he had gone home 
for the night on March 10; he was living with Judy but asked Janet to call him and 
wake him the morning Judy was killed; and he was involved with another woman 
shortly after Judy’s murder. 
In Nash’s case, a reasonable juror could have found him guilty beyond a 
reasonable doubt for Judy’s murder, especially considering the DNA evidence 
together with the other evidence favorable to the jury’s guilty verdict.  There was 
sufficient evidence to support Nash’s conviction. 
                                                 
11The defense highlighted on cross-examination that Nash’s statement that it was not 
possible was linked to the suggestion that his DNA was found at the crime scene.  It notes 
that Nash’s DNA was found only under Judy’s fingernails and not, as the investigator had 
told Nash, at the crime scene.  
17 
 
C.  A Circumstantial Evidence Instruction Was Not Required 
 
Nash also argues that his conviction should be overturned because the trial 
court erred in refusing to give the jury his proffered circumstantial evidence 
instruction that would have been applicable in 1982.   
 
In reviewing Nash’s claims of instructional error, this Court will reverse the 
trial court’s decision only if the instructional error misled the jury and, thereby, 
prejudiced Nash.  State v. Avery, 275 S.W.3d 231, 233 (Mo. banc 2009).  
“[R]eversal is only warranted when the instructional error is so prejudicial that it 
deprived the defendant of a fair trial.”  State v. Anderson, 306 S.W.3d 529, 534 
(Mo. banc 2010).   
 
Nash argues that failure to instruct the jury with the 1982 circumstantial 
evidence instruction resulted in an “ex post facto alter[ation of] the legal rules of 
evidence to permit [him] to be convicted on less, or different, evidence than the 
law required” in 1982.  But the court’s refusal to issue the circumstantial evidence 
instruction did not change the elements of the crime that the State was required to 
prove beyond a reasonable doubt to convict Nash.  As discussed above, Nash 
cannot show he suffered an ex post facto-type violation where nothing altered 
what the State was required to prove for his conviction.  And the trial court’s 
refusal to give the circumstantial evidence instruction did not impact the fairness 
of Nash’s trial, particularly because the jury instead was instructed with the 
reasonable doubt instruction, which Nash does not challenge.    
18 
 
 
Grim equated the circumstantial evidence instruction to the reasonable 
doubt instruction, calling it a “different rule stating the same standard.”  See 854 
S.W.2d at 408.  In rejecting the use of the circumstantial evidence instruction, 
Grim stated: 
 
We have honed our reasonable doubt instruction with legal 
analysis brought on by decades of defendants' attacks coming from 
every point of the compass. We believe the reasonable doubt 
instruction fully and accurately instructs the jury on the risk of non-
persuasion. The circumstantial evidence instruction no longer 
serves the same purpose it did ….  
 
A different rule stating the same standard is confusing 
and redundant. The previous justifications for requiring more 
evidence have been abandoned. Under any interpretation of the 
quantum of evidence required by the circumstantial evidence rule, 
the rule is no longer valid. It should be, and is, rejected. 
 
Id.  (emphasis added). 
 
 
Because the circumstantial evidence instruction and the reasonable doubt 
instruction instruct the jury on “different rule[s] stating the same standard,” 
offering both instructions would have been “confusing and redundant.”  As such,  
Nash cannot show that it was reversible error for the trial court to refuse to offer 
the circumstantial evidence instruction along with the reasonable doubt 
instruction. 
 
Nash also argues that the trial court erred in refusing to give the 1982 
circumstantial evidence instruction because failure to use the instruction was 
contrary to the requirements of section 565.001.2, which provides that the law to 
be applied for a 1982 case is the law in effect in 1982.  The language of this 
19 
 
statute, however, does not mention jury instructions.  There is no statutory 
requirement that the court offer 1982 jury instructions in Nash’s case.   
 
The court’s goal in instructing the jury is to provide it accurate instructions 
as to the burden of proof.  See Drury v. Mo. Pac. R. Co., 905 S.W.2d 138, 146 
(Mo. App. 1995) (“The primary goal in instructing a jury is to translate 
complicated legal concepts into simple, clear and accurate laymen's language so 
that the jury may understand the factual issues of a claim or defense and act 
properly in deciding the case.”).  In Nash’s case, because the instructions used 
accurately instructed the jury as to the State’s burden, Nash cannot show that 
reversal is warranted based on the court’s refusal to provide the jury the 1982 
circumstantial evidence instruction. 
D.  Evidence Of Third-Person Guilt 
 
Nash also asserts that the trial court erred in sustaining the State’s motion in 
limine that prevented him from introducing evidence that another person murdered 
Judy.  The State maintains that the evidence properly was excluded because it 
failed to meet the “direct connection rule” for evidence relating to a third person’s 
guilt.  This Court has explained the “direct connection rule” as follows: 
To be admissible, evidence that another person had an opportunity or 
motive for committing the crime for which a defendant is being tried 
must tend to prove that the other person committed some act directly 
connecting him with the crime.  The evidence must be of the kind 
that directly connects the other person with the corpus delicti and 
tends clearly to point to someone other than the accused as the guilty 
person.  Disconnected and remote acts, outside the crime itself 
cannot be separately proved for such purpose; and evidence which 
can have no other effect than to cast a bare suspicion on another, or 
20 
 
to raise a conjectural inference as to the commission of the crime by 
another, is not admissible. 
 
State v. Rousan, 961 S.W.2d 831, 848 (Mo. banc 1998) (internal citations and 
quotations omitted).   
1.  Missouri’s “Direct Connection Rule” Is Constitutional 
 
Nash argues that his constitutional rights to present his defense were 
violated by the exclusion of his evidence that a third person killed Judy.  He 
maintains that the “direct connection rule” for evidence of third-person guilt 
unconstitutionally requires the defendant to show evidence of the third person’s 
guilt that meets a higher standard than the beyond-a-reasonable-doubt standard 
required for convictions.   
 
Although there is “broad latitude under the Constitution to establish rules 
excluding evidence from criminal trials[,]” that latitude is limited by the 
defendant’s constitutional rights to “a meaningful opportunity to present a 
complete defense,” which are rights rooted in the 14th Amendment due process 
clause and the 6th Amendment compulsory process and confrontation provisions.  
Holmes v. South Carolina, 547 U.S. 319, 324 (2006) (internal quotations omitted).  
The defendant’s right to present evidence in his defense cannot be impeded by 
rules that “infringe upon a weighty interest of the accused and are arbitrary or 
disproportionate to the purposes they are designed to serve.”  Id. (internal 
quotations omitted).   
21 
 
 
Nash notes that in Holmes, the United States Supreme Court invalidated a 
South Carolina evidentiary rule that had been invoked to exclude third-person 
guilt evidence offered by the defendant.  Id. at 330-31.  The invalidated rule at 
issue in Holmes, however, differed from Missouri’s “direct connection rule” that 
Nash challenges.  Holmes struck down an evidentiary rule that “held that where 
there is strong evidence of an appellant's guilt, especially where there is strong 
forensic evidence, the proffered evidence about a third party's alleged guilt does 
not raise a reasonable inference as to the appellant's own innocence.”  Id. at 324 
(internal quotations omitted).  Holmes noted previous cases where evidentiary 
rules limiting the defense had been found unconstitutional,12 but it also highlighted 
that an evidentiary rule was found not to be unconstitutional where it “did not 
abridge the right to present a defense because [it] served several legitimate 
interests in the criminal trial process [and] was neither arbitrary nor 
disproportionate in promoting these ends and did not implicate a sufficiently 
weighty interest of the defendant.” Id. at 326 (citing U.S. v. Scheffer, 523 U.S. 
303, 308 (1998)) (internal quotations omitted).   
 
 
                                                 
12 Holmes noted several cases involving unconstitutional “‘arbitrary’ rules, i.e., rules that 
excluded important defense evidence but that did not serve any legitimate interests.”  547 
U.S. at 325-326 (noting Washington v. Texas, 388 U.S. 14 (1967) (invalidating a statute 
that barred testimony by a co-participant in a crime unless that person had been 
acquitted); Chambers v. Mississippi, 410 U.S. 284 (1973) (finding unconstitutional “the 
voucher rule,” which denied the defendant the right to impeach his own witnesses);  
Crane v. Kentucky, 476 U.S. 683 (1986) (overturning a decision that prevented the 
defendant from attempting to show at trial that his confession was unreliable); Rock v. 
Arkansas, 483 U.S. 44 (1987) (holding unconstitutional a rule prohibiting hypnotically 
refreshed testimony)).   
22 
 
Holmes provides: 
 
While the Constitution thus prohibits the exclusion of defense 
evidence under rules that serve no legitimate purpose or that are 
disproportionate to the ends that they are asserted to promote, well-
established rules of evidence permit trial judges to exclude evidence 
if its probative value is outweighed by certain other factors such as 
unfair prejudice, confusion of the issues, or potential to mislead the 
jury. … Plainly referring to rules of this type, we have stated that the 
Constitution permits judges to exclude evidence that is repetitive [or] 
only marginally relevant or poses an undue risk of harassment, 
prejudice, or confusion of the issues.…   
 
A specific application of this principle is found in rules 
regulating the admission of evidence proffered by criminal 
defendants to show that someone else committed the crime with 
which they are charged.[13] … Such rules are widely accepted[.] 
 
Id. at 326-27 (internal references omitted). 
 
 
In light of Holmes, Missouri’s “direct connection rule” is constitutional 
because it prevents confusion of the issues and reduces the potential to mislead the 
jury.  It is not arbitrary to exclude evidence that does not directly connect a third 
person to the charged crime.    
 
                                                 
13 Holmes’s support for this proposition includes: 
See, e.g., 41 C.J.S., Homicide § 216, pp. 56–58 (1991) (“Evidence tending 
to show the commission by another person of the crime charged may be 
introduced by accused when it is inconsistent with, and raises a reasonable 
doubt of, his own guilt; but frequently matters offered in evidence for this 
purpose are so remote and lack such connection with the crime that they 
are excluded”); 40A Am.Jur.2d, Homicide § 286, pp. 136–138 (1999) 
(“[T]he accused may introduce any legal evidence tending to prove that 
another person may have committed the crime with which the defendant is 
charged .... [Such evidence] may be excluded where it does not 
sufficiently connect the other person to the crime, as, for example, where 
the evidence is speculative or remote, or does not tend to prove or 
disprove a material fact in issue at the defendant's trial[.]”). 
547 U.S. at 327. 
23 
 
2.  The Third-Person Guilt Evidence Was Excluded Properly 
 
 
Nash argues that the trial court wrongly refused to admit his evidence that a 
third party, Anthony Lambert Feldman, had motive and opportunity to kill Judy.  
Nash’s offer of proof highlighted that the evidence about Feldman included that 
Feldman’s fingerprints were found on Judy’s car, but Nash’s and Judy’s 
fingerprints were not.  Nash asserted that his evidence would include that there 
had been a heavy rainstorm on the night of March 10, which suggested that the 
rain had washed other fingerprints off Judy’s car.  Nash also wished to present 
evidence that included:  Feldman falsely had denied to police that he had met Judy 
or ever been to Salem; Feldman had an Iowa arrest for stalking a woman with the 
intent to assault her sexually; Feldman was known to carry a shotgun in his 
vehicle; and Feldman had killed himself in 2008 with a shotgun. 
 
The trial court’s decision to exclude Nash’s evidence as to Feldman is a 
ruling that this Court reviews to determine if the trial court abused its discretion.  
See State v. Forrest, 183 S.W.3d 218, 223 (Mo. banc 2006).  The trial court has 
broad discretion in evidentiary rulings, and an abuse of discretion will not be 
found unless the ruling is clearly against the logic of the circumstances and is so 
unreasonable as to indicate a lack of careful consideration.  Id.  Evidentiary errors 
require reversal if they are prejudicial to the defendant because they deprived him 
of a fair trial.  Id. at 223-24.  An error is not prejudicial if there is no reasonable 
probability that it affected the outcome of the trial.  Id. at 224. 
24 
 
25 
 
                                                
 
As discussed above, the “direct connection rule” required that the Feldman 
evidence directly connect him to the corpus delicti of Judy’s murder.  See Rousan, 
961 S.W.2d at 848.  The rule also rejects evidence relating to a “disconnected or 
remote act” outside of Judy’s murder.  See id.  Considering Nash’s evidence as to 
Feldman in light of Missouri’s “direct connection rule,” the trial court’s 
conclusion that Nash’s evidence did not meet the requirements of the rule was not 
a decision that was clearly against the logic of the circumstances and so 
unreasonable as to indicate a lack of careful consideration.  As such, the trial court 
did not abuse its discretion in refusing to admit the Feldman evidence.14   
IV.  Conclusion 
 
For the foregoing reasons, the judgment is affirmed. 
 
 
 
 
 
 
 
_______________________ 
 
 
 
 
 
 
 
Mary R. Russell, Judge 
 
All concur. 
 
 
14 In addition to complaining that the Feldman evidence was excluded at trial, Nash also 
argues that the State wrongly was allowed to reference in its closing arguments that there 
was no evidence of third-party guilt.  The State’s reference to third-party involvement, 
however, related to the DNA evidence.  To counter Nash’s assertions that his DNA was 
under Judy’s fingernails due to casual contact, the State argued:  “If DNA gets under your 
fingernails so easily, then where’s the third sample?”  This argument did not prejudice 
Nash based on his inability to admit the Feldman evidence.  Nash did not object when the 
State made this argument in its closing.