Case Title: P. v. Salcido

Citation: 

Docket Number: 

State: california

Court: California Supreme Court

Date: 2008-06-30T00:00:00Z

Document:
1 
Filed 6/30/08  (this opn. should be published preceding S056997, also filed 6/30/08) 
 
 
 
IN THE SUPREME COURT OF CALIFORNIA 
 
 
 
THE PEOPLE, 
) 
 
 
) 
 
Plaintiff and Respondent, 
) 
 
 
) 
S018814 
 
v. 
) 
 
 
) 
San Mateo County 
RAMON BOJORQUEZ SALCIDO, 
) 
Super. Ct. No. No. C-24541 
 
 
) 
 
Defendant and Appellant. 
) 
___________________________________ ) 
 
Defendant Ramon Bojorquez Salcido appeals from a judgment of the San 
Mateo County Superior Court imposing a sentence of death following his 
conviction of six counts of first degree murder (Pen. Code, § 187, subd. (a)), one 
count of second degree murder (Pen. Code, § 187, subd. (b)), and two counts of 
willful, deliberate, and premeditated attempted murder (Pen. Code, § 189, subd. 
(e)).  The jury found true a multiple-murder special-circumstance allegation.  (Pen. 
Code, § 190.2, subd. (a)(3).)  Defendant admitted the allegations that he personally 
used a firearm in the commission of counts I (Angela Salcido — murder), 
IV (Tracey Toovey — murder), and VIII (Kenneth Butti — attempted murder) 
(Pen. Code, § 12022, subd. (d)), that he personally used a deadly weapon, a knife, 
in the commission of counts II (Sofia Salcido — murder), III (Theresa Salcido — 
murder), V (Marion Louise Richards — murder), VI (Ruth Bernadette Richards — 
murder), VII (Marie Ann Richards — murder), and IX (Carmina Salcido — 
attempted murder) (Pen. Code, § 12022.5), and that he personally inflicted great 
bodily injury in the commission of counts VIII and IX (Pen. Code, § 12022.7).  
After the jury determined that defendant’s punishment should be death, the trial 
2 
court imposed a sentence of death and also imposed sentence on the noncapital 
offenses.  Defendant’s appeal is automatic.  (Pen. Code, § 1239, subd. (b).)1 
We affirm the judgment in its entirety. 
I.  FACTS 
A. Guilt Phase Evidence 
1. The prosecution’s case 
a. The crimes 
The evidence established that in the early morning hours of April 14, 1989, 
defendant drove his three young daughters, Sofia, Carmina, and Theresa to an 
isolated gulch used as a dumping site, where he cut their throats and left them, 
resulting in the deaths of Sofia and Theresa.  Defendant drove to the residence of 
his mother-in-law, Marion Louise Richards, where he stabbed to death Marion and 
her daughters Ruth Bernadette Richards and Marie Ann Richards.  Defendant 
returned home, where he shot to death his wife Angela.  He proceeded to his 
workplace at Grand Cru Vineyard, where he shot to death his supervisor, Tracey 
Toovey, and then drove to the residence of another supervisor, Kenneth Butti, 
whom defendant shot and injured.  The crimes took place within a period of 
approximately three hours. 
Prior to 1980, while living in his native Mexico, at 18 years of age, 
defendant married a young woman who had become pregnant by another man.  
After giving birth, the woman abandoned defendant for the child’s father.  
Following defendant’s arrival in the United States that year, defendant moved to 
Kern County, where he married a second time, to Debra, who bore him a child.  
When their relationship ended, defendant moved away.  The couple did not obtain 
a divorce.  Defendant did not make child support payments. 
                                              
1 
All further references are to the Penal Code unless otherwise indicated. 
3 
In the mid 1980’s, defendant married his third wife, Angela Richards, who 
had had a strict Catholic upbringing.  They had three daughters, Sofia, Carmina, 
and Theresa, whom defendant appeared to love very much.  Carmina was 
defendant’s favorite. 
In early 1987, defendant obtained a job at Grand Cru Vineyard in Sonoma 
County.  Defendant’s job responsibilities included operating the “bottling line.”  
Tracey Toovey, the assistant wine maker, was defendant’s supervisor.  Several 
months after defendant’s employment began, Kenneth Butti was hired.  Butti 
assumed responsibility for running the bottling line and became defendant’s 
primary supervisor.  Butti believed defendant was a poor employee, and Toovey 
informed defendant that he needed to improve his job performance. 
At the time of the murders in April 1989, defendant and his family resided 
in a small one-bedroom rental home that was part of a duplex at 201 Baines Street 
in Boyes Hot Springs.  Their home was located several blocks from the Sonoma 
Mission Inn and approximately seven miles from Grand Cru Vineyard.  Angela’s 
parents, Robert and Marion Louise Richards, resided together with their two 
younger daughters in a rented home at 8393 Lakewood Avenue in Cotati. 
Defendant was known by acquaintances as a frequent consumer of 
alcoholic beverages.  He enjoyed “fancy” automobiles.  Several months prior to 
the murders, he purchased a Pontiac Trans Am but in January 1989 transferred the 
vehicle to a friend after it proved difficult for him to make the payments.  
Defendant also drove a 1981 Buick Skylark.  One month prior to the murders, 
defendant traded the Buick for a Ford LTD, and two days prior to the murders, he 
had that vehicle repainted. 
On Tuesday, April 11, 1989, while he was at work, defendant was served 
for a second time with documents related to his second wife Debra’s efforts to 
obtain child support, and he informed Butti, his supervisor, of that occurrence.  On 
the following day, Angela Salcido told her neighbor, Connie Breazeale, that 
4 
defendant previously had been married.  Angela laughed about obtaining an 
annulment of her marriage to defendant. 
On the evening of Thursday, April 13, 1989, Breazeale observed defendant 
load several boxes the size of wine cases into the trunk of his vehicle and drive 
away.  After 9:00 that evening, Mark Ondrasek met defendant at McNeilly’s Bar 
in El Verano, a neighboring community.  Defendant sold Ondrasek two cases of 
sparkling wine that were in his vehicle.  Michael Caratti, who recognized 
defendant from having seen him at several bars, also was at McNeilly’s Bar.  At 
approximately 11:30 p.m., Caratti and defendant went to the latter’s vehicle, 
where defendant sold him nine bottles of sparkling wine that were in the trunk.  
Each of the men had cocaine in his possession and proceeded to snort a “line” 
(less than one-quarter gram).  At defendant’s suggestion, they drove to his home, 
where they ingested additional cocaine with Angela.  After 20 minutes, defendant, 
who did not appear to have difficulty operating the car, drove Caratti back to the 
bar, where defendant attempted to obtain additional cocaine.  The two men 
ingested the remaining cocaine in their possession.  Caratti estimated they 
consumed a total of approximately one gram of cocaine.  Defendant invited Caratti 
to meet him at the Sonoma Mission Inn to socialize with several women. 
Prior to 2:00 a.m. on Friday, April 14, 1989, defendant’s friend, Mario 
Mata, and his wife were asleep in the bedroom of their residence when defendant 
appeared.  Defendant, who smelled of alcohol but did not appear extremely 
intoxicated, persuaded Mata to attend a party with him.  Defendant told Mata that 
he was leaving the area the next day and that Mata’s brother could move into 
defendant’s house.  Defendant asked Mata for $50 to purchase drugs but Mata 
refused.  They drove to McNeilly’s Bar, but Mata shortly had defendant drive him 
home.  When defendant returned to the bar at 2:15 a.m., he was rejoined by Caratti 
and a friend, Larry Mateo, who in a separate vehicle followed defendant to the 
Sonoma Mission Inn.  Caratti noticed that defendant did not appear to have any 
5 
difficulty driving, but Caratti was “messed up” at the time and was unaware of 
defendant’s state of intoxication. 
Upon their arrival at the Sonoma Mission Inn, defendant entered the lobby 
while Caratti and Mateo waited in their vehicle.  At approximately 2:50 a.m., Lela 
Brooks, the receptionist, conversed with defendant, who spoke very softly and 
“had trouble” speaking English.  Defendant did not smell of alcohol or appear 
intoxicated or under the influence of drugs.  He inquired about a reservation, 
referring to “Grande.”  Brooks did not find a reservation listed either for Grand 
Cru Vineyard or Salcido.  A security guard who was out of defendant’s sight line 
had observed two other men waiting outside and signaled to Brooks, “no.”  
Brooks then suggested to defendant that he may have confused the hotel with the 
Sonoma Valley Inn and telephoned that hotel for him.  Defendant spoke for 
several minutes with someone at the other hotel.  As defendant walked outside, he 
spoke with the security guard, who detected a slight smell of alcohol on defendant 
but did not have difficulty understanding him.  Defendant asked the guard the 
nightly rate to rent a room and, on hearing it was $200, indicated that was “too 
much.”  Defendant drove over to the other vehicle, and after having a short 
conversation he and the other two men drove off separately. 
At 5:39 a.m., Angela withdrew $200 in cash from her and defendant’s joint 
checking account from the automated teller machine at Wells Fargo Bank in 
downtown Sonoma, a distance of two and one-half miles from the Salcido 
residence.  Angela departed from the bank on foot. 
That morning, Angela’s parents (Robert and Marion) and her two young 
sisters (Ruth and Marie) were in their residence on Lakewood Avenue.  Robert 
departed for work prior to 7:00 a.m., and planned to leave directly for New York 
that evening without first returning home.  At approximately the same time, a 
neighbor, Roy Curtis, saw the Richards family’s Chihuahua barking, shaking, and 
looking at the Richards residence.  Curtis never had seen the dog loose before and 
knocked on the front door, but no one answered.  Curtis heard a man’s voice, 
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which might have come from a radio or television.  At 7:00 a.m., the neighbor 
who resided directly across the street from the Richardses heard a woman’s voice 
screaming “No, no.” 
Later the same day, the bodies of Marion and her daughter Marie, who was 
eight years of age, were discovered lying in the hallway of the Richards home.  
Marie’s nightgown was pulled above her waist, her underpants were wrapped 
around one ankle, and her legs were spread apart.  The body of Ruth, who was 12 
years of age, was found lying facedown in the kitchen.  Ruth was wearing a 
nightgown pulled above her waist; her panties, which had blood on them, were 
wrapped around one foot, and her legs were apart.  A bloody handprint was found 
on Ruth’s buttock, and additional handprints were on her thighs.  In the hallway, a 
bloody knife was found near Marion’s feet, and two boxes of Federal Brand .22-
caliber bullets and a box of bandages with blood on it were found nearby.  
Another box of Federal Brand .22-caliber long rifle bullets, which had a 
fingerprint and blood that proved to be from defendant, was found in the bedroom.  
Marion’s glasses and her pendant were found on the garage floor.  The medical 
examiner determined that Marion had suffered a blunt force injury to the back of 
her head sufficient to cause unconsciousness.  Marion, Marie, and Ruth each died 
from blood loss due to cut wounds to their throats. 
Meanwhile, at 7:14 that morning (as determined from telephone records), a 
telephone call lasting 30.7 seconds was placed to defendant’s home telephone 
number from the Richards residence.  At 7:30 a.m., Mrs. Ledesma, defendant’s 
neighbor in the adjoining unit of the duplex where he and his family resided, was 
outside her residence.  At that time, she did not observe defendant’s vehicle.  
Subsequently, she reentered her own unit.  At 8:00 a.m. Ledesma sensed that 
persons were running inside defendant’s unit, and she heard a shot fired.  After 
hearing Angela shout, “Watch out,” Ledesma heard a second shot.  Angela 
repeated “Watch out,” and Ledesma then heard a third shot. 
7 
At approximately 8:00 a.m. defendant’s supervisor Tracey Toovey left his 
residence to drive to the winery, a five-minute commute.  At 8:20 a.m., Toovey’s 
body was discovered inside his vehicle on the gravel driveway to the vineyard, 
which was located approximately seven miles from defendant’s home.  Toovey 
had suffered four gunshot wounds, three to his head and one to his arm.  Two 
bullets recovered from his head proved to be .22-caliber. 
At approximately 8:15 a.m., defendant drove into the driveway of Kenneth 
Butti’s residence, located 2.4 miles from the winery.  Butti walked up to 
defendant’s vehicle.  Defendant backed his vehicle to within 10 feet of Butti and 
said, “Hi, how ya doin.’ ”  Butti asked defendant, who appeared normal, “What’s 
going on, Ramon?” and noticed defendant had blood on his forearms.  Defendant 
turned away briefly and, when he turned back toward Butti, was holding a gun 
with his hand resting on the open window ledge of the car door.  Butti heard 
intermittent pops and clicks from the gun, and fell to the ground when a bullet hit 
his shoulder.  As defendant drove out of Butti’s yard, Butti’s wife Terri saw from 
the doorway that the gun was pointed at her and heard a click.  Defendant’s eyes 
were open wide; his gaze was steady, and he appeared alert but had no expression. 
At 8:26 a.m. (as determined from telephone records), a telephone call 
lasting one minute and 40 seconds was made from defendant’s residence (eight 
miles from Butti’s home) to Los Molchis, Sinaloa, Mexico, where defendant’s 
mother resided.  At 8:50 a.m., defendant’s neighbor, Connie Breazeale, observed 
defendant leave hurriedly in his vehicle.  At 9:00 a.m., Lieutenant Ballinger and 
Sergeant Brown of the Sonoma County Sheriff’s Department arrived at 
defendant’s residence and discovered Angela’s body in the hallway.  Six spent 
bullet casings were found in the kitchen and the hallway.  An ATM receipt, an 
advertisement for childcare, and $200 in cash were found in her clothing.  The 
medical examiner subsequently removed a .22-caliber bullet from her head.  She 
had suffered three bullet wounds, two to her head and one to her shoulder. 
8 
At 9:24 a.m. an attempt was made to withdraw $140 from defendant and 
Angela’s joint checking account at a branch of Wells Fargo Bank in San Rafael.  
At approximately 10:00 a.m., defendant, wearing a light-colored shirt and jacket 
and white long pants, purchased a shirt and a pair of light-colored pants at a 
department store in San Rafael.  Defendant did not appear to be intoxicated or in a 
hurry.  At 12:18 p.m., defendant cashed checks made out to him by Mark 
Ondrasek, in purchasing the sparkling wine, as well as another check for $200, at 
the Wells Fargo Bank at the corner of Van Ness Avenue and California Street in 
San Francisco. 
Later that day, the police found defendant’s Ford LTD automobile in a 
parking lot across the street from the department store in San Rafael.  In addition 
to a bag and a credit card receipt bearing defendant’s name from the department 
store, the vehicle contained three notes written in Spanish.  The first expressed the 
hope that “Arturo and Richard” would be arrested because they sold cocaine.  The 
second note stated, “Your father loves you very much.  We will see each other in 
God’s other world.”  The third said, “Forgive me God, but this law made me do it.  
My children and I could live better but I was pushed into doing it.”  Under the 
front passenger seat, the police found a .22-caliber semi-automatic handgun with 
one round in the chamber, and a knife that had a small amount of blood on it.  
Near the knife were articles of children’s clothing with blood on them and a 
blanket.  Other ammunition and a half-filled bottle of sparkling wine were 
recovered. 
At approximately noon on Saturday April 15, 1989, defendant’s three 
young daughters were found in the tall grass at the bottom of a 15-foot 
embankment in a field next to the parking lot at Stagegulch Quarry, which also 
was used as a dumpsite, located 6.6 miles from defendant’s residence and 13.5 
miles from the Richards residence.  Two quarry employees observed the bodies of 
Sofia and Theresa.  Near them, Carmina was sitting up, facing her sisters. 
9 
Sofia, who was confirmed by postmortem genetic testing not to be 
defendant’s biological daughter, died from loss of blood caused by three large 
lateral cuts across her throat that penetrated to her spine — any one of which 
would have been fatal.  She may have survived for an undetermined period of 
time, especially if her going into shock had arrested the flow of blood.  She had 
suffered a wound to her hand consistent with defensive behavior.  Theresa died 
from loss of blood caused by two lateral cuts across her throat that also penetrated 
to her spine — either of which would have been fatal. 
Carmina suffered a large lateral cut across the throat from one side of her 
jawbone to the other, exposing her voice box and partially detaching her tongue.  
She apparently remained sitting with her chin supported by her chest during a 
period more than 30 hours prior to being found, and because of hunger had 
consumed some small pebbles during that time.  Her tongue could have closed her 
throat, suffocating her, had she laid down.  She had a wound to her hand 
consistent with defensive behavior.  She was extremely dehydrated, in shock, and 
close to death.  She was taken to a hospital emergency room in critical condition 
and was treated by a team of 20 medical personnel.  While being transferred from 
one bed to another in the hospital, she said, “Daddy cut me.” 
The knife and the handgun recovered from defendant’s automobile were 
tested.  The knife could have inflicted the wounds suffered by defendant’s 
daughters.  Ballistics analysis of the bullets recovered from the various victims 
revealed they were fired from the same Sturm Ruger pistol found in defendant’s 
automobile.  A criminalist who tested the weapon discovered that the magazine 
had a “feeding problem” that caused the first round to “hang up,” which could be 
dealt with by hitting the bolt or by ejecting the first round.  Several unfired rounds 
were discovered at the crime scenes.  Mr. Richards confirmed that the handgun 
was similar to guns he kept in his home as part of a gun collection he stored with 
ammunition in a bedroom closet. 
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b. Defendant’s arrest and confession 
Defendant was arrested on April 19, 1989, at a train station outside Los 
Molchis, Sinaloa, Mexico.  Several minutes after boarding a private airplane for his 
return to the United States, defendant stated, “I was going to turn myself in.  I made 
a mistake.  I’m guilty.”  During the course of the flight to Sonoma County, 
defendant made a full statement in English, confessing to shooting and stabbing the 
victims.  Defendant’s statement was tape-recorded and later transcribed.2  Sonoma 
County Sheriff’s Department Detective David Edmonds inquired of defendant as to 
when he first considered committing the murders.  Defendant believed he first did 
so on Thursday, April 13, 1989.  After being served with child support documents 
at his workplace, on his return home he and his current wife argued.  Defendant 
then went to a bar and, during the course of the night, ingested approximately three 
grams of cocaine and consumed two or three bottles of champagne.  When asked 
whether he was drunk at that time, defendant stated he felt like someone else 
because he was so out of his mind. 
Defendant explained that when he returned home and found that his wife had 
departed, leaving him with the children, he felt that he wanted to kill her.  He 
ingested cocaine and at approximately 5:00 a.m. drove with his children to look for 
his wife.  After about an hour, because he was angry at his wife, defendant decided 
to kill himself and his children, and at approximately 6:00 a.m. he drove to the  
quarry, near the county dump.  Defendant took each daughter separately to a spot 
near his parked vehicle, cut the throat of each from behind, and threw each body 
into the creek. 
Defendant stated that he then drove to his in-laws’ residence, 30 minutes 
away, to look for his wife, and observed Mr. Richards drive away.  Defendant 
intended to kill his mother-in-law who, along with his two sisters-in-law, knew 
11 
that his eldest daughter was not his biological child.  When informed that his wife 
was not at the Richards residence, defendant asked Marion for a screwdriver, 
walked with her to the garage, and from behind hit her head once or twice with an 
automobile jack stand.  Defendant went back inside the home, where he 
encountered Ruth.  Defendant obtained a knife, grabbed Ruth from behind, and 
cut her throat.  She was not wearing panties, and he observed her buttocks.  By 
this time Marie appeared, asking where her mother was.  Afraid she would ask 
questions, defendant cut her throat.  As defendant continued to the front door, 
Marion appeared in the hallway.  Because defendant was concerned that she might 
telephone the police, he cut her throat.  Having cut his finger, defendant removed 
Marie’s panties to stop the bleeding, and observed her buttocks. 
Defendant explained that he next proceeded to the room containing Mr. 
Richards’s firearm collection and took a .22-caliber Ruger automatic pistol.  
Defendant obtained ammunition from the bedroom and loaded the weapon, 
accidentally discharging a bullet into the floor.  He departed with the weapon, 
intending to kill himself and his wife. 
Detective Edmonds told defendant he had heard defendant had a reason to 
kill his wife.  Defendant responded that one of the reasons was that she had not 
told him that he had not fathered their first child.  That had upset him slightly, but 
he had decided it would be all right.  When defendant returned to their residence, 
his wife said she would summon the police.  Because defendant was frightened, he 
shot her twice in the head; as she raised her hands, defendant shot her once in the 
temple, hit her on the head with the gun, and shot her again in the head.  
Defendant intended to also kill himself. 
                                                                                                                                      
 
(Footnote continued from previous page.) 
2 
At trial, a tape recording of defendant’s statement was played to the jurors, 
which they followed on individual copies of a transcription. 
12 
Defendant related that as he drank champagne in his vehicle, he decided to 
kill Tracey Toovey and Kenneth Butti.  Defendant drove to work to kill Toovey, 
who generally arrived one hour earlier than Butti.  When Toovey drove into the 
driveway of the winery, defendant flashed his headlights and Toovey pulled 
alongside.  Defendant approached, telling Toovey he was going to kill him.  When 
Toovey inquired whether this was because Toovey intended to fire defendant, 
defendant replied, “So you got that in mind already.”  Defendant fired but did not 
recall how many times.  Defendant drove to Butti’s residence, where he accused 
Butti of attempting to take defendant’s job and said he intended to kill Butti.  
Defendant shot at Butti, who began running.  Defendant decided to “forget it” and 
started to drive home.  He did not attempt to shoot Butti’s wife. 
Defendant telephoned his mother in Los Molchis and reported what he had 
done and that he intended to kill himself.  She requested that defendant first visit 
her and his sister one last time.  Defendant drove to San Rafael.  At a gas station 
defendant noticed blood on his pants and removed them.  He drove to a store and 
entered wearing his shorts, purchased new brown pants and a white T-shirt with 
his credit card, and abandoned his vehicle with the gun and the knife inside.  
Defendant took a bus to San Francisco, where he cashed checks received in his 
champagne sales and withdrew cash from his checking account, traveling by bus 
to Los Molchis, Mexico, a journey that took several days. 
c. Alcohol and cocaine use and effects 
On April 21, 1989, a sample of defendant’s blood was taken and analyzed.  
No cocaine or other drugs were detected.  Forensic toxicologist William Phillips 
testified it was unlikely that cocaine ingested on April 14 would be detectable in 
defendant’s body on April 21, but the presence of cocaine or its metabolite may be 
detected in dried blood.  A sample of dried blood collected from the ammunition 
box found at the Richards home was established to have greater than 100 
nanograms (one nanogram equals one billionth of one gram) of cocaine and 40 
nanograms of cocaine metabolite per gram of whole blood.  Although estimation 
13 
was very difficult, by extrapolation Phillips estimated that the amount of cocaine 
in defendant’s body at the time the blood was deposited was 201 nanograms per 
milliliter. 
Psychiatrist and clinical researcher Dr. Reese Jones, a specialist in 
psychopharmacology, testified regarding the effects of alcohol and cocaine 
consumption.  Dr. Jones explained that a cocaine user does not necessarily appear 
or act intoxicated by impairment of motor performance, and in moderate doses 
cocaine may enhance mental function, whereas alcohol has the opposite effect.  
Alcohol and cocaine, although operating in opposite manners on the user, tend to 
elicit his or her innate behavior and traits. 
Dr. Jones reviewed the police and toxicology reports, listened to a tape 
recording of defendant’s confession, and was advised of the foregoing test results 
of the analysis of the dried blood sample.  Dr. Jones stated that if high dosages of 
cocaine repeatedly had been ingested, he would expect to find 500 to 1,000 
nanograms of cocaine metabolite per gram of blood. 
Dr. Jones also testified that the type of weapon selected by an assailant and 
the efficiency with which a wound is inflicted tend to indicate the amount of 
planning involved in an attack.  Lying to a victim to induce that person to move to 
a different spot, such as defendant’s lying to Mrs. Richards, and killing the 
children one at a time, were acts that were consistent with planning rather than 
with impulsive or disorganized thinking.  Defendant’s ability to travel from one 
crime scene to another reflected attention, concentration, and planning inconsistent 
with the mental impairment that would result from heavy drug usage. 
2. The defense case 
a. Defendant’s history and socialization 
The defense presented testimony regarding defendant’s emigration from 
Mexico and the various circumstances that frustrated his attempts to assimilate in 
the United States.  Alex Saragoza, an associate professor of history in the 
14 
Department of Ethnic Studies at the University of California, Berkeley, reviewed 
the police reports and spoke with defendant on several occasions. 
Saragoza formed the opinion that defendant exaggerated his own 
importance, blamed others for his failures, had a poor sense of self, and had low 
self-esteem.  Saragoza found defendant’s social history unusual in several 
respects.  Defendant’s relationship with his family was strained; he left Mexico 
after threatening to kill his entire family, and moved to Northern California 
without their assistance.  Upon returning to his home town, he boasted of his 
achievements in the United States.  Defendant’s experience as a Mexican 
immigrant was atypical:  in Sonoma, defendant had many non-Mexican 
acquaintances and frequented Anglo-American bars.  He portrayed his family in 
Mexico as more affluent and accomplished than their actual circumstances. 
According to Saragoza, defendant’s marital history was out of the ordinary.  
His first marriage, to a woman pregnant by another man, was not typical in 
Mexican culture.  Defendant married a second time, in the United States, and it 
was unclear whether his wife Debra’s baby was defendant’s biological child.  
Defendant belatedly learned that his third wife, Angela, had borne a child who was 
not defendant’s.  Angela was an unusual choice as defendant’s marital partner in 
other respects.  She had been educated at home because her family believed the 
public schools were a bad influence, was taught feminine tasks, and was raised as 
a strict Catholic.  In Saragoza’s view, Angela rebelled by, among other things, 
marrying a Mexican immigrant, to the displeasure of her family.  Angela became 
more independent during the marriage, behavior that was inconsistent with a 
wife’s role in defendant’s native culture.  At the same time, defendant’s behavior 
toward his family was inconsistent with the male role in his culture.  He treated 
Angela poorly by, among other things, staying out four or five nights a week in 
bars until 10:00 or 11:00 p.m. 
15 
b. Defendant’s job and home environment 
Defendant’s first job in Sonoma County was at St. Francis Winery in 
Kenwood.  According to his employers, defendant was an able employee who 
required little supervision.  Defendant made a concerted effort to learn English and 
spoke that language better than most Mexican immigrants.  Defendant was neat in 
his grooming, friendly, got along well, and seemed happy.  He strove to become 
Americanized.  According to defendant’s coworkers and friends, defendant was a 
likeable person who appeared to love his daughters.  He was known as a joker or a 
clown. 
When defendant started working at Grand Cru Vineyard in early 1987, he 
was friendly, outgoing, and well-dressed and arrived on time.  Defendant’s use of 
sick leave was minimal in 1987 but steadily increased.  Defendant’s fellow 
employee, David Hellman, who had known him for five years, noted defendant 
was resentful of Butti, who was prejudiced against Mexican workers.  Defendant 
and Hellman went to bars together (and defendant by himself when Hellman did 
not accompany him) and drank heavily.  In 1987, defendant and Hellman first 
ingested cocaine, and thereafter used the drug together, in one-quarter to one-half 
gram amounts, every six to eight weeks.  In 1988, defendant began to use cocaine 
while consuming alcoholic beverages. 
Defendant, described by Hellman as an “habitual liar,” boasted about being 
better off than he was in reality.  Defendant and Angela obtained a credit card 
toward the end of 1988, and promptly incurred debt up to the $3,000 maximum.  
At approximately the same time, defendant purchased a Trans Am automobile that 
they could not afford.  The couple began having difficulty making the payments 
due on the credit card and the car.  By early 1989, defendant relinquished the 
vehicle to someone else.  In the period immediately preceding the murders, 
defendant’s work attendance became more erratic.  Hellman warned defendant 
that if he did not “straighten up,” he would be fired. 
16 
Several witnesses who had become acquainted with defendant at various 
bars or restaurants described his drinking habits.  Generally these witnesses spoke 
well of defendant, stating he treated his wife well and had not been violent.  Other 
witnesses confirmed defendant’s movements on the day prior to and on the day of 
the murders, and provided details of defendant’s alcohol consumption during that 
period. 
Mr. Richards told a sheriff’s deputy that Richards could not understand the 
killings, because defendant liked Mrs. Richards, who supported her daughter’s 
wish to marry defendant and had done many favors for defendant.  The two 
families had socialized on the Easter Sunday preceding the killings and had a 
wonderful time.  Several witnesses testified that following the murders, defendant 
acted as if his family were still alive. 
c. Defense experts 
Pharmacologist and toxicologist Dr. James Meeker analyzed the dried 
sample of defendant’s blood obtained at the Richards residence and determined 
the blood contained, at most, 36 nanograms of cocaine per milliliter of blood.  Dr. 
Meeker testified that, using this number to extrapolate back to the time 
defendant’s blood had been deposited, there would have been 288 nanograms of 
cocaine per milliliter of blood, an amount consistent with the analysis performed 
by Phillips, the prosecution’s toxicologist.  Dr. Meeker also analyzed the blood 
sample for the presence of the metabolite benzolecgonine — the cocaine 
metabolite for which the “vast majority” of laboratories tested, because such 
analysis produced results more accurate than analysis for metabolites such as 
metholycgognine.  Dr. Meeker detected 6,777 nanograms of benzolecgonine per 
milliliter of blood.  With greater doses of cocaine the ratio of benzolecgonine to 
metholycgognine increases.  In view of the high levels of that metabolite, in Dr. 
Meeker’s opinion a fairly high dosage of cocaine had been ingested. 
Dr. David Smith, a specialist in addiction medicine, testified regarding the 
addictive properties of cocaine, the effects of cocaine consumption in combination 
17 
with abuse of alcohol, cocaine’s propensity to induce paranoid psychosis, and 
psychopharmacological effects of cocaine on the brain, including its effect on 
serotonin levels.  Dr. Smith explained that high dosages of cocaine deplete the 
brain’s neurotransmitters and, in combination with the subject’s inability to sleep, 
make it more likely that brain function will progress on “the scale of psychosis.”  
Abuse of alcohol tends to impair or deplete the “inhibitory” neurotransmitter 
serotonin, which is important in balancing the “excitatory” neurotransmitters that 
may produce negative impulses.  Although the combination of alcohol and cocaine 
may tend to cancel the opposing effects of each substance on the user’s motor 
skills, the combination may increase the negative psychiatric effects.  Smith 
testified that average serotonin levels are 123 nanograms per milliliter of blood.  
The circumstance that defendant had extremely low serotonin levels in December 
1989, but normal levels the following June, indicated that defendant’s low 
serotonin levels most likely were caused by drug abuse rather than genetic 
predisposition to low serotonin. 
Clinical psychologist Dr. Francis Crinella, whose subspecialty was 
neuropsychology, testified he met with defendant on eight occasions between June 
1989 and November 1990, reviewed police reports and news accounts, and 
learned of defendant’s family, criminal, and medical history in Mexico.  
Defendant did not have any criminal record in that country.  Dr. Crinella learned 
that defendant had a high fever during infancy, suffered a head injury in a bicycle 
accident when he was 10 years of age, and received a severe electrical shock 
during adolescence.  Defendant provided Dr. Crinella with varying descriptions of 
his ailments, indicating an attempt to rationalize his actions and also that he was 
bright and well organized — characteristics inconsistent with brain damage.  
Defendant read in the jail’s law library when given the opportunity, and in his jail 
cell kept books concerning famous criminal cases.  Defendant told Dr. Crinella 
that he killed seven individuals but could not recall having done so.  According to 
18 
Dr. Crinella, defendant was motivated to place himself in a good light in the 
opinion of his listener. 
Dr. Crinella reviewed and summarized the results of numerous tests 
performed upon defendant, including a computerized axial tomography scan, 
electroencephalogram, magnetic resonance imaging, and neurological and 
personality testing.  The results were generally normal.  A neuropsychological test 
battery that included the Wechsler Adult Intelligence Scale did not reveal the 
presence of any organic brain dysfunction and established that defendant had an 
above-average IQ. 
Dr. Crinella concluded that defendant had a constant and severe paranoid 
personality.  Events in the months preceding the crimes, including defendant’s and 
Angela’s arrest for welfare fraud in July 1988 and their rapid accumulation of 
credit card debt to the authorized maximum of $3,000 at the end of the year, as 
well as the cumulative effects of defendant’s consumption of alcohol and cocaine, 
the prospect of losing his job at the same time he was required to assume child 
support payments, and his wife’s increasing independence, in combination 
adversely influenced defendant’s vulnerable mental state.  Dr. Crinella also 
considered the acutely stressful events that immediately preceded the murders, 
including defendant’s being refused a hotel room and his return home to find his 
children alone.  Dr. Crinella concluded that between 6:00 a.m. and 9:00 a.m. on 
April 14, 1989, defendant had a psychotic episode leading to his commission of 
the crimes. 
3. Rebuttal 
a. Defendant’s prior threats 
Federal Bureau of Investigation Agent John Johnson testified that several 
days after the murders when defendant was still a fugitive, Johnson interviewed 
Salvador Oseguera Manzo and Bianey Mata, who were working at St. Francis 
Winery.  The two men informed Johnson that at some point Mata had several 
heated exchanges with defendant after he overstayed his welcome at Mata’s 
19 
residence and Mata tired of providing defendant with food, beer, and cigarettes.  
At one point, defendant disclosed to Manzo that he kept several automatic rifles 
and a pistol in the trunk of his vehicle to “take care of Mata,” should the latter 
cause defendant problems in the future.  Manzo and Mata were very concerned for 
their personal safety. 
b. Prosecution experts 
Neuropsychologist Dr. John Walker reviewed defendant’s transcribed 
statement and the police reports of the crimes.  Based upon that material, Dr. 
Walker did not believe that defendant suffered from psychosis at the time of the 
crimes. 
Upon being re-called, Dr. Reese Jones testified that analysis of an 
individual’s serotonin levels present in blood was of limited utility.  He explained 
that, among other limitations, serotonin is but one of 80 to 100 different 
neurotransmitters that interact with one another in the human body, and that 
analysis of the level of serotonin present in blood is not as accurate or predictive 
of brain activity as would be analysis of serotonin in spinal fluid or brain tissue.  
Dr. Jones testified that the results of the December 14, 1989 blood assay of 
defendant’s serotonin levels reflecting the presence of less than 10 nanograms of 
serotonin per milliliter of blood suggested errors in testing, because the body 
requires some level of serotonin to function.  Although low levels of serotonin 
may indicate a history of mental disturbance or cocaine use, an abnormally low 
level of serotonin probably would not be attributable to the effects of cocaine last 
used six months earlier. 
Having reviewed the police reports, defendant’s statement, and the 
testimony of Dr. Smith and Dr. Crinella, Dr. Jones also expressed doubt 
concerning Crinella’s opinion that defendant suffered a psychotic episode during 
the period in which he committed the crimes.  Dr. Jones pointed out that during 
this period, defendant did not display catatonic stupor or excitement, 
20 
hallucinations or illusions, psychotic delusions, incoherence, or extremely 
disorganized behavior. 
The jury reached its verdict on October 30, 1990, finding defendant guilty 
of the offenses as charged, with the exceptions that defendant was found guilty of 
second degree murder of Marie Ann Richards and was acquitted of attempted 
murder of Mrs. Butti.  The jury found true the firearm use, knife use, and great-
bodily-injury allegations as well as the multiple-murder special-circumstance 
allegation. 
B. Penalty Phase Evidence 
1. The prosecution’s case in aggravation 
The prosecution presented a photograph depicting the body of Marie Ann 
Richards, together with foundational testimony from Detective David Edmonds 
establishing that the position in which her body was found indicated she had been 
sexually molested.  Marie was found lying on her back with her nightgown pulled 
above her waist, her knees and lower legs spread wide apart, and her underpants 
wrapped around one ankle.  The body had blood smears near the pelvis. 
2. The defense case in mitigation 
Defendant’s mother, Valentina Armendariz, described defendant’s youth 
and family life.  Defendant, 29 years of age at the time of trial, was one of seven 
children.  He suffered severe pneumonia at one month of age.  Defendant enjoyed 
school, but when his father died in 1975, it was necessary for defendant to leave 
school, having received only nine years of education.  While growing up, 
defendant had many friends and got along well with his family.  Defendant 
worked at various jobs and at times contributed to the family’s finances. 
Defendant’s mother testified that defendant had a temper, as had his father.  
On one occasion, defendant became angry with his sister and destroyed her bed.  
On another, defendant wanted to use a “locked” telephone at his mother’s 
residence.  His mother asked him to use another, unlocked telephone in the home, 
but defendant repeated his request and hit his brother in the face when the latter 
21 
asked defendant to calm down.  Defendant’s mother and his younger brother did 
not remember defendant threatening to kill his family.  Shortly after that incident, 
defendant moved to the United States.  Later, defendant occasionally telephoned 
his mother and visited her, accompanied by his wife and children. 
Sonoma County Sheriff’s Detectives David Edmonds and Larry Doherty 
traveled to Mexico to investigate defendant’s background and interview those who 
had known him in that country.  The detectives ascertained that defendant did not 
have a criminal record.  His childhood neighbors did not report anything negative 
about defendant, and his former employers provided letters of recommendation. 
As noted earlier, before 8:30 a.m. on April 14, 1989, defendant made a 
telephone call to his mother and informed her that a tragedy had occurred; he had 
killed his wife, and he was going to be killed or was going to kill himself.  
Defendant told his mother that he had left his children with a friend.  Three days 
later, defendant appeared at his mother’s house, crying and appearing anguished.  
Defendant asked to see his grandmother and sister before surrendering.  
Subsequently, defendant sent his mother a letter in which he accepted 
responsibility for his actions, expressed doubt that his first daughter was his own, 
and commented that nothing had worked out for him with his first and second 
wives. 
A correctional officer at Sonoma County jail testified that defendant was a 
good inmate.  A former prison warden testified that defendant’s record indicated 
he would not be a danger if he were sentenced to life in prison without the 
possibility of parole.  A postal employee from defendant’s community testified 
that defendant was pleasant, cheerful, very religious, and had nice things to say 
about everyone.  The defense also displayed 10 samples of defendant’s drawings. 
The penalty phase commenced on November 5, 1990, and the parties 
concluded the presentation of evidence on November 13.  After three days of 
deliberations, the jury returned a verdict of death on November 16.  The trial court 
22 
declined to modify the verdict and imposed a sentence of death on December 17, 
1990. 
II.  DISCUSSION 
A. Asserted Errors Affecting the Guilt Phase of Trial 
1. Effect on California jurisdiction of defendant’s seizure in Mexico 
Defendant contends that because he was a citizen of the Republic of 
Mexico, he was not subject to seizure in Mexico by law enforcement officials of 
the United States and California governments.  Defendant urges that in obtaining 
custody of him by falsely representing to Mexican government officials that 
defendant was a citizen of the United States, American officials violated the terms 
of the extradition treaty between the United States and Mexico, as well as 
international law, and as a consequence California forfeited its jurisdiction to 
prosecute him.3  According to defendant, the state is required to release him to the 
custody of law enforcement officials in Mexico, whose legal system does not 
prescribe a death penalty for any crime, and whose official policy is not to 
extradite an individual sought for criminal prosecution by another nation having 
criminal laws that prescribe the death penalty for certain crimes. 
a. Factual and procedural background 
On December 12, 1989, defendant moved to prohibit the prosecution from 
seeking the death penalty on the basis that, in requesting defendant’s return to the 
United States for prosecution, American law enforcement officers intentionally 
circumvented the extradition procedures of the Treaty of Extradition Between 
                                              
3 
In the proceedings described below, defendant did not challenge the 
jurisdiction of the California court to try him for these offenses.  Rather, defendant 
merely challenged any attempt by the state to assert or impose the death penalty — 
on the ground that the American officials’ seizure of defendant was in violation of 
the treaty and international law.  It is established, however, that a jurisdictional 
claim raised for the first time on appeal, is directed to our court’s fundamental 
(Footnote continued on next page.) 
23 
United States of America and United Mexican States.  (Agreement of May 4, 
1978, 31 U.S.T. 5059, T.I.A.S. No. 9656, entered into force June 25, 1980 
(Extradition Treaty or Treaty).)  Defendant asserted that American officials sought 
to forestall an attempt by the Mexican government to invoke article 8 of the 
Treaty, which provides that the requested party may refuse extradition unless the 
requesting party furnishes assurances that its death penalty laws will not be 
imposed.  The prosecution opposed the motion on the basis that only the Mexican 
government is a party to the Treaty with standing to complain of a violation.  
Defendant urged in reply that, inasmuch as the Mexican government participated 
in defendant’s illegal arrest and detention, it could not object to a treaty violation. 
The trial court conducted a series of hearings and granted defendant several 
continuances to pursue further discovery in this matter.  Defendant also 
unsuccessfully applied to obtain commissions to examine foreign witnesses — the 
subject of defendant’s fourth claim below.  (See post, pp. 37-40.)  On August 1, 
1990, defendant moved to preclude application of the death penalty, this time on 
the theory that the penalty violated international law.4  Defendant relied upon 
testimony and other evidence concerning the circumstances of his arrest in Mexico 
and return to the United States presented at the hearings held in connection with 
these motions, the substance of which is recounted below. 
In seeking custody of defendant, officials in Sonoma County consulted with 
officials of the offices of the California Attorney General and the United States 
Attorney regarding matters of formal and informal extradition, and received the 
assistance of several other government agencies in this country and in Mexico.  
                                                                                                                                      
 
(Footnote continued from previous page.) 
authority to act and is not forfeited.  (Cf. People v. Simon (2001) 25 Cal.4th 1082, 
1095-1096; 3 Witkin, Cal. Procedure (4th ed. 1996) Actions, § 701, pp. 892-893.) 
4 
Jury selection commenced on July 23, 1990, and concluded on September 
5, 1990. 
24 
On April 18, 1989, Sonoma County Sheriff’s Detective David Edmonds was 
apprised that defendant was in Mexico, and Edmonds subsequently learned from a 
Drug Enforcement Administration (DEA) agent in Mazatlan, Mexico, that 
defendant had been taken into custody in that city.  Los Angeles Police 
Department (LAPD) Detectives Moya and Arturo Zorilla (head of the Latin 
American Fugitive Unit), whose areas of expertise included international custody, 
informed Sonoma County officials that the Mexican government might formally 
extradite, informally expel, or prosecute defendant, and would require certain 
documents from any American officials who sought custody.  Having been 
apprised that authorities in Mexico likely would not extradite defendant, Sonoma 
County officials did not seek formal extradition. 
Based upon their consultants’ advice, Sonoma County officials prepared 
two information packets.  The larger packet was to be provided in the event the 
Mexican government would not extradite or otherwise release defendant to 
American law enforcement officers for prosecution in the United States.  The 
packet included a copy of a 1986 Immigration Visa and Alien Registration form 
designating defendant a Mexican national, and a letter dated April 19, 1989, 
prepared by Sonoma County District Attorney Gene Tunney, requesting that the 
Mexican government prosecute defendant as a Mexican national for the murders.  
The smaller packet contained information concerning the murder case against 
defendant and identifying him, including his place of birth but not his nationality. 
In Mexico, meanwhile, DEA Supervisor Edward Heath, then stationed at 
the American Embassy in Mexico City, had been apprised that defendant was 
wanted for murder in the United States and was currently in Mexico.  DEA Agent 
Joseph Martinez, stationed in Mazatlan, provided this information to Heath prior 
to and following defendant’s arrest near Los Mochis by the Mexican Federal 
Judicial Police, which took place in the presence of Agent Martinez.  Defendant 
was driven to Mazatlan in a convoy of vehicles.  DEA Agent Martinez was present 
in another vehicle.  Heath learned from several communications with his agents 
25 
and with Assistant Attorney General of the Republic of Mexico, Javier Coelho 
Trejo (second in command at that office), that defendant had identified himself to 
the federal magistrate in Mazatlan.  Although the magistrate was prepared to expel 
defendant immediately, and Coelho Trejo “did not want someone like that in their 
country,” officials arranged for defendant to be transported (in the company of the 
federal judicial police and DEA Agent Martinez) to Mexico City to make positive 
identification. 
On April 20, 1989, Sonoma County Sheriff’s Detectives Edmonds, 
Doherty, Mike Brown, and Frank Trejo, and LAPD Officers Moya and Zorilla 
flew on a borrowed private aircraft to Mexico City.  Detectives Edmonds and 
Doherty and DEA Supervisor Heath met with Coelho Trejo, who told them 
defendant had signed documents attesting that he was a citizen of the United 
States.  Coelho Trejo also related that he had observed defendant make a statement 
“to the public” on television that he was a United States citizen and wanted to be 
returned to the United States.  Heath testified that the Americans presented a 
package to Coelho Trejo that included all of the charges, defendant’s fingerprints, 
his application for an immigrant visa, and other information.  Coelho Trejo 
retained the package, stating he would discuss the matter with his superiors and 
make a final determination whether to “informally extradite” (or expel) defendant, 
“or, if it was determined that he was a Mexican citizen possibly he would not be 
expelled.” 
Heath testified that in negotiating the terms of defendant’s release and 
transfer, Heath and Coelho Trejo both assumed defendant was an American 
citizen.  Heath believed that was the case, because defendant had resided and 
worked for several years in the United States, had a Social Security card and a 
driver’s license, and had children and a permanent residence in California.  
Detective Edmonds told Heath defendant was an American citizen.  Heath testified 
that, had Coelho Trejo realized defendant was a Mexican citizen or national, it 
26 
would have been difficult for him to surrender defendant to the American 
authorities. 
Approximately three hours after the foregoing meeting, the American 
agents were informed by the Mexican officials that their government had decided 
to expel defendant, and that the Americans would be permitted to return defendant 
to Sonoma County. 
During the hearings on defendant’s motion to preclude the death penalty 
because of asserted treaty and international law violations, the trial court 
considered the testimony of Supervisor Heath, Detectives Edmonds, Trejo, 
Doherty, Brown, and Edmonds, Officer Zorilla, and District Attorney Tunney.  
Defendant also furnished documents that included the statement of an official in 
the Mexican Attorney General’s office disclaiming knowledge of any written 
documents executed by defendant in Mexico, and commenting it was highly 
unlikely such a document existed because defendant had been expelled from that 
country. 
The trial court determined that only a party government may assert a 
violation of the terms of the Treaty, that the government of Mexico did not seek to 
invoke the protections of the Treaty or request that defendant not be subject to the 
death penalty, and that defendant did not appear to have standing to object to any 
violation of the terms of the Treaty.  The court also rejected the claim based on 
international law, and denied defendant’s motions as well as his application for an 
additional commission and a continuance.  Defendant sought relief by filing a 
petition for a writ of mandate, which was denied by the Court of Appeal. 
b. Analysis 
In furtherance of the mutual goal to “cooperate more closely in the fight 
against crime,” under the 1978 Extradition Treaty the United States and the 
Republic of Mexico each is required to extradite any person whom the other 
nation is seeking, has charged, or has convicted of certain offenses within its 
borders.  The Treaty mandates extradition for enumerated willful acts, including 
27 
murder or manslaughter, that are subject to punishment by the laws of each nation 
party for a maximum sentence of one or more years.  (Art. 1, subd. (1).)  The 
requested party is required to grant extradition if the person “is a national of the 
requesting Party, and that Party has jurisdiction under its own laws to try that 
person.”  (Art. 1, subd. (2)(b).) 
Article 8 of the Treaty provides:  “When the offense for which extradition 
is requested is punishable by death under the laws of the requesting Party and the 
laws of the requested Party do not permit such punishment for that offense, 
extradition may be refused unless the requesting Party furnishes such assurances 
as the requested Party considers sufficient that the death penalty shall not be 
imposed, or, if imposed, shall not be executed.”  (Italics added.)  Article 9, 
subdivision (1) provides that a nation party is not “bound to deliver up its own 
nationals,” but the executive authority of that party may do so at his or her 
discretion, if not prohibited by the party’s laws.  Subdivision (2) provides that if 
the national is not extradited, the requested party “shall submit the case to its 
competent authorities for the purpose of prosecution.” 
In United States v. Alvarez-Machain (1992) 504 U.S. 655 (Alvarez-
Machain), the high court interpreted the Treaty as not defeating federal 
jurisdiction to prosecute a foreign national abducted abroad for the purpose of 
prosecution.  Following the defendant’s indictment for kidnapping and murdering 
a DEA special agent, the DEA orchestrated the defendant’s forcible kidnapping in 
Mexico to enable his prosecution in the United States.  The Mexican government 
protested.  The district court and the circuit court of appeals both ruled that 
forcible abduction of a Mexican national “ ‘with the authorization or participation 
of the United States’ ” violated the Treaty and, in view of Mexico’s formal 
objection, defeated jurisdiction and required dismissal of the indictment.  (Id. at 
pp. 657-659.) 
In reversing the lower courts, the high court compared two early, nearly 
contemporaneous precedents.  In United States v. Rauscher (1886) 119 U.S. 407, 
28 
430, the court determined the effect of Great Britain’s surrender of a British 
national to the United States for prosecution pursuant to an extradition treaty.  The 
court held that “a person who has been brought within the jurisdiction of the court 
by virtue of proceedings under an extradition treaty, can only be tried for one of 
the offenses described in that treaty, and for the offense with which he is charged 
in the proceedings for his extradition.”  (Id. at p. 430.)  In contrast, in Ker v. 
Illinois (1886) 119 U.S. 436 (Ker) the court considered the effect on jurisdiction of 
forcible abduction in Peru of a non-Peruvian national (without objection from 
Peru) for the purpose of prosecution in the United States.  The court held that 
“forcible abduction is no sufficient reason why the party should not answer when 
brought within the jurisdiction of the court which has the right to try him for such 
an offense.”  (119 U.S. at p. 444; Alvarez-Machain, supra, 504 U.S. at pp. 659-
666.) 
The high court observed it has “never departed from the rule announced in 
Ker that the power of a court to try a person for a crime is not impaired by the fact 
that he had been brought within the court’s jurisdiction by reason of a ‘forcible 
abduction’ . . . .  There is nothing in the Constitution that requires a court to permit 
a guilty person rightfully convicted to escape justice because he was brought to 
trial against his will.”  (Alvarez-Machain, supra, 504 U.S. at pp. 661-662; see 
Frisbie v. Collins (1952) 342 U.S. 519, 522 [concluding Michigan had jurisdiction 
to prosecute a defendant abducted in Illinois by Michigan officers, because “due 
process of law is satisfied when one present in court is convicted of a crime after 
having been fairly apprised of the charges against him and after a fair trial in 
accordance with constitutional procedural safeguards”].) 
In Alvarez-Machain the defendant contended the rule in Ker, recognizing 
jurisdiction to prosecute despite abduction from a foreign country, did not apply, 
because the federal government was involved in his abduction and Mexico 
objected to his prosecution.  In considering whether the defendant’s abduction 
defeated jurisdiction, the high court stated that if the abduction did not violate the 
29 
terms of the Treaty, the rule in Ker applied “and the court need not inquire as to 
how [the defendant] came before it.”  (Alvarez-Machain, supra, 504 U.S. at 
p. 662.)  The court observed that the Treaty does not discuss “the obligations of 
the United States and Mexico to refrain from forcible abductions of people from 
the territory of the other nation, or the consequences under the Treaty if such an 
abduction occurs.”  (Id. at p. 663.) 
Further considering the language in historical context, the high court held 
the Treaty does not prohibit abductions when formal extradition is not sought.  
“Article 9 does not purport to specify the only way in which one country may gain 
custody of a national of the other country for the purposes of prosecution.  In the 
absence of an extradition treaty, nations are under no obligation to surrender those 
in their country to foreign authorities for prosecution.  [Citations.]  Extradition 
treaties exist so as to impose mutual obligations to surrender individuals in certain 
defined sets of circumstances, following established procedures.  [Citation.]  The 
Treaty thus provides a mechanism which would not otherwise exist, requiring, 
under certain circumstances, the United States and Mexico to extradite individuals 
to the other country, and establishing the procedures to be followed when the 
Treaty is invoked.”  (Alvarez-Machain, supra, 504 U.S. at pp. 664-665.) 
The high court next analyzed whether “the Treaty should be interpreted so 
as to include an implied term prohibiting prosecution where the defendant’s 
presence is obtained by means other than those established by the Treaty.”  
(Alvarez-Machain, supra, 504 U.S. at p. 666.)  The court found the legislative 
history did not reflect an intent to prohibit “abductions outside of its terms,” and 
the Treaty does not prohibit abduction “when the nation from which the defendant 
was abducted objects.”  (Id. at p. 666, 667.)  Thus, jurisdiction was not defeated by 
the abduction “regardless of the offensiveness of the practice of one nation to the 
other nation.”  (Id. at p. 667.)  The high court also noted that international law, 
which clearly prohibits international abductions, does not govern extradition 
treaties and thus does not affect interpretation of the Treaty.  (Id. at p. 668.)  “[T]o 
30 
infer from this Treaty and its terms that it prohibits all means of gaining the 
presence of an individual outside of its terms goes beyond established precedent 
and practice” and would require an inferential leap with respect to international 
law.  (Id. at pp. 668-669.)  Because the defendant’s abduction did not violate the 
Treaty, Ker was applicable and the defendant could be tried in this country for 
violations of its criminal laws.  (Id. at p. 670.) 
In the present case, no proceedings under color of the Treaty were 
commenced when defendant was apprehended.  As federal and state court 
decisions repeatedly have held, an individual lacks standing to challenge an 
asserted violation of an international treaty if the sovereign who is a party to the 
treaty does not protest.  (See, e.g., United States v. Emuegbunam (6th Cir. 2001) 
268 F.3d 377, 389-390; United States v. Jimenez-Nava (5th Cir. 2001) 243 F.3d 
192, 195, & fn. 3; Rodriguez v. State (Fla. Dist. Ct. App. 2002) 837 So.2d 478, 
481; Commonwealth v. Diaz (2000) 431 Mass. 822, 827, 730 N.E.2d 845, 850.)  
Far from protesting defendant’s seizure and rendition, Mexico willingly, if not 
enthusiastically, accommodated defendant’s request to return to California in light 
of the avowal of U.S. citizenship he made on live television in Mexico.  (See ante, 
p. 25; see also Case Concerning Avena and Other Mexican Nationals (Mex. v. 
U.S.), 2004 I.C.J. 128 (Mar. 31)  [Mexico recognized that at the time of his arrest, 
the defendant asserted his United States citizenship].)  In the absence of an 
objection on the part of Mexico, defendant as an individual may not question the 
validity of his seizure under the Treaty.  (Alvarez-Machain, supra, 504 U.S. at pp. 
668-670; Ker, supra, 119 U.S. 436, 444.) 
Even if we were to assume for the sake of argument that American law 
enforcement officers obtained custody of defendant from Mexican authorities by 
intentionally misrepresenting he was a citizen of the United States and that, had 
the Mexican authorities believed defendant was a Mexican national, they would 
have objected to a transfer of custody, as the high court in Alvarez-Machain has 
explained, such involuntary seizures are neither permitted nor prohibited under the 
31 
terms of the Treaty.  Had defendant’s “abduction” been accomplished by 
mendacity rather than by force, that circumstance would not render the rule in Ker 
inapplicable. 
In the alternative, defendant contends that the conduct of the Republic of 
Mexico was consistent with his having been expelled, thus rendering the Treaty 
applicable, because both parties to the Treaty — Mexico and the United States — 
sought the same result.  The circumstance that a foreign national’s country of 
origin informally cooperates with the government of the United States in securing 
the removal of the foreign national does not make the removal subject to the terms 
of the Treaty. 
For example, in United States v. Mejia (D.C. Cir. 2006) 448 F.3d 436, 439, 
442-443, the court held that the Panamanian authorities’ seizure of the defendants 
in Panama and rapid transfer of their custody to DEA agents was permissible.  
Similar to the United States-Mexico Treaty, the United States-Panama treaty 
contained “no prohibition against procuring the presence of an individual outside 
the terms of the treaty — let alone one barring the signatories from informally 
cooperating with each other.”  (Id. at p. 443.)  Similarly, in United States v. 
Bourdet (D.D.C. 2007) 477 F.Supp.2d 164, 169, 178, DEA and Salvadoran 
officials met and discussed the manner in which the defendants would be arrested 
for drug offenses committed in the United States, and Salvadoran officials made 
the decision to arrest and controlled the ensuing tactical and administrative details.  
The United States-El Salvador treaty was found not to prohibit or address 
procurement of an individual outside its terms, and the court, declining to infer a 
prohibition, held that the defendants’ renditions did not violate the treaty or 
compromise their due process rights.  (See also United States v. Suchit 
(D.D.C. 2007) 480 F.Supp.2d 39, 49-50.)  We see no reason to depart from that 
precedent in the case before us.  Even assuming that defendant has standing to 
object to a Treaty violation on this theory, his seizure and transportation from 
32 
Mexico did not violate the Treaty, and the California court had jurisdiction of his 
case. 
Defendant also suggests that even if federal precedent does not mandate 
reversal of his conviction on the ground that his custody was obtained through 
deception committed by the authorities in violation of the Treaty, this court should 
reverse the judgment in the exercise of our inherent supervisory power “to do 
equity and administer justice.”  Defendant urges that doing so would prevent the 
abuse of court process undertaken by United States officials, who, in deceiving the 
Mexican government as to defendant’s nationality, induced it to violate its 
obligations under the International Covenant on Civil and Political Rights.  It has 
not been demonstrated that Mexican officials released custody of defendant to 
American agents as a result of any misrepresentation.  Moreover, assuming 
defendant had standing to invoke that covenant, it is not our task to redress an 
asserted violation of an international agreement by a nation party.  (See People v. 
Prince (2007) 40 Cal.4th 1179, 1298 (Prince); People v. Cornwell (2005) 37 
Cal.4th 50, 106 (Cornwell).) 
2. Effect of defendant’s seizure on imposition of death penalty 
Defendant contends the trial court erred in denying his motion to preclude 
imposition of the death penalty following his assertedly illegal seizure in Mexico.  
Defendant urges that application of the death penalty would violate his rights 
under the Fifth and Sixth Amendments to the United States Constitution to due 
process of law and his Eighth Amendment right to a fair trial as applied to the 
states by the Fourteenth Amendment.5 
                                              
5 
Defendant requests that pursuant to Evidence Code section 452, we take 
judicial notice of “the criminal cases referred to herein,” an apparent reference to 
his petition for writ of mandate filed in this court (Salcido v. Super. Ct. filed Sept. 
10, 1990, S017395) challenging the trial court’s denial of his request for a 
commission to examine witnesses in Mexico.  The trial court ruled that defendant, 
as an individual, lacked standing to receive such a commission for this purpose.  
(Footnote continued on next page.) 
33 
As explained above, in the trial court defendant moved to preclude the 
death penalty on grounds similar to those raised on appeal in challenging 
California’s jurisdiction over him — namely, that asserted misrepresentation by 
United States law enforcement agents to Mexican officials that defendant was a 
United States citizen violated the Treaty and international law.  Similar to the 
conclusion we reach here, the trial court’s holding was that defendant lacked 
standing to assert such a violation, and that assuming defendant had standing, his 
seizure by United States officers did not violate the explicit or implicit terms of the 
Treaty and did not violate international law.  For the same reasons, the present 
claim must be rejected. 
3. Defendant’s confession during his return from Mexico 
a. Inadequate Miranda warnings 
Defendant contends that the advisements given defendant by Detective 
Edmonds pursuant to Miranda v. Arizona (1966) 384 U.S. 436 (Miranda), during 
the flight returning defendant to the United States were inadequate.6  According to 
                                                                                                                                      
 
(Footnote continued from previous page.) 
Following our transfer of the petition to the First District Court of Appeal, that 
court denied the petition (Sept. 13, 1990, A050953) and we denied review.  
(Oct. 25, 1990, S017552.)  We grant the request to take judicial notice of the 
relevant documents.  We deny defendant’s additional requests under Evidence 
Code section 452 to take judicial notice of “trial court proceedings in other cases,” 
and “proceedings in this court in other cases” consisting of references to the 
reporter’s transcripts of the trials in 51 automatic appeals we previously have 
decided. 
6 
Defendant suggests that his in-flight confession was the fruit of an unlawful 
interrogation conducted by Mexican officials, and that the “pattern and practice” of 
that nation’s officials make it “reasonable to assume” that such interrogation was 
coerced and involuntary and that defendant was not advised of his Miranda rights.  
Defendant also theorizes that his confession to Mexican authorities may have been the 
result of torture or other coercive methods, based upon reports of the general pattern 
and practice of law enforcement authorities in Mexico as described in a report issued 
by Amnesty International.  (Amnesty International, Amnesty International’s Concerns 
(Footnote continued on next page.) 
34 
defendant, he neither intelligently nor knowingly waived his Miranda rights.  The 
transcribed record of the interview establishes, to the contrary, that Detective 
Edmonds carefully advised defendant of his Miranda rights and inquired in 
followup questions whether defendant had been beaten or mistreated in any way 
or felt he was being coerced in any way.  Defendant repeatedly responded that he 
had not been mistreated or coerced and had volunteered to talk with Edmonds 
about the crimes. 
                                                                                                                                      
 
(Footnote continued from previous page.) 
Regarding Torture and Ill-Treatment in Mexico (AMR 41/17/97, Apr. 30, 1997).)  
Defendant contends his involuntary confession to authorities in Mexico resulted in his 
confession to United States law enforcement authorities, rendering the latter 
confession subject to suppression as tainted by the former.  Defendant relies upon a 
comment by Detective Edmonds to defendant, in their transcribed interview on the 
flight returning to the United States, that Edmonds “heard” defendant had a reason for 
killing his wife, and asked whether that was true. 
 
As defendant acknowledges, the record in general, and Detective Edmonds’s 
comment in particular, do not reflect that defendant was interrogated in Mexico.  
According to the testimony offered at hearings related to defendant’s above-described 
pretrial motions (notably, that of DEA Supervisor Heath relating his meeting with 
Mexico’s Assistant Attorney General Coelho Trejo (see ante, pp. 25-26)), defendant 
appeared on television in Mexico, claiming to be a United States citizen and 
requesting that he be returned to this country, and did not exhibit any signs of 
mistreatment.  Moreover, upon defendant’s arrest and conveyance to Mazatlan, 
Mexican officials promptly transported him to Mexico City, where officials 
determined that defendant should be expelled and promptly transferred him to the 
custody of United States officials. 
In asserting that a coerced interrogation did occur or was likely to have 
occurred based upon generalized studies of law enforcement practices in Mexico, 
defendant contends, as discussed more fully below (post, pp. 37-40), that the trial 
court erred in denying his motions for a commission to examine officials who 
were present at defendant’s arrest in Mexico or who were familiar with that 
nation’s interview practices.  The trial court’s denial of defendant’s request for a 
commission to interview foreign resident witnesses is discussed in part II.A.4., 
post.  Here we consider the claims related to the Miranda warnings and the 
interview conducted by American officials during the return flight to the United 
States. 
35 
Defendant also claims that his asserted inability to communicate effectively 
in English contributed to a “perception that the lawyer [provided for him by the 
government] would be in the Sheriff’s employ and not necessarily aligned with 
defendant’s best interests,” and evidently the impression that there would be no 
benefit in requesting or receiving the assistance of an attorney.  Defendant relies 
upon United States v. Garibay (9th Cir. 1998) 143 F.3d 534, a decision that 
assertedly bears a “compelling similarity” to his own case.  In that matter, the 
court held the defendant had not knowingly or intelligently waived his Miranda 
rights, because he did not understand the recitation of his rights in English, was 
not given an opportunity to hear his rights in Spanish, did not have ability in the 
English language, and had a low verbal IQ.  (Id. at pp. 537-538.) 
In the present case, in contrast, the transcript of advisements, followup 
questions, and defendant’s responses establishes that Detective Edmonds inquired 
whether defendant wished to receive the advisements in English or in Spanish and 
whether he was more comfortable conversing in English or in Spanish.  Spanish-
speaking agents were present on the flight, with whom defendant could consult if 
there was something he did not understand.  In addition, as explained in expert 
testimony, defendant had an above-average IQ.  Unlike the defendant in Garibay, 
defendant was provided an ample opportunity to be advised in Spanish and to 
communicate in that language, and had the innate intelligence to decide whether to 
avail himself of that opportunity. 
Finally, defendant contends his waiver of Miranda rights was invalid 
because, in obtaining the waiver, Detective Edmonds failed to advise defendant 
that he might face the death penalty if found guilty.  In rejecting such a claim in 
People v. Hill (1992) 3 Cal.4th 959, we explained that Miranda does not require 
the authorities to apprise a suspect of the crimes with which he or she may be 
charged.  We explained that “[i]f a suspect need not be informed of the possible 
charges against him, there is no basis for concluding that he must be advised of the 
possible punishment for those charges if proven.”  (Id. at p. 982.) 
36 
b. Involuntariness 
Defendant contends that both his Miranda waiver and his ensuing 
statement are attributable “to his will being overborne” and thus are involuntary.  
As mentioned earlier, defendant believes we should infer involuntariness from the 
likelihood that defendant was physically and psychologically coerced while in the 
custody of Mexican law enforcement officers and, in addition, “[a]fter this ordeal, 
he was physically, mentally and emotionally exhausted.”  Defendant also points to 
the circumstances surrounding his seizure by American officials, his recent 
ingestion of drugs and alcohol, the circumstances of the flight, including lengthy 
confinement in a small aircraft, lack of sleep, water, and access to a telephone, his 
inability to communicate effectively in English, and Detective Edmonds’s 
assertedly coercive questioning tactics. 
As an initial matter, defendant requests that the court overlook defense 
counsel’s failure to object to the admission of the confession at trial or, 
alternatively, determine that defense counsel violated defendant’s Sixth 
Amendment rights by providing ineffective assistance.  We shall discuss the latter 
claim with the other claims of ineffective assistance of trial counsel. 
On the merits, we conclude that the circumstances of defendant’s arrest and 
transfer did not contribute to or result in his will being overborne.  Defendant’s 
spontaneous initial admission of guilt (in itself consistent with the self-accusatory 
note found in his vehicle), the absence of physical signs or other evidence that 
defendant had been mistreated prior to or during his transfer to American officials, 
together with the recording of the Miranda advisements, defendant’s explicit 
waiver of his rights, and his subsequent lengthy and detailed narrative of the 
circumstances of the crimes, are simply inconsistent with involuntary conduct on 
his part.  The record evidence amply reflects defendant’s personal willingness, if 
not desire, to discuss his crimes. 
37 
4. Trial court’s denial of a commission to examine Mexican officials 
concerning defendant’s confession 
Defendant contends the trial court erred in denying his applications for a 
commission to examine witnesses in Mexico who assertedly were material with 
respect to the circumstances of both defendant’s release and transfer to American 
law enforcement officials, and defendant’s interrogation.  Defendant asserts the 
interrogation may have been a “joint venture” between Mexican and American 
officials, requiring that adequate Miranda warnings and other American legal 
protections be provided.  Defendant claims the trial court’s error violated his rights 
to due process of law and a fair trial under the Fifth, Eighth, and Fourteenth 
Amendments. 
At the time defendant initially moved in December 1989 to bar the 
prosecution from seeking the death penalty, based upon asserted treaty violations 
(see ante, pp. 23-26), defendant filed a related motion for discovery regarding his 
apprehension in Mexico and transfer to the custody of American law enforcement 
officials.  The trial court denied the discovery motion on the ground that as an 
individual, defendant lacked standing to assert a violation of the Treaty or rely 
upon it as a third party beneficiary.  The court granted several continuances to 
pursue further discovery. 
On May 30, 1990, defendant applied for the issuance of a commission to 
examine 13 nonresident witnesses, including Assistant Attorney General Coelho 
Trejo, Department of Foreign Relations Director of Legal Affairs Dr. Alberto 
Szekley, and Mazatlan Police Comandante Antonio Romero, all officials of the 
Republic of Mexico, as well as DEA Agents “Joe Heath” (actually, Edward 
Heath), James Reagan, Joseph Martinez, Ricky Sanchez, and Eddy Sanchez, and 
five members of defendant’s family.  Defendant urged these witnesses were 
necessary to provide evidence concerning asserted due process violations resulting 
from official circumvention of the Treaty.  The trial court denied the request on 
the basis that the court lacked jurisdiction to compel testimony in a foreign nation, 
38 
noting as it had earlier that a commission was not available as a discovery tool.  
The court denied a motion for an additional continuance. 
At the hearing held August 13, 1990, in connection with defendant’s 
renewed motion to prohibit the prosecution from seeking the death penalty on the 
basis of due process violations occurring during defendant’s transfer to American 
officials, DEA Supervisor Heath testified as described above regarding the 
circumstances of defendant’s arrest, transportation to Mexico City, and ultimate 
release to United States officials.  Defendant filed a renewed application for a 
commission on August 20, 1990, based on that testimony, naming only Coelho 
Trejo and Dr. Szekley.  The trial court denied the motion on the grounds that a 
commission was an inappropriate means of discovery, and that it had not been 
demonstrated these prospective witnesses could provide testimony that would be 
material at trial, or material, admissible, or relevant in the proceedings on the 
defense motion to bar the death penalty. 
Sections 1349 through 1362 set forth procedures under which a defendant 
may have a material witness residing outside the state or the country examined on 
an issue of fact arising in a pending criminal action.  The defendant must apply for 
an order to examine the witness upon a commission (§§ 1349, 1350), based upon 
an affidavit stating the testimony of the witness is material to defense of the 
action.  (§ 1352; see People v. Cavanaugh (1968) 69 Cal.2d 262, 266 [holding a 
witness may not be deemed material on the basis that he or she possibly could 
provide pertinent testimony in trial; the defense must demonstrate materiality at 
the hearing].)  If the court “is satisfied of the truth of the facts stated, and that the 
examination of the witness is necessary to the attainment of justice,” it must order 
issuance of a commission to take the witness’s testimony.  (§ 1354; People v. 
Stewart (1924) 68 Cal.App. 262, 266.) 
The commission itself is a process issued under seal of the court, 
authorizing a designated individual to take the deposition of the named foreign 
witness and return it to the court.  (§ 1351; Volkswagenwerk Aktiengesellschaft v. 
39 
Superior Court (1973) 33 Cal.App.3d 503, 506-507.)  Depositions taken under the 
commission may be read into evidence by either party at trial on a finding the 
witness is unavailable under Evidence Code section 240.  (§ 1362.)  The 
procedure does not afford any means by which such testimony may be compelled; 
obtaining the testimony is subject to the consent of the person whose testimony is 
sought. 
The trial court’s ruling on the application is reviewed for an abuse of 
discretion.  (People v. Oakley (1967) 251 Cal.App.2d 520, 525 [trial court did not 
abuse its discretion in denying defense motion for two-week continuance of trial 
to permit taking depositions of certain witnesses when record was silent as to 
substance of intended testimony]; People v. Markos (1956) 146 Cal.App.2d 82, 85 
[trial court did not abuse its discretion in refusing an additional postponement 
when the defendant had the benefit of several continuances and several months to 
obtain the deposition of witness]); People v. Stewart, supra, 68 Cal.App. 621, 624 
[trial court did not abuse its discretion in denying order for commission when 
affidavit accompanying application merely stated the person’s testimony was 
material without describing the proposed testimony or any showing of its 
materiality].) 
In the present case, defendant was permitted a number of continuances in 
order to investigate the circumstances of his surrender, arrest, and treatment during 
the time he was in the custody of law enforcement officials in Mexico.  Defense 
counsel made several trips to that country as part of the defense investigation and, 
in reporting to the trial court on his progress, complained he was being 
“stonewalled” by officials there.  When the trial court denied the renewed motion 
on the ground, among others, that the court was not authorized to compel the 
testimony of the foreign witnesses, it was aware those witnesses had not willingly 
provided information to defense counsel.  In addition, by that time, several other 
witnesses had provided details of defendant’s release to the custody of United 
States officials.  As the court observed, Dr. Szekley could not have testified 
40 
concerning what the Mexican officials would have done had it been clearly 
established that defendant was a Mexican national.  The trial court properly 
determined under section 1354 that “the examination of the additional witnesses 
[was not] necessary to the attainment of justice.”  Its ruling did not violate 
defendant’s constitutional rights. 
5. Prosecution’s for-cause challenges of prospective jurors 
Defendant contends that in the course of voir dire conducted to determine 
the views of prospective jurors concerning the death penalty, the trial court 
improperly granted the prosecutor’s challenges for cause of two prospective 
jurors, T.C. and F.P..  Defendant asserts the excusals were not justified by any 
showing that the views of these prospective jurors would prevent or substantially 
impair the performance of their duties as jurors.  He asserts that excusal based 
merely upon a juror’s absence of enthusiasm for the onerous task of serving as a 
juror in a capital case violated defendant’s rights to due process of law and a fair 
and impartial jury under the federal and state Constitutions (U.S. Const., 5th, 6th, 
and 14th Amends; Cal. Const., art. I, §§ 7, 15, 16, and 17). 
As we repeatedly have observed, “[i]n a capital case, a juror is properly 
excused for cause if that juror would ‘automatically’ vote for a certain penalty or if 
the juror’s views on capital punishment would ‘ “prevent or substantially impair” ’ 
the performance of his or her duties in keeping with the juror’s oath and the 
court’s instructions.  (People v. Stitley (2005) 35 Cal.4th 514, 538 (Stitley), 
quoting Witherspoon v. Illinois (1968) 391 U.S. 510, fn. 21, and Wainwright v. 
Witt (1985) 469 U.S. 412, 424.)”  (People v. Alfaro (2007) 41 Cal.4th, 1277, 1313 
(Alfaro).)  Recently the high court reviewed the underlying relevant principles:  
“First, a criminal defendant has the right to an impartial jury drawn from a venire 
that has not been tilted in favor of capital punishment by selective prosecutorial 
challenges for cause.  [Witherspoon, supra, 391 U.S. at p. 521.]  Second, the State 
has a strong interest in having jurors who are able to apply capital punishment 
within the framework state law prescribes.  [Witt, supra, at p. 416.]  Third, to 
41 
balance these interests, a juror who is substantially impaired in his or her ability to 
impose the death penalty under the state-law framework can be excused for cause; 
but if the juror is not substantially impaired, removal for cause is impermissible.  
[Id. at p. 424.]”  Uttecht v. Brown (2007) 551 U.S. 1, __ [127 S.Ct. 2218, 2224, 
167 L.Ed.2d 1014] (Uttecht).) 
The high court continued:  “Fourth, in determining whether the removal of 
a potential juror would vindicate the State’s interest without violating the 
defendant’s right, the trial court makes a judgment based in part on the demeanor 
of the juror, a judgment owed deference by reviewing courts.  [Witt, supra, 469 
U.S. at pp. 424-434.]  Deference to the trial court is appropriate because it is in a 
position to assess the demeanor of the venire, and of the individuals who compose 
it, a factor of critical importance in assessing the attitude and qualifications of 
potential jurors. [Citations.]”  (Uttecht, supra, 551 U.S. 1, __ [127 S.Ct. 2218, 
2224.)  The latter comment confirms our established rule that such a determination 
involves an assessment of a prospective juror’s demeanor and credibility that is 
“ ‘peculiarly within a trial judge’s province.’  [Citation.]  ‘When applying these 
rules, the trial court’s assessment of a prospective juror’s state of mind will 
generally be binding on the reviewing court if the juror’s responses are equivocal 
and conflicting’ [citation] and the reviewing court generally must defer to the 
judge who sees and hears the prospective juror, and forms the ‘definite 
impression’ ” the juror is biased even when the juror’s views are not clearly stated.  
(People v. Lewis and Oliver (2006) 39 Cal.4th 970, 1006-1008 (Lewis and 
Oliver); People v. Chatman (2006) 38 Cal.4th 344, 365-366; People v. Schmeck 
(2005) 37 Cal.4th 240, 257-263 (Schmeck).) 
We apply those precepts to the present case.  When questioned by the trial 
court, Prospective Juror T.C. confirmed her response on the juror questionnaire 
that in her view, a juror who voted for the death penalty essentially committed 
murder, and that she was strongly opposed to the death penalty and would be 
unable to impose that punishment.  At this point, the trial court indicated it would 
42 
excuse T.C. for cause.  Defense counsel asked T.C. whether she automatically 
would vote for life imprisonment without the possibility of parole.  T.C. responded 
she would have to hear both sides and had not really decided.  She also stated she 
would be able to follow the law as given to the jury by the trial court and 
rationally decide whether death or life in prison without parole was the appropriate 
punishment, taking into account all of the circumstances. 
The trial court reminded T.C. of her earlier comments that she would not be 
able to impose the death penalty.  T.C. responded that she was not “for” that 
penalty, but if the law prescribed it she would have to vote for it.  The trial court 
explained that first degree murder with a special circumstance finding such as 
multiple murder may “carry” the death penalty, and if the jury found multiple 
murders it would be asked to decide whether the death penalty should apply.  
Asked whether she would be unable to make a decision to impose death, T.C. 
responded that she might not be able to impose the death penalty.  Asked whether 
it seemed too much in light of her moral standards to be asked to impose that 
punishment, T.C. responded “Yes.”  Over defense counsel’s objection, T.C. was 
excused for cause. 
Defendant asserts that T.C. never was asked whether her views concerning 
the death penalty would prevent or substantially impair her from performing her 
duties as a juror.  He urges that she was questioned by the trial court in a manner 
that would elicit her views in opposition to the death penalty, she “rose to the bait” 
in answering that she did not believe she could impose the death penalty, and her 
answers revealed reluctance rather than inability to impose the death penalty.  
Considered together with her initial unequivocal answers indicating she would be 
unable to impose the death penalty, however, her subsequent equivocal responses, 
followed by the firm statement that her moral beliefs would not permit her to 
impose that punishment, convey an inability to vote in favor of death 
notwithstanding the evidence.  At best, her temporary equivocation in responding 
requires that we defer to the trial court’s assessment of her initial and ultimate 
43 
state of mind.  The court acted within its discretion in excusing T.C. based upon 
its “definite impression” the prospective juror held views that would substantially 
impair her ability to perform the duties of a juror in this case.  (Lewis and Oliver, 
supra, 39 Cal.4th at p. 1008.) 
Prospective Juror F.P. indicated on his juror questionnaire that the death 
penalty was not fair to the poor, but as long as it existed in law, it should be used 
in some cases.  Asked by defense counsel whether he was leaning for or against 
the death penalty, F.P. said he was “not leaning towards anything right now.”  
Asked by defense counsel whether he could vote for life if 11 other jurors voted 
for death, F.P. said “always” and said he definitely would listen to his own 
feelings and would have no trouble reaching his own decision.  Asked by the 
prosecutor whether, if given a choice, F.P. would “do away with” the death 
penalty, F.P. responded he did not know, had discussed it with friends, and 
believed it was appropriate for a defendant such as Ted Bundy.  F.P. indicated he 
had mixed feelings about the death penalty, but also stated he believed he was 
capable of imposing it and could follow the law given by the court. 
When general voir dire resumed two weeks later, however, F.P. indicated 
he had given a lot of thought to whether he would be able to apply the death 
penalty, and that after he departed from the courtroom, the weight of assuming the 
burden of making a determination of death in the case first “hit” him.  F.P. 
indicated that even if he were to determine that death was the proper punishment, 
he would have difficulty voting in favor of the death penalty.  The trial court 
excused him for cause, and defense counsel did not object. 
Defendant contends that Prospective Juror F.P. did not give equivocal 
answers but rather stated he could follow the law and did nothing to suggest that 
his ability to perform his duties as a juror would be impaired, let alone 
substantially impaired by his views concerning the death penalty.  In light of the 
record of the voir dire of F.P., it is clear that the court acted well within its 
discretion in excusing him based upon his initial somewhat equivocal answers, 
44 
followed by much more definite indications that he would be unable to vote in 
favor of the death penalty regardless of the evidence.  To the extent the 
prospective juror’s views were conflicting, we must defer to the assessment of the 
trial court that F.P. entertained views substantially impairing his ability to perform 
the duties of a juror.  (Lewis and Oliver, supra, 39 Cal.4th at p. 1008.) 
6. Prosecution’s peremptory challenges of “minority” group 
prospective jurors 
The prosecution excused eight “minority” group prospective jurors in total, 
including all of the Hispanics.  Defendant contends that by denying his motion 
challenging the prosecution’s excusal of six of these prospective jurors, the trial 
court violated defendant’s rights to trial by a fair and impartial jury and to equal 
protection of the laws under the Sixth, Eighth, and Fourteenth Amendments to the 
federal Constitution (Batson v. Kentucky (1986) 476 U.S. 79, 88 (Batson)), as well 
as his right to a jury drawn from a representative cross-section of the community 
under article 1, section 16 of the state Constitution (People v. Wheeler (1978) 22 
Cal.3d 258, 278-282 (Wheeler); see Lewis and Oliver, supra, 39 Cal.4th at pp. 
1007-1008).7  A prosecutor is precluded by these constitutional principles from 
utilizing peremptory challenges to challenge prospective jurors based upon bias 
against “members of an identifiable group distinguished on racial, religious, 
ethnic, or similar grounds.”  (Wheeler, supra, 22 Cal.3d at pp. 276-277; Batson, 
supra, 476 U.S. at p. 88; see Cornwell, supra, 37 Cal.4th at p. 66; People v. 
Griffin (2004) 33 Cal.4th 536, 553; People v. Cleveland (2004) 32 Cal.4th 704, 
732.) 
Subject to rebuttal, a presumption exists that a peremptory challenge is 
properly exercised, and the burden is upon the opposing party to demonstrate 
                                              
7 
At trial defendant relied solely upon Wheeler and did not invoke Batson.  
We have recognized that an objection on the basis of Wheeler also preserves 
(Footnote continued on next page.) 
45 
impermissible discrimination against a cognizable group.  (Purkett v. Elem (1995) 
514 U.S. 765, 768; People v. Bonilla (2007) 41 Cal.4th 313, 341 (Bonilla).)  As 
the United States Supreme Court recently reaffirmed, Batson sets forth the 
procedure and standard that trial courts should employ in ruling upon motions 
challenging peremptory strikes.  (People v. Zambrano (2007) 41 Cal.4th 1082, 
1104 (Zambrano); Lewis and Oliver, supra, 39 Cal.4th at pp. 1008-1009.) 
“ ‘First, the defendant must make out a prima facie case “by showing that 
the totality of the relevant facts gives rise to an inference of discriminatory 
purpose.”  [Citations.]  Second, once the defendant has made out a prima facie 
case, the “burden shifts to the State to explain adequately the racial exclusion” by 
offering permissible race-neutral justifications for the strikes.  [Citations.]  Third, 
“[i]f a race-neutral explanation is tendered, the trial court must then decide . . . 
whether the opponent of the strike has proved purposeful racial discrimination.”  
[Citation.]’ ”  (Johnson v. California (2005) 545 U.S. 162, 168, fn. omitted 
(Johnson); see Snyder v. Louisiana (2008)__ U.S. __, __ [128 S.Ct. 1203, 1207, 
170 L.Ed.2d 175] (Snyder); Zambrano, supra, 41 Cal.4th at p. 1104; Bonilla, 
supra, 41 Cal.4th at p. 341; Lewis and Oliver, supra, 39 Cal.4th at pp. 1008-1009; 
People v. Johnson (2006) 38 Cal.4th 1096, 1099.)  The identical three-step 
procedure applies to claims made under the state Constitution.  (Bonilla, supra, at 
p. 341; People v. Bell (2007) 40 Cal.4th 582, 596.) 
Ordinarily, we apply a deferential standard of review to the trial court’s 
denial of a defendant’s Wheeler/Batson motion, considering only whether the 
ruling is supported by substantial evidence.  (Bonilla, supra, 41 Cal.4th at p. 341; 
Lewis and Oliver, supra, 39 Cal.4th at p. 1009; see People v. McDermott (2002) 
                                                                                                                                      
 
(Footnote continued from previous page.) 
claims that may be made under Batson.  (Lewis and Oliver, supra, 39 Cal.4th at 
pp. 1007-1008; People v. Yeoman (2003) 31 Cal.4th 93, 117-118.) 
46 
28 Cal.4th 946, 971 (McDermott).)  A prosecutor is presumed to employ 
peremptory challenges in a constitutional manner, and we defer to the trial court’s 
ability to assess the prosecutor’s rationale for excusal in order to distinguish “bona 
fide reasons from sham excuses.”  (Zambrano, supra, 41 Cal.4th at p. 1104; Lewis 
and Oliver, supra, at p. 1009; People v. Burgener (2003) 29 Cal.4th 833, 864.)  
We also defer to the trial court’s conclusions in ruling on the motion, so long as 
the court makes “a sincere and reasoned effort to evaluate the nondiscriminatory 
justifications offered.”  (29 Cal.4th at p. 864; Lewis and Oliver, supra, at pp. 
1008-1009.) 
After the high court concluded in Johnson that the state constitutional 
standard employed in Wheeler to determine whether a defendant has made a prima 
facie case of group discrimination was more rigorous than, and therefore violated, 
the federal constitutional standard enunciated in Batson (Johnson, supra, 545 U.S. 
162, 168; People v. Ward (2005) 36 Cal.4th 186, 201, fn. 2 (Ward)), we 
recognized that a different standard of appellate review is required in cases 
predating Johnson in which the trial court determined the defendant failed to make 
a prima facie case of group discrimination.  Thus, when it is unclear exactly what 
standard the trial court has employed in deciding whether the defendant has made 
a prima facie case, we may not accord deference to the trial court’s finding that no 
prima facie case has been made, but must be satisfied from our independent 
review of the record that the defendant has made an insufficient showing at the 
outset to permit an inference of discrimination.  (Zambrano, supra, 41 Cal.4th at 
p. 1104; Bonilla, supra, 41 Cal.4th at p. 341.) 
In the alternative, we may assume, without deciding, that defendant in the 
present case succeeded at the first, “prima facie” step of Batson and Wheeler by 
pointing out that the prosecutor employed one-half of his first 16 peremptory 
challenges to excuse prospective minority-group jurors, including all four of the 
Hispanic persons called to the jury box and four African-American or Filipino 
individuals.  (See Zambrano, supra, 41 Cal.4th at p. 1106.)  “Because the 
47 
prosecutor voluntarily explained his dismissals, we may then proceed directly to 
the second and third steps of the Wheeler/Batson analysis.  [Citations.]”  
(Zambrano, supra, at p. 1106; see Bonilla, supra, 41 Cal.4th at p. 343, fn. 13 [the 
“better practice” is for the trial court to request that the prosecution offer its race-
neutral explanation for any contested peremptory challenge, despite the possibility 
the court will not find a prima face case, in order to assist trial and appellate courts 
in evaluating the challenge].) 
We adopt the alternative approach in the present case.  During jury 
selection, after the prosecutor exercised 14 peremptory challenges, defense 
counsel objected to the excusal of Prospective Jurors R.H., J.N., and R.N. (whom 
defense counsel identified as Hispanic), G.P. (whom counsel identified as 
Filipino), and J.F. and “especially” E.O. (whom counsel identified as African-
American).  Defense counsel asserted the prosecutor was engaged in a “systematic 
use of peremptory challenges to exclude a cognizable group under the Wheeler 
decision.”  The trial court held a hearing in chambers and questioned the 
prosecutor, who observed “[w]e have left minorities on” and offered to provide a 
reason for each person challenged, having “nothing to do with their race or ethnic 
group.”  The court indicated it did not appear defendant had made a prima facie 
case, and directed that the proceedings continue.  In open court, the parties 
accepted the panel as then constituted. 
During the ensuing selection of the alternate jurors, the prosecutor 
employed peremptory challenges to excuse Prospective Jurors M.M. and R.F..  
Defense counsel renewed his objection pursuant to Wheeler, identifying M. M. 
and R.F. as, respectively, Hispanic and African-American.  The court reconvened 
the hearing in chambers.  The prosecutor, observing that one seated juror, A.A., 
was African-American, explained that Prospective Alternate Juror M.M. stated she 
could not envision a situation in which she could possibly vote for the death 
penalty if given the alternative of life imprisonment without parole, and R.F. had 
essentially the same attitude as M.M..  The trial court expressed uncertainty with 
48 
respect to the precise nature of the prima facie standard but denied the motion, 
while advising that it would consider the matter further.  The court requested that 
the prosecutor state his reasons for the challenges, following selection of the 
alternate jurors. 
After the alternate jurors had been chosen, the trial court resumed the 
hearing in chambers and made the following comment for the record.  The court 
was uncertain of the exact percentage of total prospective minority-group jurors 
excused by the prosecutor, but believed he had not done anything reflecting 
purposeful discrimination against any minority.  In exercising the peremptory 
challenges, the prosecutor “was reviewing” each prospective juror’s questionnaire 
and did not appear affected in any way by the particular juror’s race or nationality 
during the individual questioning.  No pattern of discrimination appeared to the 
trial court to be present. 
The prosecutor, having previously provided reasons for excusing 
Prospective Alternate Jurors M.M. and R.F., proceeded to state his reasons for 
excusing the other prospective jurors identified by defendant.  The prosecutor 
believed that Prospective Juror G.P. was too anxious and immature to sit on the 
jury.  G.P. did not appreciate the gravity of the situation, exhibited a willingness to 
excuse or justify “any behavior,” and in comments on her questionnaire noted 
there “was a reason behind” defendant’s actions, whether or not they were 
justified. 
The prosecutor questioned the stability of Prospective Juror J.N.  In view of 
the circumstances of the case, the prosecutor found it significant that during a 
period in his life when J.N. consumed alcoholic beverages, he evidently had been 
violent and abusive toward his family, raising a doubt whether he would examine 
the evidence in a detached manner.  J.N. appeared to conceal his actual views 
concerning the death penalty by offering a “stock” response to each of the 
prosecutor’s questions — namely, that this was a sensitive case, and he would 
decide “when the time comes.” 
49 
The prosecutor noted that Prospective Juror R.H. was merely 19 years of 
age.  During the time jury selection was in progress, R.H. had visited her 
boyfriend in jail and had observed defendant.  R.H. appeared to have a negative 
view of the death penalty because her mother had told her that “only God can take 
a life.” 
The prosecutor felt that Prospective Juror R.N. opposed the death penalty 
and that this juror believed that no human had the right to take another person’s 
life.  R.N. had stated on the juror questionnaire that he had heard defendant killed 
his wife because he believed she was unfaithful to him, he had been on drugs, and 
he was out of control.  The prosecutor commented that if R.N. “was green he 
could not sit on the jury.”8 
Defendant contends that the prosecutor’s explanations did not rebut the 
presumption of group bias.  Defendant urges that the prosecutor’s reasons were 
insufficient as a matter of law, were not supported by the record of the voir dire, 
and were inconsistent with the prosecutor’s choices to retain on the jury persons 
having similar characteristics.  We conclude, to the contrary, that the prosecutor’s 
justifications were facially neutral, based upon “specific” or “individual” bias as 
opposed to group bias, similar to or the same as justifications we have upheld in 
other cases, and supported by the record of the voir dire.  Accordingly, we reject 
defendant’s claims. 
                                              
8 
On appeal, defendant does not challenge the prosecutor’s reasons for 
excusing Prospective Jurors J.F. and E.O..  J.F., whom the prosecutor earlier 
unsuccessfully challenged for cause, could not imagine circumstances in which 
she could impose the death penalty, and the prosecutor continued to believe her 
ability to follow the law was “substantially impaired.”  E.O. was habitually late 
and once had failed to appear, and had a prior jury experience in which she was 
“positive” that the person was not guilty.  The prosecutor also observed the jury 
included A.A., who was African-American, and D.D., who was “at least one-half 
Japanese.” 
50 
As an initial matter, we note that several of those excused — “regular” 
Prospective Jurors R.H. and R.N., and Prospective Alternate Jurors M.M. and R.F. 
— held substantially negative views regarding the death penalty. A prosecutor 
may exercise peremptory challenges against prospective jurors who are not so 
intractably opposed to the death penalty that they are subject to challenge for 
cause under the Witt-Wainwright standard, but who nonetheless are substantially 
opposed to the death penalty.  (Zambrano, supra, 41 Cal.4th at pp. 1104-1107; 
People v. Jurado (2006) 38 Cal.4th 72, 106.) 
In other respects, the excused prospective jurors embodied characteristics, 
or communicated views, that justified the prosecutor’s exercise of peremptory 
challenges.  Prospective Juror G.P.’s answers during Hovey voir dire (Hovey v. 
Superior Court (1980) 28 Cal.3d 1) confirm that she lacked the maturity to act as a 
juror in the present case, as reflected by her focus on the attention she had received 
at work because of the possibility she would be selected as a juror in this case, and 
on the useful experience she might acquire as a result.  G.P. explained that she was 
a legal assistant secretary and was taking classes for certification in that field.  
When asked specifically how she would feel about having someone else’s life in 
her hands, G.P.’s enthusiastic and generalized response did not reflect she 
appreciated the gravity of that responsibility.  G.P. was “not reluctant” to decide 
whether somebody “will live or die,” and felt comfortable with that role.  (See 
People v. Sims (1993) 5 Cal.4th 405, 429-430 (Sims) [upholding peremptory 
challenge based upon Prospective Juror’s immaturity].) 
Prospective Juror J.N., who volunteered extensive information related to 
his own history of alcoholism, reasonably was excused on the basis that his life 
experiences, including his court-martial and his excessive alcohol consumption 
(resulting in abusive behavior toward his family), might predispose him to bias in 
favor of the accused.  The record also confirms the prosecutor’s explanation that 
J.N. was less than direct in responding to questions related to his views regarding 
51 
the death penalty.  (See People v. Montiel (1993) 5 Cal.4th 877, 909 [finding 
excusal valid based upon the prospective juror’s manner of answering questions].) 
The record of Prospective Juror R.H.’s views concerning the death 
penalty — reflecting that her mother raised her to believe that only God can 
decide who lives and who dies, and that she did not “feel that the death penalty is 
right” — confirms the prosecutor’s comments.  R.H.’s relative youth and related 
immaturity were reasonable grounds for her excusal.  (Sims, supra, 5 Cal.4th at 
pp. 429-430; see People v. Arias (1997) 13 Cal.4th 106, 139.)  R.H.’s relationship 
and contact with an incarcerated individual was an appropriate ground for excusal.  
(See People v. Panah (2005) 35 Cal.4th 395, 442 (Panah) [“A negative 
experience with police or the arrest of a prospective juror or a close relative is a 
gender-neutral reason for exclusion”]; People v. Cummings (1993) 4 Cal.4th 1233, 
1281-1282 & fn. 22.) 
Although the record of Prospective Juror R.N.’s voir dire reflects his 
assertion that he could return a death verdict if the facts so warranted, his 
statement on his juror questionnaire that “no human has the right to take 
another’s life” could cause the prosecutor legitimate concern about R.N.’s 
ability to vote in favor of the death penalty.  (Cf. People v. Hoyos (2007) 41 
Cal.4th 872, 902; People v. Thornton (2007) 41 Cal.4th 391, 418 (Thornton); 
McDermott, supra, 28 Cal.4th at pp. 974-975.)  When R.N. was asked during 
voir dire what he recalled hearing about defendant’s case, R.N.’s description of 
the information he had received — including that drugs were involved, and that 
defendant’s wife was unfaithful to him — was consistent with the prosecutor’s 
52 
stated concern, based on R.N’s questionnaire responses, that R.N. might feel 
these circumstances justified or mitigated defendant’s actions.9 
For the first time on appeal, defendant identifies eight jurors (each of whom 
ultimately sat on the jury panel) who he contends gave responses that were 
materially similar to those given by certain prospective jurors who were excused 
by the prosecutor.  Although we previously have declined to engage in 
comparative juror analysis as an initial matter on appeal, in Miller-El v. Dretke 
(2005) 545 U.S. 231 the high court examined the veracity of the prosecutor’s 
stated race-neutral reasons for the challenged excusals notwithstanding a similar 
absence of comparative analysis at trial.  Following that decision, we have  
assumed, without deciding, that we must undertake comparative juror analysis in 
these circumstances.  (Zambrano, supra, 41 Cal.4th at p. 1109; Lewis and Oliver, 
supra, 39 Cal.4th at p. 1017; Schmeck, supra, 37 Cal.4th at p. 270; Ward, supra, 
36 Cal.4th at p. 203; cf. Bonilla, supra, 41 Cal.4th at p. 350 [Miller-El v. Dretke 
does not require comparative juror analysis in a “first-stage” Wheeler-Batson case; 
denial of motion on the ground defendant failed to make a prima facie case].)  
More recently, in Snyder, supra, __ U.S. __, __ [128 S.Ct. 1203, 1211, fn. 2], the 
high court engaged in that practice, and we shall do so the same. 
We compare the responses of the challenged prospective jurors with those 
of several jurors who served and, according to defendant, did not respond in a 
manner materially different from that of the challenged jurors, and who shared 
characteristics with those challenged.  That exercise, however, does not persuade 
us that the prosecutor’s challenges were based upon race or ethnicity rather than 
upon specific bona fide reasons. 
                                              
9  
The excusal of these prospective jurors was not based to any substantial 
degree upon his or her demeanor not reflected in the record.  (Cf. Snyder, supra, 
__ U.S. __, __ [128 S.Ct. at pp. 1208-1209].) 
53 
Defendant suggests that in explaining her opposition to the death penalty 
based upon her mother’s admonition that “only God can take a life,” Prospective 
Juror R.H.’s response was not materially different from those of sitting jurors 
A.A., J.M., and C.M..  These jurors did not answer questions concerning the death 
penalty in a manner suggesting it was not their place to make a life or death 
decision, or reflecting the strong influence of a close relative, as R.H. did in 
relating her mother’s general admonition and the juror’s specific opinion that 
defendant should not receive the death penalty.  A.A. indicated that it would take a 
very serious crime for her to punish someone with death, and that she could vote 
for the death penalty if the crime were sufficiently serious, heinous, and vicious.  
J.M. indicated she would vote for the death penalty if the issue were presented to 
the voters in a referendum election, and she felt “we have the best judicial system 
in the world, much more fair than most.”  In contrast to R.H., who visited her 
boyfriend in jail, C.M. had numerous ties to law enforcement, and her husband 
was a former prosecutor.  C.M. felt the death penalty was needed for some crimes, 
and “[h]opefully some crimes would not be committed if the criminal knew the 
consequences.” 
Prospective Juror J.N. was excused on the basis that he had been violent 
and abusive to his family during a period when he was drinking, was of doubtful 
stability, and was not direct in explaining his views regarding the death penalty.  
Defendant suggests that Prospective Juror J.N. did not give responses that were 
materially different from Jurors D.D., D.H., and D.A., and Alternate Juror V.B., 
who indicated that incidents arising from alcohol or drug use had occurred in their 
families.  These jurors were more forthcoming as to their views concerning the 
death penalty.  They did not have a lengthy personal history involving alcohol 
abuse related to violence with family members or changes in personality, and did 
not state that persons consuming alcohol or drugs sometimes “behave like an 
animal,” as did J.N. 
54 
As defendant observes, Prospective Juror R.N. stated he could sit on the 
jury and return a death penalty if that was appropriate, and referred to the rule of 
“an eye for an eye.”  R.N. also expressed reservations concerning the death 
penalty, and referred to the biblical prohibition against killing.  R.N. disclosed he 
had observed defendant in handcuffs during his televised statement after his arrest, 
and learned from news accounts that defendant’s wife had been unfaithful to him. 
Defendant suggests that R.N.’s responses were not materially different 
from those of Jurors A.A. and J.T. relating to the death penalty and to their 
knowledge of the circumstances of the case, because their responses also indicated 
that defendant may have been on drugs, or may not have been in his right mind.  
A.A., who was employed in the child-support division of the district attorney’s 
office, stated she accepted the death penalty.  Her answers did not suggest that 
circumstances such as the consumption of drugs or infidelity might justify or 
mitigate the conduct about which she had heard.  J.T. said she thought “God has 
put people on earth to be judges and that’s one of the things that He may have 
called people to do, and if that’s called for [with regard to] the death penalty, then 
I think it’s my obligation to do that.”  She also stated that if the evidence proved 
defendant had committed the murders, it did not make much difference why he 
had done so.  These responses were not materially similar to those of R.N. 
Defendant points out that Prospective Alternate Juror M.M., in addition to 
indicating she could not imagine a crime in which she would find the death 
penalty appropriate, also stated she could consider the death penalty and was not 
unequivocally opposed to it, and could be a fair and impartial juror.  Her 
statements, considered in total, reflected far stronger opposition to the death 
penalty than those of the sitting jurors or alternate jurors. 
Defendant indicates, similarly, that Prospective Alternate Juror R.F. 
responded to questions regarding his views concerning the death penalty in a 
manner much more equivocal than was suggested by the prosecutor in excusing 
55 
him because of opposition to the death penalty.  Defendant also suggests that 
R.F.’s responses had much in common with those of Juror D.A., who stated he had 
mixed feelings about, or was reluctant to impose, the death penalty.  R.F. 
explained that he believed the death penalty is arbitrarily applied from state to 
state, that its imposition traumatizes the defendant’s family just as a defendant’s 
crimes traumatize the victims’ families, and that he would eliminate the death 
penalty were it within his power to do so.  Those responses reflect a much more 
considered and profound opposition to the death penalty than those of D.A., who 
did not have any sense what he would do if the death penalty were the subject of 
an election, and did not wish to, yet could, decide whether imposition of that 
punishment was appropriate.  The responses of R.F. and D.A. on other subjects, 
such as respect for the opinions of mental health professionals on behavioral 
motivation, also were dissimilar. 
Defendant suggests that Prospective Juror G.P.’s responses do not support 
the prosecutor’s assessment that she was too anxious, immature, and insufficiently 
aware of her responsibility to serve as a juror in the present case.  As discussed 
above, G.P.’s responses, in light of her background, confirm she was unsuitable 
for the grave responsibility of becoming a juror in the present case.  The jurors 
chosen displayed a much greater ability to decide guilt and (if necessary) 
punishment in a careful and fair manner, and did not emphasize that the prospect 
of becoming a juror provided an opportunity for personal growth. 
Finally, defendant claims the trial court failed “in its duty to inquire and 
evaluate” the prosecutor’s explanations for the excusal of each prospective juror, 
by determining whether a valid reason existed that “actually prompted the 
prosecutor’s exercise of the particular peremptory challenge.”  (Citing People v. 
Fuentes (1991) 54 Cal.3d 707, 720.)  As explained above, the trial court denied 
the defense motion on the basis that defendant had failed to make a prima facie 
case.  Therefore, the prosecutor was not required to provide reasons for his 
challenges, nor was the court required to determine the validity and sincerity of 
56 
any reasons that were proffered.  Our assumption on appeal that a prima facie case 
was made does not alter the trial court’s duties at trial. 
Moreover, as described above, during the hearing on the Wheeler/Batson 
motion the trial court placed on the record its observations that the prosecutor had 
not exercised challenges or otherwise conducted himself in a manner suggesting 
any discriminatory motive.  After the prosecutor stated his reasons, the trial court 
reiterated that defendant had failed to make a prima facie case, but also noted “the 
prosecutor has a rational basis for each of these [peremptories].” 
We find no Batson/Wheeler error. 
7. The prosecution’s peremptory challenges of “death penalty 
skeptics” 
Defendant contends that despite his objections, the prosecution utilized its 
peremptory challenges systematically to excuse prospective jurors who, although 
not unalterably opposed to the death penalty, nonetheless expressed skepticism 
concerning that punishment.  Defendant identifies Prospective Jurors B.H., A.N., 
D.C., and J.F., asserting that the removal of these jurors violated his federal and 
state rights to due process of law, equal protection of the laws, an impartial jury 
drawn from a fair cross-section of the community, and a reliable determination of 
his guilt and appropriate penalty.  (U.S. Const., Fifth, Sixth, Eighth, and 
Fourteenth Amends.; Cal. Const., art. I, §§ 1, 7, 15, 16, and 17.) 
As defendant recognizes, we have rejected this claim on numerous prior 
occasions.  “Skepticism about the death penalty is a permissible basis for a 
prosecutor’s exercise of a peremptory challenge.”  (People v. Jurado, supra, 38 
Cal.4th at p. 106; see e.g., Ward, supra, 36 Cal.4th at pp. 201-202; Panah, supra, 
35 Cal.4th at p. 441; McDermott, supra, 28 Cal.4th at pp. 970-971; People v. 
Jackson (1996) 13 Cal.4th 1164, 1200.)  Defendant does not offer any compelling 
reason to depart from our precedent, and we reject this claim, as we have in past 
cases. 
57 
8. Motion for discovery of personnel files of DEA agent and officers 
present during defendant’s arrest and return to the United States 
Prior to trial, defendant moved pursuant to Pitchess v. Superior Court 
(1974) 11 Cal.3d 531, 536-537, for discovery of the personnel files of the law 
enforcement officials present during defendant’s return flight from Mexico to the 
United States in which he made incriminating statements.  Defendant sought the 
files of Sonoma County Sheriff’s Detectives David Edmonds, Larry Doherty, 
Frank Trejo, Dave Sederholm, and Mike Brown, and LAPD Officer Arturo 
Zorilla, as well as the files of DEA Agent Joseph Martinez, who was not present 
on that flight.  In a separate motion, defendant sought the personnel files of DEA 
Agent Martinez, who was present at defendant’s arrest.  In the motion, defendant 
asserted on information and belief that “[t]he manner in which the United States 
and Mexican Federal Agents obtained this original statement suggests a pattern of 
selective harassing conduct and coercive practices by the above-named DEA agent 
in excess of that required by an agent to carry out the duties of his office.” 
At the hearing on the motion, the prosecutor stated that neither the Sonoma 
County Counsel nor the Los Angeles City Attorney could represent the DEA in 
regard to Agent Martinez, that the district attorney’s office had requested 
Martinez’s personnel records through the United States Department of Justice, but 
that the request was denied because it was DEA policy to release personnel 
records only on order of a court having competent jurisdiction.  The responses to 
defendant’s motion also pointed out that, unlike the other officers whose personnel 
files had been sought, Agent Martinez was not on the return flight with defendant.  
In addition, the issue concerning statements made by defendant to Mexican 
officials in the presence of Agent Martinez had been litigated previously in the 
context of the hearing on the voluntariness of defendant’s confession, and 
Martinez had been cross-examined at that time concerning his role. 
The trial court granted the motion with regard to the personnel records of 
the officials present during defendant’s return flight and examined those records in 
58 
camera, finding that none of them should be released.  The trial court indicated 
with respect to Agent Martinez that it did not have jurisdiction to order the United 
States Attorney into court, could not enter an ex parte order in the absence of 
counsel, and lacked authority to order production of the records. 
Defendant contends the trial court erred in failing to order discovery of the 
records of Agent Martinez.  “On a showing of good cause a criminal defendant is 
entitled to discovery of relevant documents or information in the personnel records 
of a police officer accused of misconduct against the defendant.  (Evid. Code, 
§ 1043, subd. (b).)”  (Warrick v. Superior Court (2005) 35 Cal.4th 1011, 1026-
1027.)  To determine whether the good cause requirement has been met, a trial 
court must consider whether the defense has established (1) that the information is 
material to the subject matter of the pending litigation, and (2) “a ‘reasonable 
belief’ that the agency has the type of information sought.”  (Id. p. 1016.)  The 
defense must demonstrate a logical connection between the charges and the 
proposed defense, and also “ ‘articulate how the discovery being sought would 
support such a defense or how it would impeach the officer’s version of events.’ ”  
(Garcia v. Superior Court (2007) 42 Cal.4th 63, 71.)  “The information sought 
must be described with some specificity to ensure that the defendant’s request” is 
confined to the instances of officer misconduct related to what has been claimed 
by the defendant.  (Ibid.) 
The trial court did not abuse its discretion in denying the discovery motion 
as to Agent Martinez.  As discussed above, when the voluntariness of defendant’s 
confession previously was litigated, defendant’s statements were found to be 
voluntary.  In connection with those proceedings, the circumstances of defendant’s 
arrest and transportation to Mexico City in the custody of Mexican officials also 
had been explored, and it was established that Agent Martinez was present but did 
not participate in the arrest, that he told the foreign officials to treat defendant well 
and not question him, that defendant had not been abused while in Mexican 
59 
custody, and that the failure of foreign officials to advise defendant of his Miranda 
rights had not affected the statements he made to American officials. 
9. Admission of evidence of defendant’s molestation of the Richards 
girls 
Defendant contends the trial court erred in admitting evidence establishing 
that the victims Ruth and Marie Richards were sexually molested at the time of the 
murders.  The challenged evidence included (1) the portion of defendant’s tape-
recorded account of the murders when he was asked concerning, and vigorously 
denied committing, any sexual crimes with regard to these victims, (2) the 
testimony of an evidence technician and of a sheriff’s deputy who first arrived at 
the Richards crime scene concerning the positions and condition of the bodies, and 
(3) the victims’ bloody underpants.  At the guilt phase, a single photograph 
depicting victim Ruth Richards at the scene lying prone, with her legs spread 
apart, underpants wrapped around one ankle, a bloody handprint on her buttocks, 
and blood smears consistent with the body having been moved, also was admitted 
into evidence.  At the penalty phase, a similar photograph of Marie Richards was 
admitted into evidence.  Defendant’s claim as it relates to that evidence is 
discussed below. 
At trial, the defense attempted to eliminate or reduce the impact of evidence 
suggesting any sexual misconduct with these victims.  The defense moved in 
limine to exclude any photographic evidence of suggestive positioning of the 
bodies, and was successful to the extent of limiting the admission of the 
photographs to the two described above.  The defense moved to redact the portion 
of defendant’s tape-recorded interview and confession concerning removal of the 
victims’ underwear and the presence of bloody handprints on their legs and thighs, 
to exclude the evidence of the victims’ bloody underpants, and twice requested a 
mistrial during the prosecutor’s examination of the evidence technician, who was 
asked to describe the condition of the bodies by referring to additional 
60 
photographs not permitted to be shown directly to the jury.  These motions were 
denied. 
Defendant asserts the evidence was irrelevant to any material issue of 
disputed fact, observing that at trial he offered to stipulate to the admission of 
evidence relating to the positions and condition of the bodies.  Relevant evidence 
is that “having any tendency in reason to prove or disprove any disputed fact that 
is of consequence to the determination of an action.”  (Evid. Code, § 210.)  The 
concept of relevance is very broad (People v. Scheid (1997) 16 Cal.4th 1, 16), 
encompassing evidence depicting the crime scene and injuries inflicted (People v. 
Heard (2003) 31 Cal.4th 946, 972-974), and that bearing on the defendant’s 
account of events and state of mind.  Here, the evidence also tended to establish 
defendant’s attitude toward his victims and that he acted methodically and 
deliberately rather than as the result of uncontrollable impulses arising from his 
ingestion of drugs and alcohol.  (Heard, supra, 31 Cal.4th at pp. 972-974; People 
v. Carpenter (1997) 15 Cal.4th 312, 410; People v. Crittenden (1994) 9 Cal.4th 
83, 133-134.)  In addition, the prosecution is not required to accept a stipulation 
“if the effect would be to deprive the state’s case of its effectiveness and 
thoroughness,” nor is it “obligated to present its case in the sanitized fashion 
suggested by the defense.”  (People v. Garceau (1994) 6 Cal.4th 140, 182 
(Garceau); People v. Bradford (1997) 14 Cal.4th 1005, 1050-1051; People v. 
Pinholster (1992) 1 Cal.4th 865, 959.)  The prosecutor need not stipulate to proof 
in place of photographic evidence.  (Bradford, supra, 14 Cal.4th at pp. 1050-
1051.) 
Defendant also contends the trial court erred in failing to exclude the 
evidence as substantially more prejudicial than probative under Evidence Code 
section 352, and to engage in the weighing process required by that statute.  The 
circumstance that evidence is adverse to a defendant’s case does not render it 
prejudicial within the meaning of section 352.  (People v. Padilla (1995) 11 
Cal.4th 891, 925 (Padilla).)  In applying this statute we evaluate the risk of 
61 
“undue” prejudice, that is, “ ‘evidence which uniquely tends to evoke an 
emotional bias against the defendant as an individual and which has very little 
effect on the issues,’ ” not the prejudice “that naturally flows from relevant, highly 
probative evidence.”  (Padilla, supra, 11 Cal.4th at p. 925; People v. Gionis 
(1995) 9 Cal.4th 1196, 1214; People v. Karis (1988) 46 Cal.3d 612, 638.)  In 
particular, we have rejected the claim that the “sexually suggestive nature” of 
photographs of a murder victim created undue prejudice, because “it was the 
nature of the crime . . . that made it necessary for the jury to see her without 
clothes.”  (People v. Navarette (2003) 30 Cal.4th 458, 496 (Navarette).) 
In the present case, the trial court carefully restricted the photographic 
evidence of the victims and limited presentation of the crime scene details largely 
to the information provided through witnesses such as the evidence technician, 
who referred to photographs that were not exhibited to the jurors.  It is evident the 
trial court weighed the prejudicial impact of that and other evidence against its 
probative value, determining the evidence was admissible.  (Cf. Navarette, supra, 
30 Cal.4th at p. 495.)  Having reviewed the photographic evidence in question, 
we conclude the trial court did not abuse its discretion in determining that the 
risk of undue prejudice from its admission did not substantially outweigh its 
probative value. 
Defendant suggests the jurors must have assigned undue weight to 
Detective David Edmonds’s statement, during his in-flight interview with 
defendant, that Edmonds believed defendant molested these victims.  In the 
context of the jury’s consideration of defendant’s entire confession, we conclude 
Edmonds’s comments reflect nothing more than appropriate questioning regarding 
defendant’s account of the crimes and could not have had any undue impact on the 
jury. 
62 
10. Admission of asserted victim-impact evidence at the guilt phase 
Defendant contends the trial court erred in admitting the testimony of 
victim Tracey Toovey’s wife, Catherine.  Defendant asserts that her testimony was 
irrelevant; “substantially more prejudicial than probative”, and thus inadmissible 
pursuant to Evidence Code section 352; that it amounted to “victim impact 
evidence” inadmissible at the guilt phase; and that its admission at that phase 
violated defendant’s right to due process of law under the Fourteenth Amendment 
to the federal Constitution. 
Prior to commencement of the guilt phase, the defense offered to stipulate 
to any facts to which Catherine Toovey might testify, because she had been 
extremely emotional in testifying at the preliminary hearing.  The defense 
suggested the prosecutor intended to present her testimony, which would be 
cumulative of that provided by other witnesses, solely to inflame the jury.  The 
prosecutor argued that Mrs. Toovey’s testimony was necessary to identify her 
husband and describe his actions on the morning he was murdered.  Following a 
colloquy between the trial court and the prosecutor regarding this potential 
testimony, the court indicated Mrs. Toovey’s testimony was unnecessary to 
establish Toovey’s identity.  After the prosecutor reiterated that the testimony 
would establish the time of Toovey’s departure and other relevant times, the court 
required the prosecutor to make an offer of proof prior to calling her to testify. 
In his subsequent offer of proof, the prosecutor explained Mrs. Toovey 
would identify this victim as her husband and further testify that he departed for 
work 10 minutes prior to 8:00 a.m. on the day of the murder, that his drive from 
their residence to Grand Cru Vineyard was approximately five minutes in 
duration, and that recently he had been leaving for work an hour earlier than in the  
past — which was relevant because, in his confession, defendant stated he knew 
Toovey had been going to work an hour earlier.  The prosecutor stated that, 
because the trial court had denied his motion to introduce Toovey’s autopsy 
63 
photographs, Mrs. Toovey’s testimony was necessary to identify her husband and 
his automobile as depicted in an aerial photograph of the crime scene. 
Defense counsel then offered to stipulate to those facts in order to avoid the 
possibility that Mrs. Toovey would “break down” on the witness stand (as she had 
at the earlier hearing), thereby creating undue sympathy for the victim’s family 
and prejudicing the defense.  The prosecutor then explained to the court that at the 
preliminary hearing, when he returned to counsel’s table, he inadvertently had left 
an autopsy photograph in front of Mrs. Toovey on the witness stand, and the 
prosecutor did not intend to show the photograph to her at trial or expect her to 
have the same reaction.  In response, defense counsel argued the testimony was 
extremely prejudicial victim-impact evidence.  The trial court observed the 
testimony in question was cumulative and potentially highly prejudicial, and 
reserved its ruling pending the prosecution’s presentation of other evidence on 
those issues. 
When the prosecutor approached the conclusion of his case-in-chief, he 
requested a ruling on the issue of Mrs. Toovey’s intended testimony.  Defense 
counsel objected on the grounds of undue prejudice under Evidence Code section 
352 and violation of due process under the federal Constitution and repeated his 
offer to stipulate to the evidence in question.  The prosecution reiterated its offer 
of proof and stated that, in addition, Mrs. Toovey would testify she was aware of 
the tension or difficulty that existed between her husband and defendant.  The 
prosecutor represented that Mrs. Toovey would not break down and become 
emotional on the witness stand.  The trial court then overruled the defense 
objection. 
Mrs. Toovey proceeded to testify concerning the time her husband departed 
for work, explaining that recently he had been reporting to work and departing 
from work an hour earlier than previously in order to pick up their daughter after 
school so that Mrs. Toovey would not have to drive during her pregnancy.  Mrs. 
Toovey identified her husband in the aerial photograph.  She testified she was 
64 
aware of a conflict between her husband and defendant, and explained that 
defendant had some ability to speak English.  She did not become emotional on 
the witness stand. 
Defendant contends this evidence was irrelevant and inadmissible in view 
of the circumstance that defendant offered to stipulate to the substance of Mrs. 
Toovey’s testimony.  That testimony, however, was relevant to the credibility and 
reliability of various witnesses and of defendant, whose account of events and of 
his state of mind were at issue.  As indicated above, the prosecution is not required 
to accept a stipulation that would deprive its case of its effectiveness, or present its 
case in the manner preferred by the defense.  (Garceau, supra, 6 Cal.4th at p. 182; 
People v. Pinholster, supra, 1 Cal.4th at p. 959.) 
Defendant also asserts Mrs. Toovey’s testimony recounting the last time 
she saw her husband alive likely would inflame the emotions of the jury, as would 
her demeanor, and thus was substantially more prejudicial than probative under 
Evidence Code section 352.  The trial court properly determined her testimony did 
not create undue prejudice either in its substance or its presentation.  The court 
deferred ruling on the admissibility of this testimony in order to consider whether 
it was necessary in light of other evidence, restricted the prosecutor’s display of 
photographs relating to the evidence in question, and secured the prosecutor’s 
promise the witness would not suffer an emotional breakdown during her 
testimony.  Mrs. Toovey’s account of her husband’s departure and her 
identification of him in the aerial crime-scene photograph scarcely would evoke an 
exceptional emotional bias against defendant as an individual.  (Padilla, supra, 11 
Cal.4th at p. 925; People v. Karis, supra, 46 Cal.3d at p. 638.) 
Defendant also urges that introduction of this testimony amounted to 
victim-impact evidence that is inadmissible at the guilt phase.  We have 
recognized that a prosecutor’s argument to the jury that “ ‘appeal[s] to sympathy 
for the victim is out of place during an objective determination of guilt.’ ”  (See 
People v. Stansbury (1993) 4 Cal.4th 1017, 1057; People v. Millwee (1998) 18 
65 
Cal.4th 96, 137.)  Similarly, the prosecutor’s introduction of victim-impact 
testimony is impermissible at the guilt phase of a capital trial.  (See People v. 
Taylor (2001) 26 Cal.4th 1155, 1171-1172 (Taylor); People v. Frye (1998) 18 
Cal.4th 894, 974-975.) 
In the present case, however, Mrs. Toovey’s testimony scarcely touched 
upon the victim’s family life and did not relate the effect of defendant’s acts upon 
family members.  (See Taylor, supra, 26 Cal.4th at pp. 1171-1172, 1182 [at the 
guilt phase, physician’s testimony regarding the extent of the victim’s injuries was 
not victim-impact evidence; at the penalty phase, family members’ testimony 
concerning the various ways they adversely were affected by loss of the victim’s 
care and companionship was admissible victim-impact evidence]; cf. Thornton, 
supra, 41 Cal.4th at p. 406 [at the penalty phase, the mother of the victim testified 
the victim was her only daughter, whose murder left the victim’s young son 
motherless].) 
Defendant asserts, nonetheless, that the admission of this testimony 
“infected the guilt and penalty phases” of the trial in violation of defendant’s 
federal constitutional rights.  Defendant relies in part upon Booth v. Maryland 
(1987) 482 U.S. 496 and South Carolina v. Gathers (1989) 490 U.S. 805, 
prohibiting the admission of victim-impact evidence even during the penalty phase 
of a capital trial.  In Payne v. Tennessee (1991) 501 U.S. 808, the high court 
overruled those decisions, holding that a state is free to determine that victim-
impact evidence demonstrating specific harm caused by the defendant’s crimes is 
relevant to a jury’s assessment of a defendant’s moral culpability.  (Id. at p. 819; 
see People v. Roldan (2005) 35 Cal.4th 646, 732 [ex post facto principles are not 
violated by applying the Payne rule to cases in which the crimes precede that 
decision].)  Under our law, evidence of specific harm, including the impact on the 
family of the victim caused by the defendant’s acts, is a circumstance of the crime 
and is therefore admissible pursuant to section 190.3, factor (a).  (People v. Kelly 
(2007) 42 Cal.4th 763,793; People v. Edwards (1991) 54 Cal.3d 787, 833-836; 
66 
3 Witkin & Epstein, Cal. Criminal Law 3d (3d ed. 2000) Punishment, § 472, 
pp. 631-632.)  In the event the jury at the penalty phase considered Mrs. Toovey’s 
brief guilt phase testimony concerning her husband, the jurors were entitled to 
consider that and all other circumstances of the crimes. 
11. Prosecutorial misconduct affecting right to a fair trial at both 
phases of the proceedings 
Defendant raises several claims of prosecutorial misconduct in the misuse 
of voir dire in commenting upon defendant’s failure to testify, in indoctrinating 
potential jurors, proffering evidence of defendant’s sexual misconduct with the 
Richards girls, and impugning the motives of defense counsel and a defense 
expert.  Prior to examining these claims, we recall the general principles governing 
a prosecutor’s conduct during trial in the context of a claim of prosecutorial 
misconduct.  “A prosecutor who uses deceptive or reprehensible methods to 
persuade the jury commits misconduct, and such actions require reversal under the 
federal Constitution when they infect the trial with such ‘ “unfairness as to make 
the resulting conviction a denial of due process.” ’  (Darden v. Wainwright (1986) 
477 U.S. 168, 181; see People v. Cash (2002) 28 Cal.4th 703, 733.)  Under state 
law, a prosecutor who uses deceptive or reprehensible methods commits 
misconduct even when those actions do not result in a fundamentally unfair trial.  
[Citation.]”  (People v. Cook (2006) 39 Cal.4th 566, 606, italics added; see People 
v. Lopez (2008) 42 Cal.4th 960, 965 (Lopez); People v. Hoyos, supra, 41 Cal.4th 
at p. 923; People v. Ledesma (2006) 39 Cal.4th 641, 726.) 
“ ‘A defendant may not complain on appeal of prosecutorial misconduct 
unless in a timely fashion, and on the same ground, the defendant objected to the 
action and also requested that the jury be admonished to disregard the perceived 
impropriety.’ ”  (Thornton, supra, 41 Cal.4th at p. 454.)  “A defendant whose 
counsel did not object at trial to alleged prosecutorial misconduct can argue on 
appeal that counsel’s inaction violated the defendant’s constitutional right to the 
effective assistance of counsel,” but the appellate record rarely demonstrates “that 
67 
the failure to object was the result of counsel’s incompetence; generally, such 
claims are more appropriately litigated on habeas corpus, which allows for an 
evidentiary hearing where the reasons for defense counsel’s actions or omissions 
can be explored.”  (Lopez, supra, 42 Cal.4th at p. 966; People v. Mendoza-Tello 
(1997) 15 Cal.4th 264, 267.) 
a. Voir dire:  assertion that defendant was the “best source” of 
his state of mind 
Defendant contends that the prosecutor committed misconduct by 
repeatedly questioning potential jurors during voir dire, and by recalling those 
questions during closing argument, in a manner designed to emphasize that jurors 
should consider defendant’s statements to be the best source of his state of mind 
during the commission of the murders.  Defendant asserts the prosecutor thereby 
committed error under Griffin v. California (1965) 380 U.S. 609, 611 (Griffin) and 
also impermissibly attempted to indoctrinate the jury to discount expert testimony 
concerning defendant’s mental state. 
In the course of general voir dire, during which three of the jurors who 
eventually served on the case were present — D.D., D.H., and J.M. — the 
prosecutor posed questions to several potential jurors relating to whether on a 
particular date, the potential juror or instead someone else would have been the 
best source of information concerning that potential juror’s state of mind, 
suggesting in effect that the best source would be the potential juror himself or 
herself.  After a prospective juror (who did not serve on the jury) asked for 
clarification, the prosecutor indicated “the best the question is obviously going to 
be not [sic] what’s in my mind or your mind at any given time during this trial but 
what was in Mr. Salcido’s mind.”  The prospective juror then commented that 
defendant was not on the witness list.  The trial court explained that this 
circumstance did not necessarily signify defendant would not testify as a witness. 
After further exchange with the prospective juror on a different topic, the 
prosecutor indicated that the question he “was trying to ask” was that “if people 
68 
give opinions about what other people are thinking at a given moment and what 
I’m raising to you is that we should look with some caution about those kinds of 
opinions, and if we have available to us more direct evidence, perhaps of what a 
person is feeling or what a person did and why they did it, then we ought to look 
to that as well.  So that’s all I’m trying to get at.” 
After the voir dire of prospective jurors concluded for the day, the trial 
court and counsel outside the presence of the jury discussed scheduling and 
evidentiary issues.  At that point, defense counsel objected to the foregoing 
questioning by the prosecutor as improper comment on defendant’s failure to 
testify, in violation of Griffin, and requested that the trial court instruct the 
prosecutor “from now on” not to inquire as to who is “the best judge of what was 
going on” in defendant’s mind. The trial court cautioned the prosecutor against 
arguing his case in voir dire, and the prosecutor agreed to phrase his questions 
more accurately. 
It is apparent that defendant failed to timely object during voir dire to the 
prosecutor’s line of questioning and thus has forfeited this claim on appeal.  
Moreover, in response to defendant’s belated objection and request, the trial court 
instructed the prosecutor to refrain from questioning any additional potential 
jurors in that manner.  (People v. Lewis (2001) 25 Cal.4th 610, 670.)  The 
prosecutor did not press the matter in closing argument.  Finally, the prosecutor’s 
questions do not reflect that his sole purpose was to indoctrinate the potential 
jurors.  (See People v. Fierro (1991) 1 Cal.4th 173, 209.)  Accordingly, we reject 
defendant’s claim. 
b. Voir dire:  additional indoctrination of the jury 
Defendant asserts that the prosecutor otherwise attempted to indoctrinate 
potential jurors by questioning them regarding their experiences relating to alcohol 
consumption, specifically with regard to its effect on their capacity to make 
decisions.  This questioning did not improperly attempt to educate potential jurors 
69 
concerning the facts of the case or to secure their votes, and thus was proper.  (See 
People v. Fierro, supra, 1 Cal.4th at p. 209.) 
c. Proffer of unredacted statements and evidence of sexual 
misconduct 
Defendant contends that the prosecutor introduced grossly inflammatory 
evidence of defendant’s sexual misconduct with the Richards girls.  As explained 
above, the testimony and related evidence properly were admitted. 
d. Impugning defense counsel and defense expert 
Defendant contends the prosecutor impugned the motives of defense expert 
Dr. Crinella by, among other things, suggesting his testimony was the result of his 
long friendship with defense counsel.  Defendant forfeited his present claim of 
prosecutorial misconduct by failing to object at trial and seek an admonition.  
(Prince, supra, 40 Cal.4th 1179, 1244; People v. Welch (1999) 20 Cal.4th 701, 
753.)  Even assuming this claim was not waived, the prosecutor has considerable 
leeway in suggesting an expert may testify a certain way for financial gain or other 
reasons, without committing misconduct.  (People v. Monterroso (2004) 34 
Cal.4th 743, 784.) 
12. Jury instruction (CALJIC No. 2.02) 
Defendant asserts that following presentation of the guilt phase evidence, 
the trial court erred in giving a pattern instruction, CALJIC No. 2.02, defining the 
nature and sufficiency of circumstantial evidence to prove specific intent and 
mental state, in violation of defendant’s rights under the federal (U.S. Const., 
Fifth, Sixth, Eighth, and Fourteenth Amends.) and state (Cal. Const., art. 1, § 15) 
Constitutions.10 
                                              
10 
As given to the jury, CALJIC No. 2.02 (1979 rev.) provided:  “The specific 
intent or mental state with which an act is done may be shown by the 
circumstances surrounding the commission of the act.  But you may not find the 
defendant guilty of any offense charged in the information, unless the proved 
circumstances are not only (1) consistent with the theory that the defendant had 
(Footnote continued on next page.) 
70 
Defendant maintains this instruction improperly required the jury to decide 
between defendant’s guilt and innocence, by shifting the burden of proof from the 
prosecutor and implying that defendant was required to present a “reasonable” 
defense to the prosecution’s case.  Alternately, defendant contends the instruction 
operated as a mandatory, conclusive presumption, reducing the prosecution’s 
burden to prove defendant guilty beyond a reasonable doubt.  Defendant asserts 
the instruction suggested that the jury could accept evidence as incriminatory if it 
“appeared reasonable” to do so, lowering the standard of proof substantially below 
that of proof beyond a reasonable doubt.  Defendant emphasizes the statement that 
if one interpretation of the evidence “appears to be reasonable” and the other 
unreasonable, the jury “must accept the reasonable and reject the unreasonable 
interpretation.” 
The Attorney General responds that defendant has forfeited this claim on 
appeal because he did not object to the instruction at trial.  Despite defendant’s 
failure to object, this instructional claim may be raised initially on appeal to the 
extent it implicates his substantial rights.  (§ 1259; see People v. Carey (2007) 41 
Cal.4th 109, 129-130 (Carey); People v. Gray (2005) 37 Cal.4th 168, 235.)  
Because defendant contends the instruction reduced the prosecutor’s burden of 
proof, thus affecting one of his fundamental constitutional rights, we entertain the 
claim on its merits. 
                                                                                                                                      
 
(Footnote continued from previous page.) 
the required specific intent or mental state but (2) cannot be reconciled with any 
other rational conclusion.  [¶]  Also, if the evidence as to any such specific intent 
or mental state is susceptible of two reasonable interpretations, one of which 
points to the existence of the specific intent or mental state and the other to the 
absence of the specific intent or mental state, you must adopt that interpretation 
which points to the absence of the specific intent or mental state.  If, on the other 
hand, one interpretation of the evidence as to the specific intent or mental state 
appears to you to be reasonable and the other interpretation to be unreasonable, 
you must accept the reasonable interpretation and reject the unreasonable.” 
71 
As defendant concedes, we have rejected similar arguments in the past, 
generally on the basis that the instruction merely requires the jury to reject 
unreasonable interpretations of the evidence.  (See, e.g., Zambrano, supra, 41 
Cal.4th at p. 1159; Carey, supra, 41 Cal.4th at pp. 129-130; Guerra, supra, 37 
Cal.4th at pp. 1139-1140; People v. Crew (2003) 31 Cal.4th 822, 847; People v. 
Maury (2003) 30 Cal.4th 342, 428; People v. Hughes (2002) 27 Cal.4th 287, 298.)  
Defendant, insisting his case is different because the evidence of specific intent 
and mental state assertedly was less than compelling, asks that we reconsider our 
prior views, but we see no reason to do so. 
13. Cumulative error 
Defendant contends that the errors claimed above, considered together, 
eroded the fundamental fairness of the proceedings, in violation of the Fifth, Sixth, 
Eighth, and Fourteenth Amendments to the federal Constitution, requiring reversal 
of his conviction.  Most fundamental, in defendant’s view, is his seizure in 
Mexico, the asserted illegality of which deprived the court of jurisdiction to try 
defendant. 
As we have discussed, defendant has not established that error occurred at 
the guilt phase.  Therefore, we do not find that any cumulative deficiency arose 
from a combination of particular errors requiring reversal.  (People v. Halvorsen 
(2007) 42 Cal.4th 379, 422; People v. DePriest (2007) 42 Cal.4th 1, 44; People v. 
Abilez (2007) 41 Cal.4th 472,523; People v. Sanchez (1995) 12 Cal.4th 932, 
1006.) 
B. Asserted Errors Affecting the Penalty Phase of Trial 
1. Notice of prosecution evidence in aggravation 
Defendant contends the prosecution unreasonably delayed providing the 
defense with notice that it intended to offer as evidence in aggravation a 
photograph of the body of Marie Richards (together with brief foundational 
testimony by Detective Edmonds) that depicts her lying faceup, her nightgown 
pulled above her waist, her legs spread wide apart, and her underpants wrapped 
72 
around one ankle — a position suggesting that defendant had sexually abused her 
prior to her death.11  Defendant points out that he was not convicted of any sexual 
crime against this victim, and thus that this particular evidence was not exempt 
from the requirement of pretrial notice afforded “evidence in proof of the 
offense[s],” set forth in section 190.3.  Defendant claims the delay violated various 
rights, including the right to due process of law, a fair trial, and the effective 
assistance of counsel under the Fifth, Sixth, and Fourteenth Amendments. 
Defendant complains that it was only several days prior to the 
commencement of the penalty phase on November 5, 1990 that the prosecutor 
informed the defense of his intention to introduce the photograph of Marie 
Richards.  In response, the People observe that the prosecution moved to admit the 
photograph on November 1, and that defendant moved to exclude the photograph 
prior to commencement of the penalty phase several days later.  The People also 
point out that two months earlier, on September 13, 1990, prior to presentation of 
the guilt phase evidence, the prosecution filed written notice of the proposed 
penalty phase evidence referring to “the circumstances of the crimes of which the 
defendant was convicted in the present proceeding.”  Such evidence would include 
the photograph.  (See People v. Williams (2006) 40 Cal.4th 287, 305; People v. 
Farnam (2002) 28 Cal.4th 107, 174-176.) 
                                              
11 
Defendant’s claim that the prosecution failed to provide notice of the 
evidence it intended to offer in aggravation refers to the following:  
(1) defendant’s lack of remorse for his crimes and (2) the circumstance that the 
penalty of life in prison without possibility of parole would afford defendant “a 
lifetime of unfettered leisurely pursuits.”  The prosecutor made both of these 
points in his closing argument, but did not offer any related evidence in 
aggravation.  The statute requiring the prosecution to provide notice of 
aggravating evidence (§ 190.3) does not require any notice relating to the 
prosecution’s intended argument.  (People v. Holt (1997) 15 Cal.4th 619, 691 
(Holt).)  In any event, we shall examine both of these claims as part of defendant’s 
contention that the prosecution committed misconduct in its closing argument.  
(See post, pp. 76-77.) 
73 
Section 190.3 provides in part that “[e]xcept for evidence in proof of the 
offense or special circumstances which subject a defendant to the death penalty, 
no evidence may be presented by the prosecution in aggravation unless notice of 
the evidence to be introduced has been given to the defendant within a reasonable 
period of time as determined by the court, prior to trial.”  (Italics added.)  This 
statute provides pretrial notice but not discovery.  (People v. Gonzalez (2006) 38 
Cal.4th 932, 955.) 
“We have construed the phrase ‘prior to trial’ to mean before the cause is 
called to trial” (People v. Mitcham (1992) 1 Cal.4th 1027, 1070), and have 
interpreted the statute to require the prosecution to provide notice “before the 
cause is called for trial or as soon thereafter as the prosecution learns of the 
existence of the evidence.  [Citation.]”  (People v. Wilson (2005) 36 Cal.4th 309, 
356.)  Although we never have “explain[ed] precisely when a case may be deemed 
‘called’ for trial” (People v. Johnson (1993) 6 Cal.4th 1, 51), it appears the present 
case was called for trial by the date on which the jury was sworn (September 5, 
1990) and the written notice and the motion both were filed by the prosecutor after 
that date.  Nothing suggests the prosecution did not learn of the photographic 
evidence until after the cause was called for trial.  Thus, the notice provided did 
not clearly satisfy the terms of the statute. 
Nonetheless, defendant did receive general notice well preceding this phase 
of the trial as well as the opportunity to object to the admission of the photograph.  
In view of the evidence introduced during the guilt phase suggesting that 
defendant sexually abused the Richards girls, and the number and the 
circumstances of defendant’s offenses — depicted in other photographs as well as 
through extensive testimony — there is no reasonable possibility that the provision 
of earlier notice to the defense would have altered the outcome.  The error in 
delaying notice of evidence in aggravation clearly was harmless. 
74 
2. Admission of photograph of Marie Richards’s body 
Defendant also contends the trial court erred in admitting the photograph of 
Marie Richards’s body because it was unduly inflammatory.  The prosecutor 
sought to introduce two such photographs.  The trial court conducted a hearing on 
the motion and admitted a single photograph. 
We have explained that the provisions of the capital sentencing statute 
rendering evidence of the circumstances of the crime admissible do not deprive the 
trial court of its traditional discretion to exclude particular items of evidence as 
unduly inflammatory.  (People v. Box (2000) 23 Cal.4th 1153, 1201 (Box).)  
Nonetheless, the trial court’s discretion to exclude evidence regarding the 
circumstances of the crime as unduly prejudicial is more circumscribed at the 
penalty phase than at the guilt phase of a capital murder trial, because the 
sentencer is expected to weigh the evidence subjectively.  (Ibid.) 
In People v. Moon (2005) 37 Cal.4th 1, 34-35 (Moon), the trial court 
excluded photographs of the victims at the guilt phase pursuant to Evidence Code 
section 352, but permitted the prosecutor to introduce the photographs at the 
penalty phase.  As in Box, supra, 23 Cal.4th at page 1201, in Moon we upheld the 
admission of the photographs despite the circumstance they were “bloody and 
graphic.”  (Moon, supra, 37 Cal.4th at pp. 34-35.)  In the present case it is clear 
the trial court exercised its traditional discretion to consider whether the evidence 
was unduly inflammatory, deciding to place a quantitative limitation on the 
evidence.  At the same time, the court correctly recognized that at the penalty 
phase the prosecution had the right to present this particular evidence concerning 
the circumstances of the crimes.  The court did not err. 
Moreover, even had the trial court erred in admitting the photograph of 
Marie Richards suggesting sexual molestation, defendant was not prejudiced by 
this evidence.  Considered in light of the evidence that defendant had decided in 
advance to commit murder and then, utilizing several different types of weapons, 
systematically and efficiently murdered seven victims, including two of his own 
75 
young daughters, and attempted to murder two others, including a third daughter, 
there is no reasonable possibility the outcome would have been different had the 
photograph been excluded.  (Alfaro, supra, 41 Cal.4th 1277, 1306; People v. 
Robinson (2005) 37 Cal.4th 592, 641-642 (Robinson); People v. Brown (1988) 46 
Cal.3d 432, 448 (Brown).) 
3. Asserted prosecutorial misconduct in closing argument 
Defendant asserts the prosecutor improperly presented evidence and 
engaged in argument suggesting defendant had sexually molested the Richards 
girls.  Defendant notes that, despite having agreed not to argue that defendant 
committed sexual misconduct with the Richards girls, (1) in his opening statement 
the prosecutor told the jury it would view a photograph depicting victim Marie’s 
“entire body,” because there was no other way to demonstrate “what happened” 
on April 14, 1989; (2) in cross-examination the prosecutor asked defendant’s 
mother whether defendant told her “how he had left those victims,” and (3) in 
closing argument the prosecutor observed that in addition to killing those victims, 
defendant “moves those bodies, after slashing their throat[s], removed their 
underwear for whatever gruesome reason.” 
Defense counsel failed to object to these statements and has forfeited the 
claim.  (People v. Davenport (1995) 11 Cal.4th 1171, 1209; People v. Memro 
(1995) 11 Cal.4th 786, 879; People v. Rodrigues (1993) 8 Cal.4th 1060, 1125-
1126 (Rodrigues).)  Defendant’s in limine motion to restrict the scope of the 
prosecutor’s penalty phase argument did not preserve the claim on appeal, because 
defendant did not object to the argument when made.  (People v. Leonard (2007) 
40 Cal.4th 1370, 1406.) 
Even had defendant not forfeited the claim, the prosecutor’s argument did 
not constitute misconduct.  The prosecution properly may point out that the 
circumstances of the murders suggest possible sexual conduct despite the absence 
of specific charges of sexual crimes.  (Navarette, supra, 30 Cal.4th at p. 518.)  In 
any event, there is no reasonable possibility that defendant was prejudiced by 
76 
oblique references to his having left these young victims partially nude after 
slashing their throats. 
Defendant asserts the prosecutor improperly argued to the jury that it 
should discount defendant’s mitigating evidence.  We have concluded such 
argument does not constitute misconduct.  (People v. Lucero (2000) 23 Cal.4th 
692, 734-735.) 
Defendant asserts the prosecutor improperly referred to defendant’s lack of 
remorse for his crimes as a factor in aggravation.  Defendant misconstrues the 
prosecutor’s argument, which did not identify lack of remorse as an aggravating 
factor.  “There is no statutory bar to a logical comment on a defendant’s lack of 
remorse. [Citation.]  To the contrary, we have recognized that consideration of 
lack of remorse is proper.  ‘A defendant’s remorse or lack thereof is a proper 
subject for the jury’s consideration at the penalty phase [citation], and the 
prosecutor’s comment thereon, which lacked any suggestion that the absence of 
remorse should be deemed a factor in aggravation of the offense, was proper.’  
[Citation.]  The argument did not, as defendant asserts, focus the jury’s attention 
on defendant’s failure to testify at the penalty phase.  It was clearly directed to the 
opportunities defendant had to express remorse in his statement to the police and 
guilt phase testimony.”  (Holt, supra, 15 Cal.4th at p. 691; People v. Hughes, 
supra, 27 Cal.4th at pp. 393-394.) 
Defendant asserts the prosecutor improperly suggested that, if sentenced to 
life in prison without the possibility of parole, defendant would enjoy a lifetime of 
“unfettered leisurely pursuits,” urging the jury to consider this as a factor in 
aggravation.  We do not believe this assertion properly characterizes the 
prosecutor’s argument.  As the People observe, the argument responded to the 
testimony of defense expert Len Chastian concerning the harsh realities of life in 
prison without the possibility of parole.  The prosecutor pointed out that the expert 
never had seen defendant prior to attending defendant’s trial, and suggested the 
expert could not predict defendant’s future.  The prosecutor compared the 
77 
activities engaged in by ordinary persons during leisure time, such as reading, 
watching television, writing letters, or communicating with friends or relatives and 
suggested those activities also would be available to defendant even in a 
maximum security prison.  The prosecutor properly could argue that the expert’s 
testimony should be discounted (People v. Arias, supra, 13 Cal.4th at p. 182), and 
in doing so he did not suggest that the availability in prison of some activities of 
normal life constituted a circumstance in aggravation. 
Defendant complains of the prosecutor’s argument that the death penalty 
was appropriate in view of the seriousness of the crimes, that defendant was not 
deserving of sympathy, and that the jury had the responsibility to return a proper 
verdict.  Argument that death is appropriate in light of the gravity of the crimes is 
permissible.  (Navarette, supra, 30 Cal.4th at p. 518.)  The prosecution properly 
may argue that a defendant is undeserving of sympathy.  (People v. Dennis (1998) 
17 Cal.4th 468, 548.) 
4. Exclusion of mitigation evidence that survivors would receive 
benefits from defendant’s art sales 
As a circumstance in mitigation, the defense offered evidence relating to 
defendant’s artistic efforts during his time in custody.  To that end, the defense 
displayed 10 drawings made by defendant, and a retired prison warden testified 
that inmates are permitted to sell their artwork in the institution’s “hobby shop.” 
The defense also called as a witness Douglas Gray, an attorney who 
practiced civil and criminal litigation, and inquired of him as to possible sales of 
defendant’s artwork.  Gray related that a woman whose husband had been 
murdered could sue the murderer and, in the event no answer was filed, ultimately 
could obtain a default judgment.  The defense asked Gray whether monies 
generated by a prisoner’s sales of his or her artwork, held at the institution for the 
prisoner’s benefit, ultimately could be used to satisfy such a judgment.  The 
prosecution objected and requested that Gray’s testimony be stricken as 
speculative and irrelevant.  The defense urged that because Mrs. Toovey testified 
78 
during the guilt phase that she had filed suit against defendant for causing her 
husband’s death and defendant had not filed an answer, the prospect that proceeds 
from the sale of defendant’s artwork might be used to satisfy her default judgment 
(or other such judgments obtained by the families of other victims) tended to 
establish that defendant should be sentenced to life in prison without the 
possibility of parole in order to provide such “restitution” for his crimes. 
The trial court ruled that this evidence was not relevant and also noted that 
if it were admitted, the prosecution would be permitted to offer highly damaging 
evidence in rebuttal.  The court sustained the prosecutor’s objection and instructed 
the jury to disregard Gray’s testimony.  Defendant contends he was entitled to 
present any relevant evidence at the penalty phase and that the trial court erred in 
refusing to admit this testimony. 
It is well established that at the penalty phase of a capital case, the fact 
finder may not be precluded from considering any relevant mitigating evidence.  
(Skipper v. South Carolina (1986) 476 U.S. 1, 4; Eddings v. Oklahoma (1982) 455 
U.S. 104, 114.)  The Eighth Amendment to the federal Constitution requires that a 
capital jury be permitted to consider in mitigation “ ‘any aspect of a defendant’s 
character or record, and any circumstance of the offense that the defendant 
proffers as a basis for a sentence less than death.’  [Citation.]”  (People v. 
Williams, supra, 40 Cal.4th at p. 320.) 
As defendant observes, the defense may offer evidence that the defendant, 
if permitted a life sentence, would behave in prison and earn money toward the 
support of his or her family, or would adapt well to prison life and would assist 
others by employing particular skills, such as writing ability.  (See, e.g., People v. 
Fudge (1994) 7 Cal.4th 1075, 1113-1115, 1117.)  “Nonetheless, even in the 
penalty phase the trial court ‘ “determines relevancy in the first instance and 
retains jurisdiction to exclude evidence whose probative value is substantially 
outweighed by the probability that its admission will create substantial danger of 
79 
confusing the issues or misleading the jury.” ’  [Citation.]”  (People v. Williams, 
supra, 40 Cal.4th at p. 320.) 
In the present case the defense was permitted to introduce evidence of 
defendant’s artistic activities in prison suggesting positive aspects of his character 
or conduct and, in addition, the possibility that income might be derived from his 
efforts.  The jury previously had learned that defendant had not filed any answer to 
Mrs. Toovey’s lawsuit.  Defendant’s attempt to present evidence suggesting that 
the families of defendant’s victims ultimately might receive from his artistic 
efforts a form of financial restitution or compensation for their suffering, however, 
was likely to lead to the admission of evidence that in total was aggravating rather 
than mitigating.  As the trial court observed, the prosecutor would be permitted to 
rebut such evidence with evidence highlighting the devastating impact of 
defendant’s acts upon the victims and their families.  In addition, the details and 
prospects of collecting such a judgment would be subject to examination, with the 
result that the jury would hear evidence that at best was speculative and confusing, 
and at worst was morally offensive and hardly mitigating in nature.  The trial court 
did not abuse its discretion in excluding the testimony in question. 
5. Jury instruction on weighing of factors 
Defendant raises several claims related to the purported inadequacy of 
CALJIC No. 8.88 (1989 rev.), which instructs the jurors regarding the weighing of 
circumstances in aggravation and mitigation in deciding the appropriate penalty. 
a. Trial court’s refusal to instruct on single mitigating 
circumstance 
Defendant requested that the jury be instructed that a single mitigating 
circumstance could outweigh multiple aggravating circumstances and by itself 
justify a verdict of life imprisonment without the possibility of parole.  The trial 
court denied the request.  Defendant urges that the language of CALJIC No. 8.88, 
the standard instruction given to the jury, refers to the jury’s consideration of the 
totality of the aggravating circumstances and the totality of the mitigating 
80 
circumstances and that the instruction advises that in order to return a verdict of 
death, each juror must be persuaded that the aggravating circumstances are so 
substantial in comparison with the mitigating circumstances that death is 
warranted instead of life imprisonment without the possibility of parole.  
Defendant suggests that, as a result, the jury may have believed that more than one 
mitigating factor must be demonstrated in order to avoid a verdict of death. 
As we have concluded previously, the trial court did not err in declining to 
give the instruction requested by defendant.  (People v. Cook (2007) 40 Cal.4th 
1334, 1364; People v. Breaux (1991) 1 Cal.4th 281, 316-317; People v. Williams 
(1988) 45 Cal.3d 1268, 1322.)  In addition, we have held such an instruction “was 
misleading, because it wrongly implied that at least one mitigating factor was 
needed to justify a sentence of life imprisonment without parole.  (See People v. 
Johnson, supra, 6 Cal.4th 1, 52.)”  (People v. Cook, supra, 40 Cal.4th at p. 1364.) 
b. The asserted creation of a presumption in favor of a death 
verdict by the“so substantial” language 
Defendant contends that the “so substantial” language of CALJIC No. 8.88 
is unconstitutionally vague under the Eighth Amendment.  Defendant 
acknowledges that we previously have rejected this claim (see, e.g., People v. 
Jackson, supra, 13 Cal.4th at pp. 1242-1243), and raises it here solely to preserve 
the issue for federal review. 
Defendant contends that the “so substantial” language also “does not 
convey the threshold requirement that aggravation outweigh mitigation” and 
effectively creates a presumption in favor of a death verdict by suggesting at the 
outset that the circumstances in aggravation are substantial.  We have rejected 
similar claims in previous cases.  (People v. Carter (2003) 30 Cal.4th 1166, 1226.) 
6. Other claimed instructional errors 
Contrary to defendant’s claim, the jury need not be instructed concerning 
which factors, pursuant to section 190.3, are aggravating and which are mitigating.  
81 
(People v. Rogers (2006) 39 Cal.4th 826, 897 (Rogers); People v. Carter, supra, 
30 Cal.4th at pp. 1229-1230.) 
The instructions did not invite the jury to consider inapplicable factors in 
aggravation.  (Rogers, supra, 39 Cal.4th at pp. 897-898.) 
The instruction concerning the jury’s sentencing discretion was not vague 
or misleading.  (People v. Cook, supra, 39 Cal.4th 566, 617-618.) 
Contrary to defendant’s claim, comparative intercase proportionality review 
is not required by the United States Constitution (People v. Snow (2003) 30 Cal. 
4th 43, 126-127), although intracase proportionality review is available.  (Rogers, 
supra, 39 Cal. 4th at pp. 894-895; People v. Hillhouse (2002) 27 Cal.4th 469, 
511.) 
CALJIC No. 2.11, explaining that neither party is required to call all 
witnesses or produce all objects or documents, does not invite the jury to speculate 
with regard to nonstatutory aggravating factors.  (People v. Mickey (1991) 54 
Cal.3d 612, 702.) 
The statutory language referring to aggravating and mitigating 
circumstances is not vague or ambiguous.  (Prince, supra, 40 Cal.4th at p. 1298; 
People v. Morrison (2004) 34 Cal.4th 698, 729.) 
The trial court was not required to instruct the jury that “life in prison 
without possibility of parole means exactly what it says:  The defendant will be in 
prison for the rest of his life.”  (People v. Sanders (1995) 11 Cal.4th 475, 561-562; 
see Rogers, supra, 39 Cal. 4th at p. 899; People v. Jones (1997) 15 Cal.4th 119, 
189-190.) 
7. Cumulative prejudice 
Defendant contends that the asserted errors arising at the penalty phase 
were cumulatively prejudicial and that those errors, considered together with the 
asserted errors affecting the guilt phase, were prejudicial at the penalty phase.  
Defendant, urging that the defense case in mitigation was “compelling,” 
emphasizes that the guilt phase claims related to the prosecutor’s “allegations” of 
82 
molestation, his “maligning” of Dr. Crinella’s opinion, and his “treading” upon 
defendant’s right to remain silent “tipped the scales” against defendant.  Defendant 
further suggests that the “explosively prejudicial” impact on the penalty 
determination of various guilt phase and penalty phase errors must be determined 
under the standard applicable to review of federal constitutional error as set forth 
in Chapman v. California (1967) 386 U.S. 18, and that to the extent the assertion 
of error is not based upon the federal Constitution, the claimed error must be 
reviewed under the test of state law error applicable at the penalty phase, as 
described in Brown, supra, 46 Cal.3d 432, 448.  (See, e.g., Robinson, supra, 37 
Cal.4th at pp. 641-642.)  As we previously have explained, however, “ ‘Brown’s 
“reasonable possibility” standard and Chapman’s “reasonable doubt” test . . . are 
the same in substance and effect.’ ”  (People v. Gonzalez, supra, 38 Cal.4th at p. 
961, fn. omitted.)  Having reviewed and rejected all of the guilt phase and all 
except one of the penalty phase assertions of error, we conclude there was no 
cumulative error. 
8. Failure to give curative instructions 
Defendant asserts the trial court was obligated sua sponte to give curative 
instructions after the prosecutor engaged in the actions and argument that, in 
defendant’s view, constituted misconduct.  We have concluded above that the 
prosecutor did not commit misconduct.  No such curative instructions were 
required.  (People v. Cole (2004) 33 Cal.4th 1158, 1204, fn. 12.) 
9. Multiple-murder special circumstance — narrowing function 
Defendant asserts the multiple-murder special circumstance fails to narrow 
the class of persons eligible for the death penalty, as required by the federal 
Constitution.  “[C]ategorizing as especially deserving of the ultimate penalty those 
offenders who kill two or more victims in one criminal event is not arbitrary, 
unfair or irrational, and performs the necessary narrowing of the pool of potential 
offenders required by the Eighth Amendment to the United States Constitution.”  
83 
(People v. Boyette (2002) 29 Cal.4th 381, 440; see People v. Yeoman, supra, 31 
Cal.4th 93, 165.) 
10. Asserted unconstitutional vagueness of section 190.3, factor (a) 
Defendant also asserts that section 190.3, factor (a), which permits the jury 
to consider the circumstances of the crime as a possible aggravating factor, is so 
broad and ill defined that it encourages jurors to impose the death penalty 
arbitrarily and capriciously.  Defendant provides examples from California 
decisions demonstrating that prosecutors have relied upon a wide range of facts in 
arguing that the circumstances of the crime should be treated as an aggravating 
factor.  As we previously have noted, judicial decisions have rejected these 
vagueness and overbreadth arguments.  (See Tuilaepa v. California (1994) 512 
U.S. 967, 975-976 (Tuilaepa); People v. Cook, supra, 40 Cal.4th p. 1366; Panah, 
supra, 35 Cal.4th at p. 499; People v. Carpenter (1999) 21 Cal.4th 1016, 1064.)  
As the high court stated in Tuilaepa, “[t]he circumstances of the crime are a 
traditional subject for consideration by the sentencer, and an instruction to 
consider the circumstances is neither vague nor otherwise improper under our 
Eighth Amendment jurisprudence.”  (Tuilaepa, supra, 512 U.S. at p. 976; People 
v. Cook, supra, 40 Cal.4th p. 1366.) 
11. Delay in execution 
Defendant claims that the “extraordinary delay” that is transpiring between 
his sentencing and the execution of his punishment constitutes cruel and unusual 
punishment.  (Lackey v. Texas (1995) 514 U.S. 1045 (mem. opn. of Stevens, J., on 
denial of cert.).)  We repeatedly have concluded that delay, whether in the 
appointment of counsel on appeal or in processing the appeal, or both, does not 
inflict cruel or unusual punishment within the meaning of the state or federal 
Constitution.  (Prince, supra, 40 Cal.4th at p. 1298; People v. Demetrulias (2006) 
39 Cal.4th 1, 45 (Demetrulias); People v. Lewis (2004) 33 Cal.4th 214, 232-233; 
People v. Lenart (2004) 32 Cal.4th 1107, 1131.) 
84 
12. Challenges to California’s death penalty scheme 
Defendant raises numerous constitutional challenges to the California death 
penalty statute that we repeatedly have rejected in prior decisions.  Defendant has 
not persuaded us to reexamine these holdings. 
a. “Narrowing function; overbreadth of statutory array” 
California’s death penalty statute does not fail to narrow the class of 
offenders who are eligible for the death penalty, as is required by the Eighth 
Amendment, nor has the statute been expanded “beyond consistency with” the 
Fifth and Fourteenth Amendments.  (Prince, supra, 40 Cal.4th at pp. 1297-1298; 
Lewis and Oliver, supra, 39 Cal.4th at p. 1068; People v. Gray, supra, 37 Cal.4th 
at p. 237; Robinson, supra, 37 Cal.4th at p. 655; People v. Smithey (1999) 20 
Cal.4th 936, 1017.) 
b. Absence of written findings 
“The California death penalty statute is not unconstitutional in failing to 
require the jury to make written findings concerning the aggravating 
circumstances relied upon, nor does the failure to require written findings preclude 
meaningful appellate review.”  (Prince, supra, 40 Cal.4th at p. 1297; see Alfaro, 
supra, 41 Cal.4th at pp. 1331-1332; Robinson, supra, 37 Cal.4th at 655; People v. 
Morrison, supra, 34 Cal.4th at pp. 730-731.) 
c. Absence of instructions on burden of proof 
The absence of instructions to the jury concerning the correct burden of 
proof did not infringe upon defendant’s constitutional rights.  (Alfaro, supra, 41 
Cal.4th at p. 1331; Prince, supra, 40 Cal.4th at p. 1297.)  “Failure to require that 
the jury unanimously find the aggravating circumstances true beyond a reasonable 
doubt, to find unanimously and beyond a reasonable doubt that aggravating 
circumstances outweigh mitigating circumstances, or to require a unanimous 
finding beyond a reasonable doubt that death is the appropriate penalty does not 
violate the Fifth, Eighth, or Fourteenth Amendment guarantees of due process and 
a reliable penalty determination.”  (Prince, supra, 40 Cal.4th at p. 1297; see 
85 
People v. Cook, supra, 40 Cal.4th 1334, 1365; Box, supra, 23 Cal.4th at p. 1217.)  
Neither Apprendi v. New Jersey (2000) 530 U.S. 466, nor Ring v. Arizona (2002) 
536 U.S. 584, nor Blakely v. Washington (2004) 542 U.S. 296, “affects California 
death penalty law or otherwise justifies reconsideration of the foregoing 
decisions.”  (People v. Morrison, supra, 34 Cal.4th at p. 731.)  The high court’s 
recent decision in Cunningham v. California (2007) 549 U.S. 270, 127 S.Ct. 856, 
166 L.Ed.2d 856 merely extends the Apprendi and Blakely analyses to California’s 
determinate sentencing law and has no apparent application to California’s capital 
sentencing scheme.  (Prince, supra, 40 Cal.4th at p. 1297.)  In Apprendi, supra, 
530 U.S. 466, the high court “found a constitutional requirement that any fact, 
other than a prior conviction, which increases the maximum penalty for a crime 
must be formally charged, submitted to the fact finder, treated as a criminal 
element and proved beyond a reasonable doubt.  [Citation.]  But under the 
California penalty scheme, once the defendant has been convicted of first degree 
murder and one or more special circumstances have been found true beyond a 
reasonable doubt, death is no more than the prescribed statutory maximum for the 
offense; the only alternative is life imprisonment without the possibility of parole.”  
(People v. Anderson (2001) 25 Cal.4th 543, 589-590, fn. 14; Prince, supra, 40 
Cal.4th at pp. 1297-1298.) 
d. Absence of requirement that the jury agree as to aggravating 
factors 
We previously have concluded the federal Constitution does not require 
that the jury agree or be instructed it must agree which aggravating factors are 
applicable.  (People v. Cook, supra, 40 Cal.4th at p. 1365; People v. Cook, supra, 
39 Cal.4th at p. 603; Robinson, supra, 37 Cal.4th at p. 654; People v. Young 
(2005) 34 Cal.4th 1149, 1233.) 
86 
e. Effect of use of “extreme” in section 190.3, factor (d), 
concerning mental disturbance 
As we have stated generally, “the use of the terms ‘extreme’ or ‘substantial’ 
does not improperly limit the jury’s consideration of mitigating evidence in 
violation of the Fifth, Sixth, Eighth, or Fourteenth Amendments.”  (Prince, supra, 
40 Cal.4th at p. 1298; People v. Smith (2003) 30 Cal.4th 581, 642.)  We have 
rejected the claim that the word “extreme” should be omitted from the language of 
section 190.3, factor (d).  (People v. Yeoman, supra, 31 Cal.4th at p. 145.) 
f. 
Prosecutorial discretion 
We also have rejected claims that the death penalty statute 
unconstitutionally grants unfettered discretion to prosecutors to decide whether to 
charge eligible defendants with a capital offense or seek the death penalty, 
resulting in disparate imposition of the death penalty throughout the state.  (Alfaro, 
supra, 41 Cal.4th at p. 1330; Prince, supra, 40 Cal.4th at p. 1298; People v. Vieira 
(2005) 35 Cal.4th 264, 304; Box, supra, 23 Cal.4th at p. 1217.) 
g. Frequency of imposition of death penalty in light of 
international norms 
Our sentencing scheme does not violate international norms of humanity 
and decency.  “ ‘ “ ‘International law does not prohibit a sentence of death that is 
rendered in accordance with state and federal constitutional and statutory 
requirements.’ ” ’ ”  (Alfaro, supra, 41 Cal.4th at p. 1332.) 
“Defendant points out that all Western European countries, and many 
others around the world, have either abolished the death penalty or restrict its use 
to extraordinary crimes.  He contends that this near-consensus demonstrates 
evolving standards of decency and humanity that should be deemed to bar use of 
execution ‘as a regular form of punishment’ under the Eighth Amendment to the 
United States Constitution.  As we recently said, however, ‘[d]efendant’s 
argument that the use of capital punishment “as regular punishment for substantial 
numbers of crimes” violates international norms of human decency and hence the 
87 
Eighth Amendment to the United States Constitution fails, at the outset, because 
California does not employ capital punishment in such a manner.  The death 
penalty is available only for the crime of first degree murder, and only when a 
special circumstance is found true; furthermore, administration of the penalty is 
governed by constitutional and statutory provisions different from those applying 
to “regular punishment” for felonies.  (E.g., Cal. Const., art. VI, § 11; 
§§ 190.1-190.9, 1239, subd. (b).)’ ”  (People v. Brasure (2008) 42 Cal.4th 1037, 
1071-1072, quoting Demetrulias, supra, 39 Cal.4th at pp. 43-44; see Moon, supra, 
37 Cal.4th at p. 48; accord, People v. Bell, supra, 40 Cal.4th at p. 621.) 
h. Imposition of death penalty balanced with postconviction relief 
Defendant incorporates by reference Justice Blackmun’s dissenting opinion 
in Callins v. Collins (1994) 510 U.S. 1141, 1143, concerning procedural barriers 
to habeas corpus relief, adding that the limitations to federal postconviction 
proceedings described in that opinion apply to California postconviction 
proceedings as well.  We previously have rejected this claim.  (Demetrulias, 
supra, 39 Cal.4th at pp. 44-45; People v. Fairbanks (1997) 16 Cal.4th 1223, 
1255.) 
i. 
Adequacy of federal and state court postconviction relief 
Defendant relies upon Justice Blackmun’s concurring opinion in Sawyer v. 
Whitley (1992) 505 U.S. 333, 357-360, which discusses the increasing procedural 
barriers to the consideration of the claims of condemned prisoners in federal 
habeas corpus proceedings, and asserts that the mounting federal habeas corpus 
procedural barriers, considered with increasing comparable barriers in the state 
courts, have rendered the system of review of capital convictions and sentences 
more arbitrary and less reliable than it was at the time capital punishment was 
resumed in the 1970’s.  Defendant has not established or provided authority for 
the proposition that such a result has occurred. 
88 
j. 
Cruel and unusual punishment — asserted arbitrary 
administration of the death penalty 
Defendant adopts by reference Judge Noonan’s dissenting opinion in 
Jeffers v. Lewis (9th Cir. 1994) 38 F.3d 411, 425-427, urging that the 
administration of the death penalty in California is so arbitrary as to constitute 
cruel and unusual punishment.  We previously have rejected this argument.  
(Demetrulias, supra, 39 Cal.4th at pp. 44-45.) 
13. Cruel and unusual punishment:  lethal injection 
Defendant contends that California’s method of execution by lethal 
injection constitutes cruel and unusual punishment, in violation of the Eighth 
Amendment to the federal Constitution.  We repeatedly have rejected this claim.  
(Lewis and Oliver, supra, 39 Cal.4th at p. 1068; People v. Young, supra, 34 
Cal.4th at p. 1234.)  Moreover, asserted “imperfections in the method of execution 
do not affect the validity of the death judgment itself.”  (People v. Boyer (2006) 38 
Cal.4th 412, 485; see Baze v. Rees (2008)  ___ U.S. ___ [128 S.Ct. 1520, 1537-
1538] [rejecting challenge to lethal-injection procedure of the State of Kentucky 
based upon the Eighth Amendment]; Morales v. Hickman (2006) 438 F.3d 926, 
931 [affirming federal district court’s modification of California’s protocol for 
lethal injection in lieu of injunctive relief].) 
14. Asserted ineffective assistance of counsel 
Defendant contends he received constitutionally defective assistance from 
his trial counsel at both the guilt and penalty phases of his trial. “In order to 
establish a claim of ineffective assistance of counsel, defendant bears the burden 
of demonstrating, first, that counsel’s performance was deficient because it ‘fell 
below an objective standard of reasonableness . . . under prevailing professional 
norms.’  [Citations.]  Unless a defendant establishes the contrary, we shall 
presume that ‘counsel’s performance fell within the wide range of professional 
competence and that counsel’s actions and inactions can be explained as a matter 
of sound trial strategy.’  [Citation.]  If the record ‘sheds no light on why counsel 
89 
acted or failed to act in the manner challenged,’ an appellate claim of ineffective 
assistance of counsel must be rejected ‘unless counsel was asked for an 
explanation and failed to provide one, or unless there simply could be no 
satisfactory explanation.’  [Citation.]  If a defendant meets the burden of 
establishing that counsel’s performance was deficient, he or she also must show 
that counsel’s deficiencies resulted in prejudice, that is, a ‘reasonable probability 
that, but for counsel’s unprofessional errors, the result of the proceeding would 
have been different.’  [Citation.]”  (Lopez, supra, 42 Cal.4th at p. 966, citing 
People v. Ledesma, supra, 39 Cal.4th at pp. 745-746.) 
a. Failure to challenge jurisdiction based upon treaty violation 
As discussed above, we have entertained defendant’s jurisdictional 
challenge despite any failure by his counsel to raise this claim at trial.  
Accordingly, defendant cannot establish prejudice from the asserted deficient 
performance of trial counsel in this respect. 
b. Failure to emphasize certain evidence in motion to suppress 
Defendant asserts that in moving to suppress evidence of his confession, 
defense counsel failed specifically to make the points raised in part II.A.3, ante 
(guilt phase contentions) — that in advising defendant of his Miranda rights, 
Detective Edmonds did not adequately advise him of his right to speak to an 
attorney and have an attorney present during questioning, and failed to advise 
defendant that he faced the death penalty.  As we explained earlier, the detective 
carefully and adequately advised defendant of his constitutional rights.  
Accordingly, defendant’s claim fails. 
c. Failure to make a timely Pitchess motion 
Because we have concluded that defendant’s discovery motion under 
Pitchess v. Superior Court, supra, 11 Cal.3d 531, 536-537, properly was denied 
on its merits, defendant cannot establish prejudice from any ineffective assistance 
of trial counsel in failing to make the motion earlier. 
90 
d. Failure to object to excusal for cause of Prospective Juror F.P. 
Because we have determined that Prospective Juror F.P. properly was 
excused for cause, defendant cannot establish prejudice from any possible 
ineffective assistance of trial counsel in failing to object when the trial court 
granted the prosecutor’s challenge for cause. 
e. Failure to object to Detective Edmonds’s guilt phase opinion 
testimony 
Defendant contends trial counsel failed to object to the portion of 
defendant’s tape recorded confession in which Detective Edmonds conveyed his 
opinion that defendant had attempted to sexually molest the Richards girls and had 
failed to tell the truth about his actions.  As we concluded above, Edmonds’s 
comments in the course of his interview with defendant do not constitute improper 
opinion testimony.  Moreover, trial counsel attempted to exclude all evidence 
relating to that line of questioning.  Trial counsel did not render ineffective 
assistance. 
f. 
Failure to object to prosecutorial misconduct 
Because the prosecutor’s arguments discussed above were appropriate, 
there was no reason for an objection, and defense counsel’s failure to make an 
objection was not unreasonable.  Accordingly, the failure to object did not result in 
a violation of defendant’s constitutional right to the effective assistance of counsel.  
(Lopez, supra, 42 Cal.4th at p. 968; People v. Dickey (2005) 35 Cal.4th 884, 915; 
Rodrigues, supra, 8 Cal.4th at p. 1126; see Holt, supra, 15 Cal.4th at p. 691 
[“Inasmuch as the comment [on defendant’s lack of remorse] was not improper, 
counsel had no basis for an objection and the failure to object cannot be deemed 
incompetent”].) 
As we have observed, “except in those rare instances where there is no 
conceivable tactical purpose for counsel’s actions,” claims of ineffective 
assistance of counsel generally must be raised in a petition for writ of habeas 
corpus based on matters outside the record on appeal.  (Lopez, supra, 42 Cal.4th at 
91 
p. 972; People v. Mendoza-Tello, supra, 15 Cal.4th at pp. 266-267.)  The rule is 
particularly apt when the asserted deficiency arises from defense counsel’s failure 
to object.  “[D]eciding whether to object is inherently tactical, and the failure to 
object will rarely establish ineffective assistance.”  (People v. Hillhouse, supra, 27 
Cal.4th at p. 502; see also People v. Dickey, supra, 35 Cal.4th at p. 914; People 
v. Boyette, supra, 29 Cal.4th at p. 433.)  Here, the record establishes that defense 
counsel had valid tactical reasons for not objecting to, and not asking the trial 
court to tell the jury to disregard, the prosecutor’s arguments. 
g. Failure to move for new trial 
Defendant contends trial counsel rendered ineffective assistance by failing 
to move for a new trial on the grounds of prosecutorial misconduct, insufficiency 
of the evidence of defendant’s deliberation in the murders of the Richards girls, 
and the prejudicial impact of the evidence suggesting sexual misconduct was 
committed upon these victims.  Because we have concluded there was no error as 
to the underlying claims, it follows that trial counsel did not render ineffective 
assistance in failing to seek a new trial on those grounds. 
15. Motion for continuance to enable the defense to review juror 
questionnaires 
Defendant contends the trial court erred in denying his motion for a 
continuance, following return of the penalty phase verdict on November 16, 1990, 
that was sought to enable the defense to receive and review questionnaires that it 
sent to individual jurors in an attempt to ascertain (prior to the sentencing hearing 
set for December 17, 1990) whether any juror misconduct had occurred.  The 
record reflects that a single juror response was received to the defense 
questionnaire, which was sent to the jurors on December 7.  The trial court did not 
abuse its discretion in determining that the defense had not shown good cause why 
a continuance was necessary. 
Defendant has not demonstrated that any material error occurred at the 
penalty phase, or that he suffered prejudice at that stage of the proceedings. 
92 
 
III.  CONCLUSION 
The judgment is affirmed in its entirety.  
 
 
 
 
GEORGE, C. J. 
WE CONCUR: 
 
KENNARD, J. 
BAXTER, J. 
WERDEGAR, J. 
CHIN, J. 
MORENO, J. 
CORRIGAN, J. 
 
 
 
 
See next page for addresses and telephone numbers for counsel who argued in Supreme Court. 
 
Name of Opinion People v. Salcido 
__________________________________________________________________________________ 
 
Unpublished Opinion 
Original Appeal XXX 
Original Proceeding 
Review Granted 
Rehearing Granted 
 
__________________________________________________________________________________ 
 
Opinion No. S018814 
Date Filed: June 30, 2008 
__________________________________________________________________________________ 
 
Court: Superior 
County: San Mateo 
Judge: Reginald Littrell 
 
__________________________________________________________________________________ 
 
Attorneys for Appellant: 
 
Conrad Petermann, under appointment by the Supreme Court, for Defendant and Appellant. 
 
 
 
 
__________________________________________________________________________________ 
 
Attorneys for Respondent: 
 
Bill Lockyer and Edmund G. Brown, Jr., Attorneys General, David P. Druliner, Chief Assistant Attorney 
General, Ronald A. Bass, Assistant Attorney General, Herbert F. Wilkinson and Ronald S. Matthias, 
Deputy Attorneys General, for Plaintiff and Respondent. 
 
 
 
 
 
 
 
 
Counsel who argued in Supreme Court (not intended for publication with opinion): 
 
Conrad Petermann 
Law Office of Conrad Petermann 
323 East Matilija Street, Suite 110 
PMB 142 
Ojai, CA  93023 
(805) 646-8250 
 
Ronald S. Matthias 
Deputy Attorney General 
455 Golden Gate Avenue, Suite 11000 
San Francisco, CA  94102-7004 
(415) 703-5858