Court Opinion

ID: 4689326
Source: CourtListenerOpinion
Date Created: 2021-05-24 07:18:57.08808+00
Date Added: 2024-06-11T08:04:53.623368
License: Public Domain

IN THE COURT OF CRIMINAL APPEALS
                         OF TEXAS
                                         NO. AP-77,071

                             JOHN RAY FALK, JR., Appellant

                                                v.

                                  THE STATE OF TEXAS

                    ON DIRECT APPEAL FROM CAUSE NO. 27347
                         IN THE 278TH DISTRICT COURT
                               WALKER COUNTY

       Per curiam.

                                          OPINION

       In February 2017, Appellant pleaded guilty before a jury to capital murder, the allegation

being that he intentionally or knowingly caused the death of another “while escaping or attempting

to escape from a penal institution.” TEX. PENAL CODE §§ 19.03(a)(4), 19.02(b)(1). Based on the

jury’s answers to the special issues set forth in Texas Code of Criminal Procedure Article 37.071,

Sections 2(b) and 2(e), the trial court sentenced Appellant to death. See TEX. CODE CRIM. PROC. art.
                                                                                            FALK—2

37.071, § 2(g).1 Direct appeal to this Court is automatic. Art. 37.071, § 2(h).

        Appellant raises twenty points of error.2 In point of error one, Appellant alleges that his

second trial was barred by double jeopardy because his first trial ended in an improper mistrial. In

points of error two and three, Appellant contends that the trial court improperly conducted

trial-related business outside his presence. In points of error five and six, Appellant argues that the

trial court erred by finding him competent to stand trial without a formal, contested competency

hearing. Similarly, in point of error seven, Appellant argues that the trial court erred in allowing him

to represent himself because he lacked the mental capacity to conduct his own defense. In points of

error eight and nine, Appellant challenges the restrictions placed upon his standby counsel. In points

of error sixteen and seventeen, Appellant contends that the trial court made prejudicial comments

during jury selection. In points of error four and eighteen, Appellant argues that the trial court

improperly impaneled the jury as constituted. In points of error ten through fourteen, Appellant

raises challenges to the validity of his guilty plea. In points of error fifteen, nineteen, and twenty,

Appellant argues that his death sentence violates the Eighth Amendment to the United States

Constitution. After reviewing Appellant’s points of error, we affirm the trial court’s judgment of

conviction and sentence of death.

                                        I. BACKGROUND

        1
         Unless otherwise indicated, all subsequent citations in this opinion to “Articles” refer to
the Texas Code of Criminal Procedure, and all subsequent citations to “Rules” refer to the Texas
Rules of Appellate Procedure.
        2
           Appellant filed his corrected opening brief in June 2019. In December 2019, Appellant
submitted an “Unopposed Motion to File a Supplemental Brief.” This supplemental brief alleged
two additional errors in points of error two and three, see infra, and added two wholly new points
of error, for a total of twenty-two. We denied Appellant’s motion, so we do not address his
supplemental arguments or points of error.
                                                                                        FALK—3

       This is the second time Appellant has been tried on capital murder charges based on the same

underlying conduct. The first trial ended in a mistrial. In an interlocutory mandamus proceeding

arising out of the first trial, we summarized the facts of the offense as follows.

       John Ray Falk, Jr. and Jerry Duane Martin escaped from prison, and during that
       escape, Susan Canfield, a prison guard, was killed. . . . Canfield was on horseback,
       attempting to prevent Falk and Martin from escaping, when Falk jabbed a stolen
       revolver into Canfield’s side and obtained her rifle. After disarming Canfield, Falk
       backed away. As Falk was backing away, Martin drove a pickup truck into Canfield
       and her horse—causing injuries that ultimately led to her death. Falk then jumped
       into the truck, and the truck sped away.

In re State ex rel. Weeks, 391 S.W.3d 117, 119–20 (Tex. Crim. App. 2013). This offense was

alleged to have occurred on September 24, 2007. Appellant’s first capital murder trial began in

November 2012. During the trial, the trial court erroneously refused to submit a jury instruction on

one theory of party liability and misstated the law in the jury charge on another. The State sought

mandamus relief, which we ultimately granted. See Weeks, 391 S.W.3d at 120.

       When the case returned to the trial court in January 2013, more than seven weeks had passed.

By that point, the trial court had begun to harbor serious reservations about allowing the case to

proceed to a verdict. The Waco Court of Appeals later summarized:

       The trial judge expressed concern over what to tell the jury after the fifty-five-day
       delay, and with there being twenty-four witnesses, he was also concerned with how
       well the jury would be able to remember the trial testimony after the lengthy delay.
       The trial judge was skeptical of the State’s proposal of extra time for closing
       argument so they could spend more time reviewing the trial testimony for the jury to
       refresh the jurors’ memories; at several times during argument on Falk’s motion for
       directed verdict, there was substantial argument and disagreement over the testimony
       of certain witnesses.

Ex parte Falk, 449 S.W.3d 500, 506 (Tex. App.—Waco 2014, pet. ref’d), cert. denied, 575 U.S. 918

(2015). With these concerns in mind, the trial court ordered a mistrial on its own initiative.
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        A. Double jeopardy litigation

        A few months after the mistrial order, in May 2013, Appellant filed a pre-trial application

for a writ of habeas corpus. Among other things, Appellant argued that because he had not

consented to the mistrial order, and because there was no “manifest necessity” to support that order,

the Double Jeopardy Clause precluded his re-prosecution. Appellant also argued that the trial court’s

initial comments about the lack of evidence to support the State’s intent-to-promote-or-assist theory

amounted to an acquittal on that theory—such that, should Appellant be retried, resubmitting that

theory to the jury would likewise violate double jeopardy protections. The trial court, acting as

habeas court, denied the application on both bases and, in a published opinion, the Waco Court of

Appeals affirmed. See id. at 511. Appellant filed a petition for discretionary review asking this

Court to reverse the court of appeals’ judgment. We refused Appellant’s petition. Appellant then

filed a petition for writ of certiorari in the Supreme Court of the United States. In March 2015, the

Supreme Court denied Appellant’s petition. See Falk v. Texas, 575 U.S. 918 (2015).

        B. Retrial

        In June 2015, Appellant was reindicted for capital murder. Jury selection began in January

2017. Two weeks and thirty-three prospective jurors into that process, Appellant invoked his Sixth

Amendment right of self-representation and asked the trial court to relegate his lawyers to the role

of “side chair counsel.” Appellant’s counsel vehemently opposed this idea, asserting that Appellant

was only invoking that right so that he could facilitate his own execution: “He just wants to not live

in prison for the rest of his life. He just wants to die.”

        The trial court conducted a Faretta hearing to ensure that Appellant understood “the dangers

and disadvantages of self-representation.” See Faretta v. California, 422 U.S. 806, 835 (1975).
                                                                                             FALK—5

Initially satisfied that Appellant was knowingly and voluntarily waiving his right to counsel, the trial

court verbally signaled its intent to allow Appellant to waive his right to counsel and proceed pro

se, with his current lawyers remaining on the case as “standby counsel.” The trial court informed

Appellant that, the following morning, he would be asked to execute a written waiver-of-counsel

form, see Art. 1.051(g), after which he would be allowed to represent himself.

        However, before Appellant could execute a written waiver-of-counsel form, the trial court

decided that Appellant should be evaluated for his competency to stand trial and mental capacity for

self-representation. After Appellant was examined by a court-appointed expert and deemed

“competent to stand trial and competent to determine if he should represent himself,” the trial court

honored Appellant’s request for self-representation.

        From that moment on, Appellant offered no meaningful adversarial testing of the State’s

case. For the rest of individual voir dire, Appellant mostly remained silent. He asked a few of the

prospective jurors about their ability to follow the law, but he did not move to strike any of the jurors

for cause, and he did not use any peremptory strikes. At one point, outside the presence of the

potential jurors, the trial court remarked that it was “apparent to all of us” that Appellant “desire[d]

that he be found guilty of capital murder and [that] the jury assess the death penalty in this case.”

The trial court further stated Appellant’s strategic decisions represented “a form of suicide.”

        The guilt phase of trial consisted of Appellant pleading guilty to the indictment.3 In the

        3
          We have sometimes described guilty plea proceedings as “unitary” proceedings, thereby
eliminating the need to distinguish between the ordinary phases of trial—guilt and punishment.
But we have also said that the distinction between “unitary” and “bifurcated” trials is “moot” in
capital cases, because “Art[icle] 37.071 governs all capital cases and it provides for a trial by jury
upon the issues related to punishment.” Williams v. State, 674 S.W.2d 315, 319 n.2 (Tex. Crim.
App. 1984). The parties in the instant case describe the trial as proceeding in distinct “phase[s].”
So, for clarity’s sake, and not intending any substantive change in the law, we shall use the same
                                                                                            FALK—6

punishment phase, Appellant did not object to any of the State’s evidence, and he offered no

evidence of his own. In terms of cross-examination, Appellant asked a single question of a single

State’s witness, a prisoner named Noah Melton: “How you doing, Noah?” Appellant did not

otherwise cross-examine any of the State’s witnesses.

        The State presented a significant amount of evidence at punishment. The State elicited

testimony from several witnesses describing: Appellant’s role in the instant offense and the mayhem

that he and Martin caused when they escaped; Appellant’s lack of remorse for his role in Canfield’s

death; Appellant’s unruly and violent behavior while in confinement, both preceding and following

his incarceration for the instant offense; the gruesome 1986 murder to which Appellant pleaded

guilty and for which Appellant was incarcerated when he committed the instant offense; and the

warm, decent, and by all accounts honorable person that Canfield was.

        Ultimately, the jury found beyond a reasonable doubt that: (1) there was a probability that

Appellant would commit criminal acts of violence that would constitute a continuing threat to

society, see Art. 37.071, § 2(b)(1); and (2) Appellant either caused Canfield’s death, intended to kill

Canfield or another, or anticipated that a human life would be taken, see Art. 37.071, § 2(b)(2). The

jury further found that there were insufficient mitigating circumstances to warrant a sentence of life

imprisonment without parole, see Art. 37.071, § 2(e). In accordance with the jury’s answers to these

issues, the trial court sentenced Appellant to death. See Art. 37.071, § 2(g). This appeal followed.

        We proceed now to an analysis of Appellant’s points of error. We will first address

Appellant's double jeopardy claims. Second, we will address his claims regarding the trial court

conducting trial-related business outside his presence. Third, we will address his claims that the trial

terminology.
                                                                                             FALK—7

court erred by finding him competent to stand trial without a formal, contested hearing and his claim

that the trial court improperly allowed him to represent himself. Fourth, we will address his

challenges to restrictions on standby counsel. Fifth, we will address his claims that the trial court

made prejudicial comments during jury selection. Sixth, we will address his arguments regarding

the impaneling of the jury. Seventh, we will address his challenges to the validity of his guilty plea.

Finally, we will address his Eighth Amendment arguments challenging his death sentence.

                                     II. DOUBLE JEOPARDY

        In point of error one, Appellant argues that the Double Jeopardy Clause of the United States

Constitution barred his re-prosecution for the instant offense after his first capital murder trial ended

in a mistrial. See, e.g., Oregon v. Kennedy, 456 U.S. 667, 671–72 (1982). He also argues that the

State violated double jeopardy by retrying him “under a theory of party liability under § 7.02(a),”

because the trial court’s earlier comments about the lack of evidence to support that theory amounted

to an acquittal. See, e.g., Evans v. Michigan, 568 U.S. 313, 318 (2013).

        Both of these claims were raised and rejected in the course of Appellant’s earlier double

jeopardy litigation, recounted above. See Falk, 449 S.W.3d at 504, 508. We received and gave due

consideration to Appellant’s petition for discretionary review complaining of error in the court of

appeals’ analysis. Ultimately, both we and the United States Supreme Court declined to exercise our

discretion to review the court of appeals’ judgment. Under these circumstances, we conclude that

the court of appeals’ earlier resolutions of Appellant’s double jeopardy claims became the law of the

case, such that further review at this stage is unwarranted. See Howlett v. State, 994 S.W.2d 663,

666 (Tex. Crim. App. 1999) (citations omitted) (explaining that the “law of the case” doctrine

provides “that an appellate court’s resolution of a question of law in a previous appeal of the same
                                                                                          FALK—8

case will govern the disposition of the same issue when raised in a subsequent appeal.”).

               Appellant argues that the “the summary refusal of a petition for discretionary review

by this Court is of no precedential value.” See Sheffield v. State, 650 S.W.2d 813, 814 (Tex. Crim.

App. 1983). That is true. It is also true that the Supreme Court’s denial of a petition for writ of

certiorari carries no binding legal significance. See, e.g., Teague v. Lane, 489 U.S. 288, 296 (1989).

But that does not mean that we cannot take our refusal or the Supreme Court’s denial of certiorari

into account in deciding the prudential question of whether the law of the case doctrine ought to

apply to these circumstances. Considering both prior discretionary review refusals and our view that

the court of appeals’ analysis was not “clearly erroneous”, see Howlett, 994 S.W.2d at 666), we hold

that the court of appeals’ resolution of Appellant’s double jeopardy claims is the law of the case and

we need not reconsider his claims here. See Howlett, 994 S.W.2d at 666 (applying the law of the case

doctrine when previous review of legal issue was not “clearly erroneous”).

       Appellant also argues that applying the law of the case doctrine would deprive him of his

statutory right to have this Court automatically review the conviction and sentence in a case in which

the death penalty was imposed. See Art. 37.071(h). We disagree. “[R]eview,” in contemplation of

Article 37.071(h), does not invariably mean merits review on every point. See id. If it did, then the

statute would arguably prohibit us from applying the ordinary rules of procedural default. That being

the case, our resolution does not frustrate Appellant’s statutory right of review in this Court.

Appellant has made his claim of error in this Court, and we are disposing of it, albeit on the basis

of a prudential, estoppel-like doctrine rather than on the merits of his claim.

       Neither does our resolution frustrate any constitutional right Appellant may have to receive

“meaningful appellate review in ensuring that the death penalty is not imposed arbitrarily or
                                                                                           FALK—9

irrationally.” See Parker v. Dugger, 498 U.S. 308, 321 (1991). Appellant received meaningful

appellate review when the court of appeals issued a carefully wrought, record-based opinion

disposing of Appellant’s double jeopardy claims on their merits. See id. (“It cannot be gainsaid that

meaningful appellate review requires that the appellate court consider the defendant’s actual

record.”).

       Finally, Appellant cites cases in which we have said that the law of the case doctrine applies

only when the legal issue was determined by a “court of last resort.” See, e.g., Granger, 850 S.W.2d

at 516 (citations omitted). We have never definitively said what constitutes a “court of last resort”

in contemplation of the law of the case doctrine. But we have previously described at least two

lower-tier appellate court rulings as “law of the case.” See Howlett, 994 S.W.2d at 666–67; Ex parte

Calvin, 689 S.W.2d 460, 462–63 (Tex. Crim. App. 1985). Again, that does not mean that lower-tier

appellate court rulings legally bind us to rule one way or another, in the case under review or in any

other case. It means only that, as a matter of prudence, we may exercise our discretion not to revisit

a settled legal issue, even if it was settled by a lower-tier appellate court. See George E. Dix & John

M. Schmolesky, 43B TEXAS PRACTICE: CRIMINAL PRACTICE AND PROCEDURE § 56:154 (3d. ed.

2020) (“Once a matter has been finally determined in the appellate process, even if not by the Court

of Criminal Appeals, considerations of efficiency and consistency suggest that the Court of Criminal

Appeals should be reluctant to reach back and resurrect the issue for reconsideration.”). Point of

error one is overruled.

                          III. PRE-TRIAL AND TRIAL ABSENCES

       In points of error two and three, Appellant complains on statutory and constitutional grounds

that the trial court committed reversible error by conducting trial-related business outside his
                                                                                        FALK—10

presence. See U.S. CONST. amends. V, VI, XIV; Arts. 28.01, 33.03.

       The Sixth and Fourteenth Amendments to the United States Constitution guarantee a criminal

defendant “the right to be present at any stage of the criminal proceeding that is critical to its

outcome if his presence would contribute to the fairness of the procedure.” Kentucky v. Stincer, 482

U.S. 730, 745 (1987); see also Jasper v. State, 61 S.W.3d 413, 423 (Tex. Crim. App. 2001). So,

“even in situations where the defendant is not actually confronting witnesses or evidence against

him, he has a due process right to be present in his own person whenever his presence has a relation,

reasonably substantial, to the fulness of his opportunity to defend against the charge.” Stincer, 482

U.S. at 745 (internal quotation marks omitted) (quoting Snyder v. Massachusetts, 291 U.S. 97,

105–06 (1934)). Violations of this right are subject to harmless error review under the standard

associated with constitutional errors. See Jasper, 61 S.W.3d at 423. If the record reveals that the

defendant was excluded without his consent from a stage of trial that the Constitution gave him a

right to attend, we must reverse unless we determine beyond a reasonable doubt that this exclusion

did not contribute to the conviction or punishment. See Rule 44.2(a).

       Texas statutes also guarantee a criminal defendant the right to be personally present at the

proceedings against him. Indeed, some of our statutes speak of the defendant’s presence as a

requirement. Article 28.01, for instance, says that the defendant’s presence “is required during any

pre-trial proceeding.”   Article 33.03 uses similar mandatory language, stating that in “all

prosecutions for felonies, the defendant must be personally present at the trial.”

       However, not every pre-trial courtroom occurrence constitutes a “proceeding” in

contemplation of Article 28.01. See Adanandus v. State, 866 S.W.2d 210, 218 (Tex. Crim. App.

1993) (citations omitted). And “the trial,” as that term is used in Article 33.03, does not begin at
                                                                                          FALK—11

least until the “general assembly portion of jury selection” has concluded. See Jasper, 61 S.W.3d

at 423 (citations omitted). Furthermore, the mandatory language used in these statutes does not

mean that a violation of either statute is immune from harmless error review. See, e.g., Cain v. State,

947 S.W.2d 262, 264 (Tex. Crim. App. 1997) (observing that even “mandatory requirement[s]” may

be subject to harmless error analysis). Assuming one of these provisions is violated and no

comparable constitutional error is shown, the violation is subject to harmless error review under the

standard associated with non-constitutional errors. Cf. Jacobs v. State, 560 S.W.3d 205, 209 (Tex.

Crim. App. 2018) (concluding that the “only . . . kind of harm analysis that could possibly apply”

to constitutional error was the “constitutional error standard contained in Rule of Appellate

Procedure 44.2(a).”). Therefore, a violation of either of these statutes, without additional showing

of constitutional error, “must be disregarded” unless we determine that the violation affected

Appellant’s “substantial rights.” See Rule 44.2(b).

        A. Appellant’s absence from the November 19, 2015 telephonic status conference
        resulted in no constitutional or statutory error.

        Appellant first complains that the trial court, one of Appellant’s defense lawyers, and two

of the trial prosecutors participated in a telephonic status conference in Appellant’s absence on

November 19, 2015. The call’s participants had discussed a wide variety of topics, including

discovery, venue, defense counsel’s access to Appellant, expert-witness funding, other unspecified

“money issues,” and “the possibility of a motion to quash the indictment.” However, the trial court

did not make any rulings at the conference.

        We conclude that this phone call was neither a “critical stage” in contemplation of

Appellant’s constitutional right to be present, nor a “pre-trial proceeding” in contemplation of Article
                                                                                        FALK—12

28.01, nor part of “the trial” in contemplation of Article 33.03. First, Appellant’s presence on the

phone call would not have “contribute[d] to the fairness of th[at] procedure.” See Stincer, 482 U.S.

at 745. Based on the trial court’s summary of the call, everything that was discussed can fairly be

described as preliminary. No motions were filed and no written orders were issued. Appellant

argues that his absence from the call left him ignorant of the topics discussed—discovery, venue,

expert witnesses, et cetera. But Appellant’s absence from a phone call discussing these topics does

not establish that he was necessarily ignorant of the topics discussed. And Appellant does not

explain what contributions he might have been able to make or why they might have been important

for the court to hear. Under these circumstances, we conclude that Appellant’s absence from the

November 19 phone call was not constitutional error.

       Similarly, the November 19 phone call was not a “pre-trial proceeding” in contemplation of

Article 28.01. The record shows that no motions came “to be heard.” See Malcom v. State, 628

S.W.2d 790, 792 (Tex. Crim. App. 1982) (citations omitted). And no written orders were entered.

See Adanandus, 866 S.W.2d at 218. The trial court’s comments indicate that it would resolve many,

if not most, of the matters discussed at some later date. It does not appear that the trial court took

any action, final or otherwise. The record does not support Appellant’s assertion that a “pre-trial

proceeding” under Article 28.01 took place on November 19.

       Finally, the November 19 phone call took place well before the general assembly portion of

jury selection began. Therefore, Appellant was not excluded from “the trial” in contemplation of

Article 33.03. See Jasper, 61 S.W.3d at 423. Appellant’s absence from the November 19th phone

conference did not amount to statutory or constitutional error.

       B. Appellant’s absence from the in camera hearing on January 31, 2017 was
                                                                                        FALK—13

       harmless beyond a reasonable doubt.

       Appellant also complains about his absence from part of an in camera hearing on January

31, 2017, the day after he invoked his right of self-representation. At this hearing, defense counsel

asked the trial court to appoint an expert for the purpose of assessing Appellant’s mental capacity

to proceed pro se. Before the trial court took any action on defense counsel’s motion, Appellant,

seated in the courtroom, made it known to the court that he objected to his exclusion from chambers.

In response, the court moved the hearing into the courtroom and summarized what had already been

discussed. At the conclusion of this hearing, the trial court stayed the proceedings and ordered that

Appellant be examined for his competency to stand trial and his mental capacity to self-represent.

Appellant initially opposed the examination, but ultimately cooperated with it.

       We will assume without deciding that the initial in camera portion of this hearing was not

only a part of Appellant’s “trial” under Article 33.03 (occurring, as it did, after the commencement

of individual voir dire), but also a “critical stage” in contemplation of Appellant’s constitutional

right to be physically present at trial. See Stincer, 482 U.S. at 745. Nevertheless, any error was

harmless beyond a reasonable doubt. See Rule 44.2(a).

       As soon as the trial court realized that Appellant wished to attend the hearing, it moved the

hearing into the courtroom so that Appellant could be present and participate in it. The court then

told Appellant what the court and the lawyers had already discussed. At that point in the hearing,

the court had not yet decided how to proceed. The court eventually decided to have Appellant

evaluated for his competency to stand trial and capacity to represent himself, later finding that

Appellant was both competent to stand trial and capable of self-representation. Even if Appellant

had been physically present at the in camera portion of this hearing, the outcome of the hearing or
                                                                                           FALK—14

the trial would not have been any different. We conclude, beyond a reasonable doubt, that

Appellant’s absence from the in camera portion of the January 31, 2017 hearing did not contribute

to his conviction or sentence. See Rule 44.2(a).

        Points of error two and three are overruled.

          IV. COMPETENCY TO STAND TRIAL AND THE RIGHT OF SELF-
                           REPRESENTATION

        In points of error five and six, Appellant argues on statutory and constitutional grounds that

the trial court erred by deeming Appellant competent to stand trial without first holding a formal,

contested competency hearing. See TEX. CODE CRIM. PROC. ch. 46B; Pate v. Robinson, 383 U.S.

375, 378 (1966). In point of error seven, Appellant argues that, because he lacked the mental

capacity to personally conduct his own defense, the trial court erred by allowing him to represent

himself. See Indiana v. Edwards, 554 U.S. 164, 177–78 (2008).

        Subjecting an incompetent defendant to a criminal trial violates due process. See, e.g.,

Cooper v. Oklahoma, 517 U.S. 348, 354 (1996). Therefore, a defendant may not be put to trial

unless “he has sufficient present ability to consult with his lawyer with a reasonable degree of

rational understanding . . . [and] a rational as well as factual understanding of the proceedings against

him.” Id. (internal quotation marks omitted) (quoting Dusky v. United States, 362 U.S. 402, 402

(1960) (per curiam)). Due process also requires “that state procedures . . . be adequate to protect”

against the possibility that the person on trial is incompetent. See Pate, 383 U.S. at 378.

        To that end, Chapter 46B of the Code of Criminal Procedure “has codified the constitutional

standard for competency to stand trial and has elaborately described the circumstances that require,

and procedures for making, a determination of whether a defendant is competent to stand trial.” See
                                                                                              FALK—15

Turner v. State, 422 S.W.3d 676, 689 (Tex. Crim. App. 2013). “Either party may suggest by motion,

or the trial court may suggest on its own motion, that the defendant may be incompetent to stand

trial.” Art. 46B.004(a). “On suggestion that the defendant may be incompetent to stand trial, the

court shall determine by informal inquiry whether there is some evidence from any source that would

support a finding that the defendant may be incompetent to stand trial.” Art. 46B.004(c). If, after

this “informal inquiry,” the court “determines that evidence exists to support a finding of

incompetency, the court shall order an examination . . . to determine whether the defendant is

incompetent to stand trial.” Art. 46B.005(a). And, “[e]xcept as provided by Subsection (c), the

court shall hold a trial under Subchapter C before determining whether the defendant is incompetent

to stand trial on the merits.” Art. 46B.005(b).

       Related to the concept of a criminal defendant’s competence to stand trial is the concept of

the defendant’s mental capacity to defend himself. In Faretta v. California, the Supreme Court held

that the Sixth Amendment “does not provide merely that a defense shall be made for the accused;

it grants to the accused personally the right to make his defense.” 422 U.S. at 819. So, at least where

“the record affirmatively shows that” the defendant is “literate, competent, and understanding,” and

is “voluntarily exercising his informed free will,” the Constitution ordinarily requires that the

defendant’s asserted right of self-representation be honored. Id. at 835–36.

       But, if the facts warrant it, a trial court has some discretion to limit a defendant’s right of self-

representation. In Indiana v. Edwards, the Supreme Court reassessed Faretta in the context of

“gray-area defendant[s],” that is, defendants who meet the minimal standard of competency to stand

trial but who still suffer from such “severe mental illness” that, realistically, they lack the “mental

capacit[y]” to personally conduct their own defenses. See 554 U.S. at 177–78. It held that the
                                                                                         FALK—16

Constitution permits trial courts “to insist upon representation by counsel” for that class of criminal

defendants—but it does not require a trial court to do so. See id. at 178 (“[T]he Constitution permits

States to insist upon representation by counsel for those competent enough to stand trial under Dusky

but who still suffer from mental illness to the point where they are not competent to conduct trial

proceedings by themselves.”) (emphasis added); see also Fletcher v. State, 474 S.W.3d 389, 400

(Tex. App.—Houston [14th Dist.] 2015, pet. ref'd) (“Appellant asks us to hold that Edwards means

not solely that a trial court may insist on representation for defendants who are incapable of

conducting trial proceedings due to severe mental illness, but also that a trial court must do so. We

disagree that Edwards so holds.”); United States v. Berry, 565 F.3d 385, 391 (7th Cir. 2009) (Under

Edwards, the “Constitution may have allowed the trial judge to block [the defendant's] request to go

[at] it alone, but it certainly didn't require it.”).

        In this case, after Appellant invoked his right of self-representation but before he signed the

waiver-of-counsel form, counsel filed a “Motion for Determination by an Expert of [Appellant’s]

Compentence [sic] to Waive his Counsel and Proceed to Represent Himself in his Trial for Capital

Murder.” (Emphasis added). Citing Edwards, counsel urged the trial court to “conduct a hearing

out of the presence of the jury to appoint a qualified expert to determine if the Defendant is

competent to waive counsel and represent himself.” (Emphasis added). At a hearing on this motion,

counsel denied that they were questioning Appellant’s competence to stand trial. They only

expressed doubts about whether Appellant had the mental capacity to proceed pro se.

        In support of their motion, counsel offered an affidavit from Dr. Jolie Brams, a forensic and

clinical psychologist whom the defense had originally hired to assist in preparing a mitigation case

for the punishment phase of trial. Brams conceded that the defense had not originally hired her “to
                                                                                          FALK—17

address a specific legal issue, such as sanity or competency,” and that she had not “administered any

psychological testing to” Appellant. Even so, Brams claimed that her interactions with Appellant

and his family, and her assessment of Appellant’s “functioning over time,” had raised “significant

red flags regarding his competency to represent himself.” And because, in Brams’s view, there are

“significant overlaps” between a defendant’s capacity to represent himself and his competence to

stand trial, Brams considered it “mandatory” that Appellant “undergo a competency evaluation,

focusing both upon competency to proceed and competency to represent himself.”

        After hearing arguments for and against counsel’s request for an expert to determine

Appellant’s competency to represent himself (including Appellant’s insistence that he was competent

and “capable of doing this”), the trial court remarked:

        THE COURT: Okay, great. I have read [Brams’s] preliminary report. On its face it’s
        pretty compelling. Without going into her reasons, with regard to the childhood
        trauma . . . she is not making an opinion regarding the Defendant’s current
        competency to proceed, or his competency to represent himself. Instead, it is
        mandatory, in this opinion, that Mr. Falk undergo a competency evaluation, focusing
        both upon competency to proceed and competency to represent himself[.]

The trial court stayed the proceedings and appointed Dr. Mary Alice Conroy to gauge Appellant’s

competency.

        Conroy eventually met with Appellant and concluded that he was “competent to stand trial

and competent to determine if he should represent himself.” A few days after Conroy submitted her

report, the trial proceedings resumed. The trial court stated that it took “judicial notice” of Conroy’s

report, voiced its agreement with Conroy’s assessment that Appellant was competent to stand trial,

and accepted Appellant’s waiver of counsel.

        A. The statutory requirement of a formal competency trial was not implicated in
        this case.
                                                                                          FALK—18

        In point of error five, Appellant argues that the trial court erred to find Appellant competent

to stand trial without first holding a formal, contested competency trial under Chapter 46B,

Subchapter C of the Code of Criminal Procedure. He invokes Article 46B.005(b), which says that,

subject only to a single exception inapplicable here, a trial court “shall hold a trial under Subchapter

C before determining whether the defendant is incompetent to stand trial on the merits.”

        Article 46B.005 contemplates that the need for a competency trial is triggered only if, “after

an informal inquiry[,] the court determines that evidence exists to support a finding of

incompetency.” See Art. 46B.005(a), (b). In this case, the trial court never expressly determined that

there was “some evidence [to] support a finding that the defendant may be incompetent to stand

trial.” See Art. 46B.004(c). After reviewing Brams’s affidavit, the trial court ordered that Appellant

be evaluated by an independent expert in regard to his competence to stand trial and capacity to

represent himself, without stating whether it regarded Brams’s affidavit as “some evidence” of

possible incompetency to stand trial. Counsel also never sought or obtained a ruling on that point.

Instead, counsel repeatedly emphasized that they were not calling his competency to stand trial into

question—only his competency to represent himself. On these facts, we conclude that the statutory

requirement of a formal competency trial was not triggered. See Art. 46B.005(b).

        Appellant suggests that the fact that the trial court had Appellant evaluated in regard to his

competence to stand trial is itself an indication that the trial court regarded Brams’s affidavit as

“some evidence” of incompetency. But a trial court may appoint an expert to “examine the

defendant and report to the court on the competency or incompetency of the defendant” if there is

even a “suggestion that the defendant may be incompetent to stand trial.” See Art. 46B.021(a).

Furthermore, “the fact that psychiatric examinations are ordered by a court does not constitute a
                                                                                         FALK—19

determination that an issue as to the defendant’s competency exists.” See Johnson v. State, 564

S.W.2d 707, 711 (Tex. Crim. App. 1978) (op. on reh’g), overruled on other grounds by Williams

v. State, 663 S.W.2d 832, 834 (Tex. Crim. App. 1984). Under these facts, the trial court’s

appointment of an expert to gauge Appellant’s competency to stand trial did not constitute a

determination “after an informal inquiry” that some evidence existed to support a finding of

incompetency. See Art. 46B.005(a). Appellant cannot show that the trial court ran afoul of Article

46B.005(b). Point of error five is overruled.

       B. The trial court did not violate due process by finding Appellant competent to
       stand trial without holding a contested hearing on that issue.

       Appellant also argues that the federal constitutional guarantee of due process independently

required the trial court to hold a formal hearing on the issue of competency. Appellant contends that

Brams’s affidavit, together with what he describes as his own “suicidal . . . actions,” would have

raised “a bona fide doubt in the mind of a reasonable observer about [his] competency” to stand trial.

Thus, Appellant submits, due process imposed a duty on the trial court to call for a competency

hearing sua sponte.

       Appellant cites Pate v. Robinson, in which the Supreme Court held that states must provide

adequate procedures to ensure that incompetent defendants are not put to trial. See 383 U.S. at 378;

see also Turner, 422 S.W.3d at 689. Our statutory competency scheme was initially designed to

“codify” Pate. See Johnson, 564 S.W.3d at 710. Since its adoption, through gradual amendments,

that scheme has expanded a defendant’s ability to adduce evidence, and ultimately prove in a formal

hearing, that he is incompetent to stand trial. See, e.g., Turner, 422 S.W.3d at 692; see also Dix &

Schmolesky, 43B TEXAS PRACTICE: CRIMINAL PRACTICE AND PROCEDURE § 31:2 (3d. ed. 2020).
                                                                                         FALK—20

Our statutory scheme thus goes beyond the minimal requirements of due process. So, because our

statutory competency scheme was not violated in this case, no due process violation occurred.

        Alternatively, to the extent that Appellant invokes the “bona fide doubt” standard, we have

held that “[e]vidence raising a bona fide doubt is evidence that causes a real doubt in the judge’s

mind as to the defendant’s competency.” See Mata v. State, 632 S.W.2d 355, 358 (Tex. Crim. App.

1982). In this case, the trial court did not harbor a “real doubt” as to Appellant’s competency. When

the court decided to have Appellant evaluated by an independent expert, it expressly stated that it

was “expect[ing] a finding of competency.” The court elaborated, “I don’t think he’s incompetent

or will be found incompetent, barring some huge surprise, but I’m doing it [appointing an

independent expert to evaluate Appellant’s competency] more for the record and for appearance[’]s

sake.” So, even assuming that the “bona fide doubt” standard is a component of federal due process,

the trial court did not err by failing to hold a formal competency hearing on these facts. Point of

error six is overruled.

        C. This case does not raise an Edwards issue.

        In point of error seven, Appellant invokes Indiana v. Edwards to argue that the trial court

“abused its discretion when it permitted [Appellant] to proceed pro se . . . without giving meaningful

consideration to [Appellant’s] diminished capacity to represent himself.” We find no error in the trial

court’s decision to allow Appellant to represent himself. Edwards holds that the Constitution allows

a trial court to appoint counsel to represent a defendant who appears to the trial court to lack

sufficient mental capacity to represent himself. Edwards, 554 U.S. at 178. It does not require a trial

court to do so. See id.; see also Fletcher, 474 S.W.3d at 400; Berry, 565 F.3d at 391. Because the

trial court ultimately honored Appellant’s right of self-representation, this case does not raise an
                                                                                           FALK—21

Edwards issue. Having determined that Appellant was competent to stand trial, the trial court did

not violate the Constitution by granting Appellant’s request to represent himself. See Godinez v.

Moran, 509 U.S. 389, 399–400 (1993) (“Nor do we think that a defendant who waives his right to

the assistance of counsel must be more competent than a defendant who does not, since there is no

reason to believe that the decision to waive counsel requires an appreciably higher level of mental

functioning than the decision to waive other constitutional rights.”). Point of error seven is

overruled.

                           V. THE ROLE OF STANDBY COUNSEL

        In points of error eight and nine, Appellant raises state and federal constitutional challenges

to the restrictions that the trial court placed upon standby counsel. See TEX. CONST. art. I, § 10; U.S.

CONST. amends. VI, XIV. Appellant argues that he should have been allowed to enjoy both his right

of self-representation (as to the objectives and strategy of his defense) and his right to the assistance

of learned counsel fully capable of lodging objections, questioning witnesses, making arguments,

et cetera.

        After Appellant invoked his right of self-representation, the trial court admonished Appellant

as follows:

        THE COURT: Now the law allows me to appoint standby counsel with or without
        your agreement. Do you understand that, sir, and you have actually requested it?

        MR. FALK: I requested it, yes, sir.

        THE COURT: If I appointed standby counsel I would say to you that standby counsel
        is to be present in advisory capacity only; that you would have to make all the tactical
        decisions, that they may not question witnesses or speak on your behalf, that they
        may explain courtroom procedures and protocol and evidentiary predicates to you.
        Do you understand, sir?
                                                                                         FALK—22

       MR. FALK: Yes, sir.

After jury selection but before Appellant pleaded guilty, the trial court entered a written order

prohibiting standby counsel from asking “any questions of any witness” or making “any objections

to any trial procedure” while in the “presence and hearing of the Jury.” The court likewise prohibited

counsel from “do[ing] any act or tak[ing] any action that would interfere with or affect the perception

by the jury that” Appellant was representing himself. See McKaskle v. Wiggins, 465 U.S. 168, 178

(1984) (“[P]articipation by standby counsel without the defendant’s consent should not be allowed

to destroy the jury’s perception that the defendant is representing himself.”). Appellant did not

object to these restrictions when they were imposed.

       On appeal, Appellant contends that these restrictions violated his state constitutional right

“of being heard by himself or counsel, or both,” see TEX. CONST. art. I, § 10, and his federal

constitutional right to the assistance of counsel. See U.S. CONST. amend. VI. In effect, Appellant

argues that both the Texas Constitution and the United States Constitution guarantee a right of

“hybrid representation.”

       In Landers v. State, we held that there is no “constitutional right in Texas to hybrid

representation,” by which we meant representation “partially pro se and partially by counsel.” See

550 S.W.2d 272, 280 (Tex. Crim. App. 1977) (op. on reh’g). Appellant argues on several bases that

we ought to “reconsider” our holding in Landers, but Appellant did not assert any of those bases at

trial. Neither did Appellant object that the trial court’s restrictions on standby counsel were

inconsistent with the Sixth Amendment right to the “assistance of counsel.”

       While a trial court has some discretion to afford a criminal defendant the kind of hybrid

representation that Appellant argues for in points of error eight and nine, see Scarbrough v. State,
                                                                                         FALK—23

777 S.W.2d 83, 92 (Tex. Crim. App. 1989) (citations omitted), Appellant did not clearly and

unequivocally inform the trial judge that he believed himself entitled to hybrid representation, either

on state or federal constitutional grounds. We therefore decline to revisit our holding in Landers v.

State that Article I, Section 10 of the Texas Constitution does not guarantee a right of hybrid

representation. See Landers, 550 S.W.2d at 280. And we decline to review Appellant’s argument

that the Sixth Amendment guarantees a right of hybrid representation. But see McKaskle, 465 U.S.

at 183 (“Faretta does not require a trial judge to permit ‘hybrid’ representation[.]”). Points of error

eight and nine are overruled.

                    VI. JUDICIAL COMMENTS IN JURY SELECTION

       In points of error sixteen and seventeen, Appellant complains on statutory and constitutional

grounds that the trial judge made prejudicial comments during jury selection. See Art. 38.05; U.S.

CONST. amend. VIII.

       During jury selection, Appellant invoked his right of self-representation in the middle of the

questioning of individual jurors. Therefore, some of the prospective jurors went through individual

voir dire with the understanding that Appellant would be represented by counsel at trial, while others

were told that Appellant would represent himself. To avoid any confusion, and to dispel any

possible perception that Appellant’s lawyers had been “fired” midway through jury selection, the

trial judge thought it best to inform the prospective jurors that Appellant had invoked his

constitutional right of self-representation. Appellant initially questioned whether this was necessary,

but ultimately did not object to the trial judge’s decision to inform the jurors about this change. The

trial judge informed each prospective juror that Appellant had made a “rational,” “reasonable,” or

“reasoned” decision (the precise wording varied from juror to juror) to represent himself, in
                                                                                         FALK—24

accordance with his constitutional right to do so.

       Appellant contends that these comments signaled to the jurors that Appellant was in all

respects fully “rational” and thus capable of sound “reason[ing].” Appellant argues that, if the jurors

understood the trial judge’s comments that way, they would have been more likely to infer that

Appellant participated in the underlying capital murder with a clear mind and a level head.

Appellant contends that this inference would logically bear on all three of the punishment-phase

special issues.

       A. The trial judge’s comments did not violate Article 38.05.

       In point of error sixteen, Appellant invokes Article 38.05, which provides:

       In ruling upon the admissibility of evidence, the judge shall not discuss or comment
       upon the weight of the same or its bearing in the case, but shall simply decide
       whether or not it is admissible; nor shall he, at any stage of the proceeding previous
       to the return of the verdict, make any remark calculated to convey to the jury his
       opinion of the case.

We have held that a judicial comment violates Article 38.05 if it is “reasonably calculated to benefit

the State or prejudice the defendant’s rights.” See Proenza v. State, 541 S.W.3d 786, 791 (Tex.

Crim. App. 2017) (citations omitted). Appellate claims brought under Article 38.05 are not subject

to procedural default. Id. at 802.

       In this case, the trial judge’s comments were made before any specific item of evidence was

offered, elicited, or alluded to. So, as far as the first, ruling-upon-evidence clause of Article 38.05

is concerned, we find no error in the trial judge’s remarks. See Art. 38.05 (“In ruling upon the

admissibility of evidence, the judge shall not discuss or comment upon the weight of the same or its

bearing in the case[.]”). As for the second, opinion-of-the-case clause, there is no reason to think

that the jurors might have regarded the trial judge’s comments about Appellant’s “rational” decision
                                                                                        FALK—25

to represent himself as indicative of the judge’s opinion of “the case” generally. The greater

likelihood is that the jurors understood the trial judge’s comments to extend no further than the

context in which they were offered, i.e., Appellant’s decision to represent himself.

       The logical connection between the lucidity of Appellant’s decision to represent himself and

his mental state during the alleged offense is tenuous. The same goes for the connection between

the trial court’s comments and the issue of whether Appellant would pose a continuing threat to

society and whether a death sentence was appropriate in light of any mitigating circumstances. We

conclude that the trial judge’s comments were not reasonably calculated to benefit the State or

prejudice Appellant’s rights. Point of error sixteen is overruled.

       B. The trial judge’s comments did not violate the Eighth Amendment.

       In point of error seventeen, Appellant invokes two distinct Eighth Amendment concepts in

support of his claim that the trial judge’s comments poisoned the case. In an abundance of caution,

we will assume without deciding that Appellant may invoke these concepts for the first time on

appeal. First, Appellant invokes the Eighth Amendment principle that “every capital sentencer must

be free to weigh relevant mitigating evidence before deciding whether to impose the death penalty.”

See Turner v. Murray, 476 U.S. 28, 34 (1986) (citations omitted). Appellant concedes that the

Supreme Court has most often applied this principle in the context of jury instructions. See, e.g.,

Abdul-Kabir v. Quarterman, 550 U.S. 233 (2007); Hitchcock v. Duffer, 481 U.S. 393 (1987). But

he argues that it ought to apply any time a trial court’s comments downplay the potentially mitigating

value of evidence in front of the jury.

       We disagree that the trial judge’s comments kept the jury from giving meaningful effect to

mitigating evidence in violation of the Eighth Amendment. See Eddings v. Oklahoma, 455 U.S 104,
                                                                                            FALK—26

112 (1982). The “evidence” that Appellant accuses the trial judge of minimizing in front of the jury

is the fact that Appellant “cho[se] to passively accept a death sentence.” But the reasonableness of

a litigant’s strategic decisions is not “evidence”—it is not an exhibit or testimonial statement that

the jury, as factfinder, is free to credit or discredit. See Art. 37.071, § 2(e)(1) (stating that, in

deciding the mitigation special issue, the jury should “tak[e] into consideration all of the evidence”)

(emphasis added). Furthermore, Appellant mischaracterizes the trial judge’s remarks. The trial

judge did not state or even suggest to the jurors that Appellant intended to “passively accept a death

sentence,” much less that Appellant’s intentions in that regard were “reasonable” or “rational.” The

trial judge assured the jurors that Appellant’s decision to invoke his constitutional right of self-

representation was reasonable and rational. This assurance did not preclude the jury from

inferring—from actual evidence—that Appellant suffered from an underlying psychological

condition and treating that condition as a mitigating circumstance in the punishment phase of trial.

        Appellant also invokes the Eighth Amendment principle that it is “impermissible to rest a

death sentence on a determination made by a sentencer who has been led to believe that the

responsibility for determining the appropriateness of the defendant’s death rests elsewhere.” See

Caldwell v. Mississippi, 472 U.S. 320, 328–29 (1985). Appellant concedes that this rule originated

in a capital case in which the prosecutor, not the trial court, suggested to the jury that its role in the

sentencing process was non-determinative. See id. at 325. But he argues that it ought to apply with

equal, if not greater, force on these facts, because jurors put more stock in a trial judge’s impartial

guidance than they do in a prosecutor’s partisan arguments. Cf. Ward v. State, 243 S.W.2d 695, 697

(Tex. Crim. App. 1951) (“Juries are given to having great respect for the presiding judge in a case

in which they are called to serve.”).
                                                                                            FALK—27

        In this case, the trial judge’s comments did not “reduc[e] the jurors’ sense of responsibility

for their sentencing verdict,” in violation of Caldwell. Appellant argues that the trial judge

effectively assured the jurors that they need not have any reservations about potentially condemning

a mentally infirm person to death—that Appellant was perfectly “rational.”                     Appellant

mischaracterizes the trial judge’s comments. The trial judge assured the jurors that Appellant’s

decision to represent himself was reasonable and rational. These remarks did not “mislead the jury

as to its role in the sentencing process” at all, much less “in a way that allow[ed] the jury to feel less

responsible than it should for the sentencing decision.” See Dugger v. Adams, 489 U.S. 401, 407

(1989). The judge’s comments did not imply that Appellant’s fate would be determined by anyone

but the jurors. Point of error seventeen is overruled.

                                  VII. THE IMPANELED JURY

        In points of error four and eighteen, Appellant argues on two legal bases that the trial

court erred to impanel the jury as constituted.

        A. The trial court had no duty to initiate a Batson inquiry sua sponte.

        In point of error four, Appellant alleges that the State’s peremptory strikes showed a pattern

of race- and gender-based discrimination, in violation of Batson v. Kentucky, 476 U.S. 79 (1986)

(holding that the Equal Protection Clause forbids race-based peremptory strikes), and J.E.B. v.

Alabama ex rel. T.B., 511 U.S. 127 (1994) (holding that the Equal Protection Clause forbids gender-

based peremptory strikes). In support of this claim, Appellant points to the facts that (1) “of the

State’s 13 peremptory strikes, 10 were exercised against women,” and (2) “[t]he State . . . exercised

two peremptory challenges to exclude the only two African-American prospective jurors in the

qualified venire that were reached by the parties during jury selection.”
                                                                                            FALK—28

        The Supreme Court has interpreted the Equal Protection Clause to require that, at a

minimum, trial courts adhere to the following three-step protocol for resolving a claim that the State

used its peremptory strikes in a discriminatory fashion:

        First, a defendant must make a prima facie showing that a peremptory challenge has
        been exercised on the basis of race; second, if that showing has been made, the
        prosecution must offer a race-neutral basis for striking the juror in question; and
        third, in light of the parties’ submissions, the trial court must determine whether the
        defendant has shown purposeful discrimination.

Snyder v. Louisiana, 552 U.S. 472, 476–77 (2008) (internal quotation marks and brackets omitted)

(quoting Miller-El v. Dretke, 545 U.S. 231, 277 (2005) (Thomas, J., dissenting)). Appellant

acknowledges that, at trial, he did not attempt to make a prima facie showing of race- or gender-

based discrimination in the State’s use of its peremptory strikes. Nevertheless, Appellant maintains

that he is permitted to raise this issue for the first time on appeal because there are times when a trial

court has an affirmative duty to enforce Batson’s holding sua sponte.4

        Appellant characterizes this as an issue of first impression; however, in Mathews v. State, we

held that “under the caselaw of this State, appellant may not raise Batson error for the first time on

appeal, when there is nothing in the record which would allow him to show purposeful

discrimination, or even an objection.” 768 S.W.2d 731, 733 (Tex. Crim. App. 1989). And in Batiste

v. State, we reaffirmed that “Batson error is subject to principles of ordinary procedural default.”

888 S.W.2d 9, 17 n.5 (Tex. Crim. App. 1994) (citing Mathews, 768 S.W.2d at 275). Thus, the

“failure to object to prosecutorial use of peremptory challenges to exclude veniremen on the basis

of race before the jury is sworn forfeits a defendant’s chance to obtain a hearing at which the

        4
        For brevity’s sake, we will use the style Batson to encompass both race- and gender-
based discrimination in the State’s use of its peremptory strikes.
                                                                                             FALK—29

prosecutor can offer race-neutral explanations to rebut his prima facie case, if any, of purposeful

discrimination.” Id. This necessarily means that when a defendant does not raise a Batson objection

at trial, the trial court has no sua sponte duty to demand race- or gender-neutral explanations for the

State’s peremptory strikes. Cf. Mendez v. State, 138 S.W.3d 334, 342 (Tex. Crim. App. 2004) (“A

law that puts a duty on the trial court to act sua sponte, creates a right that is waivable only. It cannot

be a law that is forfeitable by a party’s inaction.”).

        Appellant urges us to either (1) reconsider Mathews and Batiste in light of the unique

interests at stake in the Batson context or (2) make an exception to the ordinary rules of procedural

default that would apply only to the kinds of “unusual circumstances presented here.”

        Appellant argues primarily that Mathews and Batiste should be reconsidered because those

cases pay insufficient heed to the rights of venirepersons to participate in the justice system free of

any race- or gender-based discrimination. But Batson itself and even Batson’s primary predecessor

noted the unique harm that is inflicted upon a venireperson’s right to participate in the justice system

whenever she is stricken from the panel on account of race. See Batson, 476 U.S. at 87 (“[B]y

denying a person participation in jury service on account of his race, the State unconstitutionally

discriminate[s] against the excluded juror.”) (citations omitted); Swain v. Alabama, 380 U.S. 202,

203–04 (1965) (“[A] State’s purposeful or deliberate denial to Negroes on account of race of

participation as jurors in the administration of justice violates the Equal Protection Clause.”). But

the Court has continuously insisted that the party accusing its adversary of race- or gender-based

discrimination bears the initial burden of producing prima facie evidence of that discrimination. See,

e.g., Flowers v. Mississippi, 139 S. Ct. 2228, 2241 (2019); Snyder, 552 U.S. at 476–77; J.E.B., 511

U.S. at 144–45.
                                                                                          FALK—30

        Appellant also argues that, if we do not overrule Mathews and Batiste across the board, we

should at least recognize an exception to the ordinary rules of procedural default under the “unusual

circumstances presented here.” The “unusual circumstances” Appellant refers to are the facts that,

at trial: (1) Appellant represented himself; (2) Appellant “was affirmatively attempting to help the

State convict him and condemn him to death[;]” and (3) “the pattern of improper strikes was

manifest.” None of these circumstances justify creating an exception to the rule that Batson claims

are subject to forfeiture. Were we to carve out an exception to the ordinary rules of procedural

default for pro se defendants, or defendants who refused to subject the State’s case to meaningful

adversarial testing, we would provide an incentive for future defendants to chart the same risky

course that Appellant did. We decline to create an incentive that, on balance, we think would cause

more harm than it prevented. Cf. Batson, 476 U.S. at 99 n.24 (“In light of the variety of jury

selection practices followed in our state and federal trial courts, we make no attempt to instruct these

courts how best to implement our holding today.”).

        Finally, Appellant’s contention that the pattern of discrimination in this case was “manifest”

is not an argument for carving out an exception to the rules of procedural default. It is an argument

on the merits of the very complaint whose availability on appeal is now in dispute. We have

previously disavowed this kind of merits-based approach to issues of procedural default. See

Proenza, 541 S.W.3d at 796 (“[A] proper determination of a claim’s availability on appeal should

not involve peering behind the procedural-default curtain to look at the particular circumstances of

the claim within the case at hand.”) (internal quotation marks omitted). If a particular class of trial

court error is subject to procedural default, then, with very few exceptions, the egregiousness of the

alleged error does not transform it into one that is immune from procedural default. See id. And
                                                                                             FALK—31

neither we nor the Supreme Court have ever held that there is a point at which a party’s peremptory

strikes can become so “manifest[ly]” discriminatory that the other party is relieved of the burden of

making a prima facie case of discrimination.

        We conclude that a trial court has no duty to initiate a Batson inquiry in the absence of an

objection or request.5 Point of error four is overruled.

        B. Appellant forfeited his complaints about juror eighty-nine.

        In point of error eighteen, Appellant argues that the trial court violated the Sixth and

Fourteenth Amendments by allowing a biased juror, whom he identifies as juror eighty-nine, to serve

on the jury. Appellant admits that he did not challenge juror eighty-nine, either for cause or by using

one of his peremptory strikes. Appellant also acknowledges that, at least ordinarily, “parties are

expected to object if they perceive a juror not to be legally qualified to serve.” Nevertheless,

Appellant argues that, under the Sixth and Fourteenth Amendments, trial by an impartial jury “is not

an option” that the parties can choose, or choose not, to abide by. Contra State v. Morales, 253

S.W.3d 686, 697 (Tex. Crim. App. 2008) (“We have held that the right to trial by an impartial jury,

like any other right, is subject to waiver (or even forfeiture) by the defendant in the interest of overall

trial strategy.”) (citations omitted). So, Appellant argues, juror eighty-nine’s alleged bias having

been “actually known to the trial court,” the Sixth and Fourteenth Amendments demanded that the

trial court intervene.

        None of the cases Appellant cites stands for the proposition that, when it comes to a

        5
          We need not, and so do not, decide whether a trial court has discretion to initiate a
Batson inquiry in the absence of an objection or request. Contrary to what Appellant argues,
even if we were to hold that trial courts retain the discretion to initiate a Batson inquiry sua
sponte, such a holding from this Court would not constitute grounds for abating this appeal and
remanding the case to the trial court.
                                                                                          FALK—32

defendant’s right to an impartial jury, the Sixth and Fourteenth Amendments override state law

procedural rules requiring a timely objection. Further, our numerous decisions holding that any

claim of trial court error in seating a biased juror must be preserved at trial by a timely objection or

motion to strike for cause undermine Appellant’s arguments. See, e.g., Morales, 253 S.W.3d at 697

(citing Delrio v. State, 840 S.W.2d 443, 445 (Tex. Crim. App. 1992)). Point of error eighteen is

overruled.

                           VIII. VALIDITY OF THE GUILTY PLEA

        In points of error ten through fourteen, Appellant raises an assortment of challenges to the

process by which he was permitted to plead, and was ultimately found, guilty of capital murder.

        After the jury was impaneled, and in the jury’s presence, the trial court directed the State to

read the indictment aloud. When this was done, the trial court asked Appellant to enter a plea.

Appellant orally pleaded “guilty to the charges.” The trial court then excused the jury so that the

court could review a guilty plea memorandum with Appellant. This memorandum contained various

admonishments, statements, and waivers related to Appellant’s guilty plea, as well as a stipulation

of evidence. Appellant affirmed, orally and in writing, that he understood everything in the

memorandum, that he was signing it “freely, knowingly, and voluntarily,” and that its contents were

true.

        By signing the guilty plea memorandum, Appellant expressly waived his right “to have a jury

determine guilt or innocence in this case.” He affirmed that he had “read the indictment,” and he

admitted that he had “committed each and every element . . . on the date alleged” therein. He

stipulated that, “acting alone or as a party,” he had intentionally or knowingly caused Canfield’s

death, and that he did so while escaping or attempting to escape from a penal institution.
                                                                                             FALK—33

        The trial court accepted Appellant’s plea and pronounced him guilty of capital murder. It did

not submit the issue of Appellant’s guilt to the jury. After finding Appellant guilty, the trial court

brought the jury back into the courtroom and stated: “I have found Mr. Falk guilty, accepted his plea,

and, in essence, he stands now convicted of capital murder[.]” The trial then immediately proceeded

to the punishment phase.

        A. Appellant has not shown that his guilty plea was involuntary.

        In point of error ten, Appellant argues that the record fails to establish that his guilty plea was

knowingly, voluntarily, and intelligently entered, in violation of his federal constitutional right to due

process.

        For a guilty plea to comport with due process, it must be “voluntary in the sense that it

constitute[s] an intelligent admission that [the defendant] committed the offense” in question. See,

e.g., Henderson v. Morgan, 426 U.S. 637, 645 (1976).6 The Supreme Court has “long held that a

plea does not qualify as intelligent unless a criminal defendant first receives ‘real notice of the true

nature of the charge against him, the first and most universally recognized requirement of due

process.’” Bousley v. United States, 523 U.S. 614, 618 (1998) (quoting Smith v. O’Grady, 312 U.S.

329, 334 (1941)). Due process thus “impos[es] a duty on the trial court to make the record

demonstrate the knowing and voluntary quality of a guilty plea.” Davison v. State, 405 S.W.3d 682,

        6
          A guilty plea may be involuntary either because (1) “the accused does not understand
the nature of the constitutional protections that he is waiving,” or because (2) “he has such an
incomplete understanding of the charge that his plea cannot stand as an intelligent admission of
guilt.” Henderson, 426 U.S. at 637 n.13. Appellant expressly declines to argue that his plea was
involuntary in the first sense.
                                                                                          FALK—34

690 (Tex. Crim. App. 2013) (citations omitted).7 If the trial court fails to carry out its duty in this

regard, a reviewing court must presume that the defendant’s plea was involuntary “and rule

accordingly.” Id. (citations omitted).

       A trial court ordinarily satisfies its duty in this regard by providing the defendant with a copy

of the indictment. See Bousley, 523 U.S. at 618; see also Lincoln v. State, 560 S.W.2d 657, 659

(Tex. Crim. App. 1978). If the record reveals that the trial court furnished the defendant with a copy

of the indictment, the presumption of involuntariness reverses, becoming a presumption of

voluntariness. “Such circumstances, standing alone, give rise to a presumption that the defendant

was informed of the nature of the charge against him.” Bousley, 523 U.S. at 618 (citations omitted).

       “The presumption of a constitutionally voluntary plea may, of course, be rebutted.” Mitschke

v. State, 129 S.W.3d 130, 135 (Tex. Crim. App. 2004). But because this presumption tilts toward

voluntariness, the appellant, and not the State, assumes the risk of nonpersuasion. See State v. Kelly,

204 S.W.3d 808, 819 (Tex. Crim. App. 2006) (“[T]he party with the burden of proof assumes the

risk of nonpersuasion.”). If this presumption applies, it will not suffice for Appellant to show that

the record is silent in regard to his understanding of the charge. To overcome the presumption of

voluntariness, Appellant would need to marshal some evidence, or at least point to some indication

in the record, affirmatively demonstrating that he did not understand the charge. See Davison, 405

S.W.3d at 692 & n.60; see also Bousley, 523 U.S. at 618–19.

       Appellant acknowledges that the State read the indictment to him before he pleaded guilty.

       7
          We have held that a due process claim “that the record is absolutely unrevealing with
respect to whether a guilty plea was entered intelligently” is not subject to ordinary principles of
procedural default. Davison, 405 S.W.3d at 690 (citations omitted). Such a claim may be raised,
as it was here, for the first time on appeal. See id.
                                                                                         FALK—35

Appellant nevertheless contends that the presumption of voluntariness should not apply in this case,

because this case centered around the law of parties. The law of parties, Appellant argues, “is

notoriously confusing and complicated, even for judges and lawyers.” Thus, Appellant asserts, it

is “impossible to conclude from a silent record that a layperson” like himself “possessed an adequate

understanding of this doctrine or how it applied to the facts of his case.” Appellant also argues that

the record does not adequately evince the voluntary nature of his plea because the trial court failed

to apprise him of any “viable defenses to the charge.”

        Neither the Supreme Court nor this Court has held that due process requires a trial court to

explain the intricacies of an implicated legal doctrine to a defendant before the court may accept the

defendant’s plea. There is “no rule requiring the court to instruct the accused on every aspect of the

law pertinent to the case when the accused pleads guilty.” Rose v. State, 465 S.W.2d 147, 149 (Tex.

Crim. App. 1971). It may be incumbent upon defense counsel to explain applicable legal doctrines

to a client before the client pleads guilty. See, e.g., Ex parte Lewis, 537 S.W.3d 917, 922–23 (Tex.

Crim. App. 2017). But even so, that requirement arises from the Sixth Amendment right of effective

assistance of counsel, not the Fifth or Fourteenth Amendment right to due process. Appellant

waived the right to constitutionally effective counsel, and “[i]t is not the court’s function to act as

legal counsel for the appellant.” Rose, 465 S.W.2d at 149. The trial court satisfied its duty to ensure

that Appellant received “real notice of the true nature of the charge against him,” See Bousley, 523

U.S. at 618 (citations omitted), by providing Appellant a copy of the indictment. The presumption

of voluntariness applies.8

       8
           In a post-submission brief, Appellant cites Weeks for the proposition that “[p]arty
liability is as much an element of an offense as the enumerated elements prescribed in a statute
that defines a particular crime.” See 391 S.W.3d at 124. Thus, Appellant argues, by failing to
                                                                                            FALK—36

       Because of this, Appellant’s claim necessarily fails. The only record-based indications that

Appellant marshals in support of this claim concern what the trial court supposedly failed to do.

That is not affirmative evidence of ignorance; it is Appellant pointing to a silent or underdeveloped

record in support of a claim on which he carries the burden. A silent record does not rebut the

presumption of voluntariness. But see Davison, 405 S.W.3d at 692 n.60 (noting that the court’s

holding would not prevent the appellant from obtaining relief in a habeas proceeding based on

evidence outside of the appellate record). Point of error ten is overruled.

       B. There was a sufficient factual basis to support Appellant’s guilty plea.

       In points of error eleven and twelve, Appellant complains that there was an insufficient

factual basis for his guilty plea. In point of error eleven, Appellant invokes Article 1.15. In point

of error twelve, Appellant again invokes his federal constitutional right to due process.

       Article 1.15 dictates that, in guilty plea cases, “it shall be necessary for the state to introduce

evidence into the record showing the guilt of the defendant and said evidence shall be accepted by

the court as the basis for its judgment and in no event shall a person charged be convicted upon his

plea without sufficient evidence to support the same.” In short, “Article 1.15 requires substantiation

of a guilty plea.” Menefee v. State, 287 S.W.3d 9, 14 (Tex. Crim. App. 2009). A written judicial

confession is sufficient by itself to substantiate a guilty plea under Article 1.15, see, e.g., Cevalles

v. State, 513 S.W.2d 865, 866 (Tex. Crim. App. 1974), so long as the confession “embraces every

constituent element of the offense” in question. Menefee, 287 S.W.3d at 13 (citations omitted).

explain the law of parties, the trial court failed to provide Appellant with notice of an applicable
“element” of capital murder. But Weeks made this statement in the context of the hypothetically
correct jury charge, and we have never held that, for a guilty plea to comport with due process,
the trial court must provide notice of the charge that resembles what would appear in the
hypothetically correct jury charge.
                                                                                            FALK—37

        In this case, Appellant executed the following written judicial confession (or self-styled

“stipulation of evidence”):

        I stipulate and admit that on or about the 24th day of September, 2007 in Walker
        County, Texas, I did then and there, acting alone or as a party, intentionally or
        knowingly cause the death of an individual, namely, Susan Canfield, by striking her
        or the horse she was riding with a vehicle, and the defendant was then and there
        escaping or attempting to escape from a penal institution, to-wit: Texas Department
        of Criminal Justice Wynne Unit.

Appellant first argues that “the State has never contended and there is no evidence that [Appellant]

‘acted alone’ in this case; therefore, that language cannot provide a factual basis for [Appellant’s]

conviction.” Then, Appellant argues that “the State has never contended and there is no evidence

that [Appellant] caused the death of Officer Canfield by striking her or the horse she was riding with

a truck; so that language similarly cannot provide a factual basis for his conviction.” Thus,

Appellant says, “the language of the stipulation reduces to an allegation that [Appellant], ‘acting .

. . as a party,’ was responsible for acts committed not by him but by Mr. Martin that resulted in

Officer Canfield’s death.”

        We have found no support in the caselaw for Appellant’s argument that, if the State “never

contend[s]” that a defendant is guilty under one of multiple theories of guilt, each of which was

stipulated to in the alternative, that theory must be stricken from the stipulation for purposes of guilty

plea substantiation. Furthermore, Appellant’s assertion that “there is no evidence that” Appellant

acted alone, or that Appellant struck Officer Canfield with a truck, overlooks the fact that the written

stipulation is itself evidence. See Menefee, 287 S.W.3d at 13; Cevalles, 513 S.W.2d at 866.

Appellant has thus failed to provide any legal justification for striking the manner and means of

Canfield’s murder from the stipulation. Our only task, then, is to ensure that the stipulation as
                                                                                          FALK—38

executed embraces every constituent element of capital murder.

        We conclude that it does. Appellant stipulated that he “intentionally or knowingly caused

the death of an individual,” see TEX. PENAL CODE § 19.02(b)(1); that the individual whose death he

caused was Susan Canfield, the same individual named in the indictment; that, even if “as a party,”

he caused Canfield’s death by the same manner and means as alleged in the indictment; and that he

committed the murder while “escaping or attempting to escape from a penal institution.” See id. §

19.03(a)(4). No constituent element of capital murder under Penal Code Section 19.03(a)(4) is

missing from Appellant’s stipulation. The stipulation is therefore sufficient under Article 1.15 to

substantiate Appellant’s plea.

        This observation also disposes of Appellant’s constitutional claim. We have held on more

than one occasion that the United States Constitution “does not require that the State present

evidence in support of a guilty plea in Texas courts.” E.g., Menefee, 287 S.W.3d at 13 (citing Ex

parte Williams, 703 S.W.2d 674, 682 (Tex. Crim. App. 1986)). The requirement that trial courts

insist upon evidentiary substantiation before accepting a guilty plea is purely a creature of state law;

it has no federal constitutional grounding. See Williams, 703 S.W.2d at 682.

        Appellant cites North Carolina v. Alford, 400 U.S. 25, 37–38 (1970), for the proposition that

there are some circumstances under which due process compels a trial court to inquire into the

factual basis of a guilty plea before accepting it. In Alford, the Court condoned as consistent with

due process a guilty plea in which the defendant repeatedly insisted that, despite his plea, he was

innocent. Id. at 38–39. Part of the Court’s stated reasoning was that “the record before the [trial]

judge contain[ed] strong evidence of actual guilt.” Id. at 37–38. Appellant thus understands Alford

to hold that any time the reliability of a guilty plea is brought into question, by protestation of
                                                                                           FALK—39

innocence or otherwise, the Constitution requires the trial court to ascertain the existence of a factual

basis for the plea—and, if it finds that basis lacking, to reject the plea.

        However, Appellant’s judicial confession was evidence. See, e.g., Menefee, 287 S.W.3d at

13. Even if Appellant is correct, the evidence in this case satisfies his due process concerns.

Appellant pleaded guilty, did not object when the State offered evidence in support of that plea, and

did not assert his innocence. There was no “factual and legal dispute between him and the State.”

See Alford, 400 U.S. at 32. Points of error eleven and twelve are overruled.

        C. The lack of a written jury verdict on guilt was harmless.

        In point of error thirteen, Appellant argues that, by statute, a conviction cannot be had in a

death penalty case except by “the verdict of a jury duly rendered and recorded.” See Arts. 1.13–1.15.

In this proceeding, the jury did not “render[]” a guilty verdict—Appellant pleaded guilty and the trial

court pronounced him guilty without submitting the issue of his guilt to the jury. Appellant thus

contends that he was convicted of capital murder in violation of Articles 1.13, 1.14, and 1.15,

rendering his capital murder conviction a nullity.

        Article 1.15 provides, in relevant part: “No person can be convicted of a felony except upon

the verdict of a jury duly rendered and recorded, unless the defendant, upon entering a plea, has in

open court in person waived his right of trial by jury in writing in accordance with Articles 1.13 and

1.14.” In turn, Article 1.13(b) provides: “In a capital felony case in which . . . the State notifies the

court and the defendant that it will not seek the death penalty, the defendant may waive the right to

trial by jury.” This provision does not expressly state whether, if the State is seeking the death

penalty, the defendant may waive his right of trial by jury. But Article 1.14(a) arguably fills the gap:

“[A] defendant in a capital felony case may waive the right of trial by jury only in the manner
                                                                                          FALK—40

permitted by Article 1.13(b) of this code.” Taken together, we understand these provisions to mean

that, if the State is seeking the death penalty, the defendant may not waive a jury trial. See Fuller

v. State, 253 S.W.3d 220, 226 (Tex. Crim. App. 2008) (“Because the State sought the death penalty

. . . the appellant was required to be tried by a jury.”). Appellant’s point is that, because the State

sought the death penalty in this case, any waiver of the right to jury trial that Appellant purported to

execute could not possibly have been “in accordance with Articles 1.13 and 1.14.” So, Appellant

argues, the “unless” provision of Article 1.15 did not apply—the general rule requiring jury verdicts

in a felony cases did.

        Appellant acknowledges that, in Fuller v. State, we held that “a [jury] verdict on the guilt of

a person who pleads guilty is not necessary, even in a capital case.” 253 S.W.3d at 227 (emphasis

added) (citing Brinson v. State, 570 S.W.2d 937, 938–39 (Tex. Crim. App. 1978)). But Appellant

argues that we should reconsider our holding in Fuller because it “fail[s] to give due regard to

Article 1.15’s requirement of a jury verdict.”

        It is true that we did not discuss Article 1.15 in Fuller—if only because the appellant in

Fuller invoked Article 1.13, not Article 1.15, in support of his claim that the Code of Criminal

Procedure requires jury verdicts in death penalty cases. See Fuller, 253 S.W.2d at 225. In any event,

we will assume without deciding that Appellant’s reading of Articles 1.13, 1.14, and 1.15 is correct

and that the trial court erred to enter a judgment of conviction for capital murder against Appellant

in the absence of “the verdict of a jury duly rendered and recorded.” See Art. 1.15. Even assuming

error, Appellant has not shown he was harmed.

        Appellant argues that this error is immune to harmless error analysis. “The issue,” Appellant

says, “is not whether [Appellant’s] conviction should be upheld notwithstanding error in the
                                                                                           FALK—41

proceeding. The issue is that [Appellant] was never duly convicted.” And “[w]ithout a conviction,

there is nothing to which harmless error analysis may be applied.”

        We disagree. “Except for certain federal constitutional errors labeled by the United States

Supreme Court as ‘structural,’ no error, whether it relates to jurisdiction, voluntariness of a plea, or

any other mandatory requirement, is categorically immune to a harmless error analysis.” Cain, 947

S.W.2d at 264. And as far as the United States Constitution is concerned, “[a] plea of guilty . . . is

itself a conviction. Like a verdict of a jury, it is conclusive. More is not required; the court has

nothing to do but give judgment and sentence.” Williams, 703 S.W.2d at 682 (quoting Kercheval

v. United States, 274 U.S. 220, 223 (1927)). Any requirement that there must be a jury verdict on

guilt in death penalty cases, even when the defendant pleads guilty to the underlying capital murder

charge, is a creature of state law. The violation of any such requirement would not be a “federal

constitutional error,” much less one that has been “labeled by the United States Supreme Court as

structural.” See Cain, 947 S.W.2d at 264. Any error in this regard is therefore subject to harm

analysis. See Williams v. State, 273 S.W.3d 200, 225 (Tex. Crim. App. 2008).

        Appellant invokes only statutory provisions in this point of error, so the “non-constitutional”

harmless error standard applies. See, e.g., Gray v. State, 159 S.W.3d 95, 98 (Tex. Crim. App. 2005).

We proceed to inquire whether this putative error affected Appellant’s “substantial rights.” See Rule

44.2(b). And, under this standard, we conclude that any error was harmless. Although the jury did

not render a verdict on Appellant’s guilt, it did receive his guilty plea in open court, and it rendered

a verdict on the punishment phase special issues. See Art. 37.071, §§ 2(b), (e). That being the case,

Appellant in fact received a jury trial, despite his purporting to waive that right. See, e.g., Williams,

674 S.W.2d at 319.
                                                                                             FALK—42

        Furthermore, we are confident that the outcome of the trial would have been exactly the same

if the trial court had instructed the jury to render a verdict following Appellant’s plea. Point of error

thirteen is overruled.

        D. Because Appellant received a jury trial, any error in allowing him to waive his
        right to a jury trial was harmless.

        In point of error fourteen, Appellant argues that Articles 1.13 and 1.14 prohibited the trial

court from accepting Appellant’s jury trial waiver. As previously mentioned, Articles 1.13 and 1.14

arguably suggest that in a capital case in which the State has not abandoned the death penalty, the

defendant may not waive his right of trial by jury. See Fuller, 253 S.W.3d at 226. In this case, the

guilty plea memorandum that Appellant signed included an express waiver of the right of trial by

jury as to the guilt phase of trial. Appellant thus contends that Articles 1.13 and 1.14 were violated

when the trial court accepted this purported waiver.

        As we have already noted, by pleading guilty in front of the jury and receiving a jury verdict

on the punishment phase special issues, Appellant in fact received a jury trial in contemplation of

Articles 1.13 and 1.14. See, e.g., Williams, 674 S.W.2d at 319; see also Matchett v. State, 941

S.W.2d 922, 931 (Tex. Crim. App. 1996) (plurality op.). So even if the trial court erred to accept

Appellant’s purported waiver of his right to a jury trial as to the guilt phase of trial, any error in this

regard was harmless. See Rule 44.2(b). Appellant received the very thing that he construes Articles

1.13 and 1.14 to mandate in capital cases: a jury trial.

        Appellant rejects our prior decisions holding that a guilty plea in front of a jury constitutes

“trial by jury” in contemplation of Articles 1.13 and 1.14, but he does not ultimately show that our

understanding of that phrase conflicts with the text of the statutes. He invokes “common sense” and
                                                                                            FALK—43

“plain meaning,” but Articles 1.13 and 1.14 do not plainly foreclose an understanding of “trial by

jury” that includes pleading guilty in front of a jury. He discusses the statutory history of Article

1.14, but we have held that “the statutory history does not demonstrate that the proscription against

jury waiver in Art[icle] 1.14, in any of its stages, has ever prevented a defendant from pleading guilty

to a jury.” Williams, 674 S.W.2d at 318. Absent some showing that our established understanding

of the phrase “trial by jury” was poorly reasoned from the outset or has become unworkable in

practice, we need not revisit our prior holdings in this regard. See, e.g., Febus v. State, 542 S.W.3d

568, 575–76 (Tex. Crim. App. 2018) (observing that we “do not frivolously overrule established

precedent,” but that we may do so when “a prior decision was poorly reasoned or unworkable”)

(citations omitted). Point of error fourteen is overruled.

IX. THE PENALTY PHASE AND THE EIGHTH AMENDMENT

           In points of error fifteen, nineteen, and twenty, Appellant argues that his death sentence

violates the Eighth Amendment to the United States Constitution.

           A. The trial court did not violate the Eighth Amendment by allowing Appellant to
           represent himself in the penalty phase of trial.

           In point of error fifteen, Appellant argues that the trial court violated the Eighth Amendment

by allowing him to represent himself during the punishment phase of trial, despite it being obvious

by that point that Appellant had no intention of subjecting the State’s punishment case to adversarial

testing.

           The Supreme Court has identified only two circumstances under which a trial court may,

consistent with the Sixth Amendment, refuse to honor a competent defendant’s claimed right of self-

representation. A court may do so when, in the court’s estimation, the defendant suffers from such
                                                                                        FALK—44

“severe mental illness” that, while competent to stand trial, he nevertheless lacks the capacity to

defend himself without a lawyer. See Edwards, 554 U.S. at 178. And it may do so when the

defendant “deliberately engages in serious and obstructionist misconduct.” Faretta, 422 U.S. at 834

n.46. In effect, Appellant asks us to add a third, nondiscretionary circumstance to this list: A trial

court must deny a competent defendant his asserted right of self-representation if the defendant

refuses to defend himself against the State’s efforts to execute him.

       Appellant primarily invokes the Eighth Amendment principle that in capital cases there is

a heightened “need for reliability in the determination that death is the appropriate punishment.”

See, e.g., Woodson v. North Carolina, 482 U.S. 280, 305 (1976) (plurality op.); see also Morris v.

State, 940 S.W.2d 610, 615 (Tex. Crim. App. 1996). The Supreme Court has acknowledged that

self-representation can sometimes increase the likelihood of “an improper conviction or sentence.”

See Edwards, 554 U.S. at 176; see also Faretta, 422 U.S. at 834–35. But, even taking that increased

likelihood into account, the Court has held that a lack of mental capacity to represent oneself

presents an “exceptional context” uniquely justifying a discretionary limitation on the Sixth

Amendment right of self-representation. Edwards, 554 U.S. at 176–77. In this case, the trial court

determined that Appellant “ha[d] the mental ability to exercise” his right of self-representation.

Absent the “exceptional context” of mental incapacity, we cannot agree that the heightened need for

reliability in capital cases overrode the trial court’s obligation to honor Appellant’s right of self-

representation.

       Appellant also invokes the Eighth Amendment requirement, articulated in Lockett v. Ohio,

that no death sentence be imposed without an “individualized consideration of mitigating factors.”

See Lockett v. Ohio, 438 U.S. 586, 606 (1978). But by allowing Appellant to represent himself in
                                                                                        FALK—45

the punishment phase, the trial court did not deny Appellant any of the mechanisms designed to

facilitate an individualized sentencing based on the jury’s consideration of mitigating factors.

Appellant competently and deliberately declined to avail himself of those mechanisms. We have

previously observed, albeit in an unpublished opinion, that Lockett does not compel the conclusion

“that a capital-murder defendant must present mitigating evidence.” See Shore v. State, No. AP-

75,049, slip op. at 11 (Tex. Crim. App. Dec. 12, 2007) (not designated for publication) (citing

Lockett, 438 U.S. at 586); see also Shore v. Davis, 845 F.3d 627, 632 (5th Cir. 2017) (observing that

the petitioner had “waived” his Eighth Amendment right to present mitigation evidence “by

instructing trial counsel not to argue against the death penalty.”). Although we made this observation

in an unpublished opinion, our understanding of Lockett has not changed. We disagree with

Appellant that the need for an “individualized consideration of mitigating factors” in capital cases

compels a nondiscretionary exception to the right of self-representation.

       The trial court did not violate the Eighth Amendment by allowing Appellant to represent

himself at the punishment phase of trial. Point of error fifteen is overruled.

       B. Appellant has not shown that the execution of “non-triggermen” is categorically
       cruel and unusual.

       In point of error nineteen, Appellant claims that a national consensus has emerged against

the execution of “non-triggermen,” or those who, like Appellant, “participated in a felony that

resulted in death . . . but did not actually kill.” And because the contours of the Eighth Amendment

are responsive to the “evolving standards of decency that mark the progress of a maturing society,”

see Atkins v. Virginia, 536 U.S. 304, 312 (2002) (citations omitted), Appellant contends that this

emergent consensus categorically bars his execution. Appellant asks us to deviate from the United
                                                                                         FALK—46

States Supreme Court’s holding in Tison v. Arizona, 481 U.S. 137, 155 (1987), that, at least as of

1987, no such consensus had yet emerged.

       In deciding whether the Eighth Amendment categorically prohibits a particular punishment,

the Supreme Court has taken the following approach:

       The Court first considers objective indicia of society’s standards, as expressed in
       legislative enactments and state practice, to determine whether there is a national
       consensus against the sentencing practice at issue. Next, guided by the standards
       elaborated by controlling precedents and by the Court’s own understanding and
       interpretation of the Eighth Amendment’s text, history, meaning, and purpose, the
       Court must determine in the exercise of its own independent judgment whether the
       punishment in question violates the Constitution.

Graham v. Florida, 560 U.S. 48, 61 (2010) (internal quotation marks and citations omitted). The

second prong of this rubric is primarily concerned with (1) “the culpability of the offenders at issue

in light of their crimes and characteristics, along with the severity of the punishment in question;”

and (2) “whether the challenged sentencing practice serves legitimate penological goals.” Id. at 67.

       Appellant concedes at the outset of this point of error that this Court “lacks the authority to

overrule Supreme Court precedent that currently interprets the federal constitution as allowing a

death sentence for [those] who did not directly take a human life.” He says that he raises this claim

only so that he can “preserve it for further review by the Supreme Court. Appellant has failed to

carry his burden to show that in light of the Eighth Amendment’s “text, history, meaning, and

purpose,” administering the death penalty in cases such as Appellant’s is categorically cruel and

unusual. See id. at 61.

       Appellant argues that the relatively meager number of death sentences assessed and carried

out against non-triggermen in the years since Tison has “fail[ed] to produce a constitutionally

sufficient retributive or deterrent effect.” He does not elaborate, explain, or cite to binding Supreme
                                                                                         FALK—47

Court precedent to clarify what a “constitutionally sufficient retributive or deterrent effect” might

look like. Further, he fails to explain how the Eighth Amendment’s “text, history, meaning, and

purpose” supports his argument. See Graham, 560 U.S. at 61 (citations omitted). Finally,

Appellant’s assertion that he personally was only indirectly responsible for Canfield’s death is

inapposite to whether the Eighth Amendment categorically prohibits the execution of parties to

capital murder who did not actually kill. Point of error nineteen is overruled.

       C. We decline to undertake a “comparative proportionality” analysis.

       In point of error twenty, Appellant argues that his death sentence is “comparatively

disproportionate to sentences imposed in similar or even substantially more aggravated capital

cases.” Appellant acknowledges that, in Pulley v. Harris, the Supreme Court rejected the notion that

“the Eighth Amendment, applicable to the States through the Fourteenth Amendment, requires a

state appellate court, before it affirms a death sentence, to compare the sentence in the case before

it with the penalties imposed in similar cases if requested to do so by the prisoner.” 465 U.S. 37,

43–44 (1984). Indeed, the Court described a comparative analysis of the kind that Appellant requests

as “constitutionally superfluous.” See id. at 49. Nevertheless, Appellant argues that nothing in

Pulley expressly precludes a state court from undertaking a comparative proportionality analysis, and

he invites us to do so.

       We see no reason to go beyond the Supreme Court’s holding in Pulley. See East v. State, 702

S.W.2d 606, 617 (Tex. Crim. App. 1985). We have declined to do so in previous cases. See, e.g.,

Pondexter v. State, 942 S.W.2d 577, 588 (Tex. Crim. App. 1996); Morris, 940 S.W.2d at 615–16;

East, 702 S.W.2d at 616–17. Appellant fails to distinguish his case from our precedent rejecting the

call to take a comparative proportionality review. Point of error twenty is overruled.
                                                                                  FALK—48

                                    X. CONCLUSION

      We affirm the trial court’s judgment of conviction and sentence of death.

Delivered: May 19, 2021

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