Court Opinion

ID: 9939332
Source: CourtListenerOpinion
Date Created: 2024-02-09 20:02:24.306656+00
Date Added: 2024-06-11T13:40:59.772873
License: Public Domain

REL: February 9, 2024

Notice: This opinion is subject to formal revision before publication in the advance sheets of Southern Reporter.
Readers are requested to notify the Reporter of Decisions, Alabama Appellate Courts, 300 Dexter Avenue,
Montgomery, Alabama 36104-3741 ((334) 229-0649), of any typographical or other errors, in order that corrections
may be made before the opinion is published in Southern Reporter.

                 Alabama Court of Criminal Appeals
                               OCTOBER TERM, 2023-2024
                                _________________________

                                          CR-21-0199
                                   _________________________

                                  Marquise Deshawn Flynn

                                                      v.

                                         State of Alabama

                     Appeal from Montgomery Circuit Court
                                 (CC-18-1178)

McCOOL, Judge.

        Marquise Deshawn Flynn appeals his conviction for murder made

capital because it was committed with the use of a deadly weapon while

the victim was in a vehicle. See § 13A-5-40(a)(17), Ala. Code 1975. The
CR-21-0199

trial court sentenced Flynn to life imprisonment without the possibility

of parole.

                      Facts and Procedural History

      In July 2018, a Montgomery County grand jury indicted Flynn for

two counts of capital murder.       One count alleged that Flynn had

intentionally caused the death of Sylvester Morris by shooting him with

a gun while Morris was in a vehicle, see § 13A-5-40(a)(17); the other count

alleged that Flynn had intentionally caused Morris's death in the course

of committing first-degree robbery, see § 13A-5-40(a)(2), Ala. Code 1975.

      Flynn was brought to trial in February 2020. On the second day of

trial, one of the State's witnesses, Oscar Lozano, testified that he saw

Flynn shoot Morris. On cross-examination, Lozano testified that he had

been shown a photograph of Flynn at some point before trial, that he had

been told that the person in the photograph had been charged with

Morris's murder, and that he had confirmed at that time that the person

in the photograph was the person he had seen shoot Morris. In a bench

conference that occurred after Lozano's testimony, defense counsel

claimed that he had "specifically asked" the prosecutor, Michael Green,

if Lozano was "going to come [to trial] and say that he saw … [Flynn]

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shoot and kill somebody" and that Green had "said, no, [Lozano was] not

going to do that." (Supp. 1, R. 817.) Thus, according to defense counsel,

the State had "pretty much ambushed Flynn … with bringing in an

eyewitness to the shooting and not making [the defense] aware of it," and

counsel moved for a mistrial on that basis. (Id., R. 818.) Green denied

making any statements to defense counsel regarding the substance of

Lozano's testimony; instead, Green claimed instead that he had told

defense counsel that he "didn't know what [Lozano] was going to say

because [he had not yet] talked to him" but that he "thought [Lozano]

would be a very important witness." (Id.) Green also argued that defense

counsel could have spoken with Lozano before trial and chose not to do

so. Thus, Green argued that granting a mistrial based on the alleged

"ambush" would be "ridiculous." (Id., R. 823.) The trial court denied the

motion for a mistrial, and the trial continued.

     After the trial recessed for the day, defense counsel filed a written

motion for a mistrial, and the trial court held a hearing on that motion

the next morning. In support of that motion, defense counsel alleged that

Lozano's out-of-court identification of Flynn had occurred under "clearly

suggestive" circumstances (Supp. 1, R. 986.)      – namely, "a one-man

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showup" (id., R. 985) – and that, had counsel been aware of those

circumstances, he would have filed a motion to suppress Lozano's

testimony.   Defense counsel also argued that the State had violated

Brady v. Maryland, 373 U.S. 83 (1963), by not informing him that Lozano

had implicated Flynn because, according to counsel, "how the

identification was made, what the circumstances were of that, [could

have been] used to impeach Lozano." (Supp. 1, R. 991.) Green then

explained the circumstances under which Lozano had first implicated

Flynn:

     "When I ultimately spoke with Mr. Lozano …, he started
     describing through an interpreter [(Lozano's primary
     language is Spanish)] a tall, thin man that I assumed at the
     time was the victim in this case because he's taller and he's a
     slender man. And [Lozano] says, 'No, the shooter was a tall,
     thin guy.'

          "And I stood up … and I said, 'How did he look in
     comparison to me …?' He said, 'He was almost your same
     body style.' And that concerned me, because, as everybody
     can see in here, I am neither tall nor thin.

           "So I asked Mr. Lozano, 'Is this the shooter you're
     talking about or the guy they pulled out of the car?' That's
     when the language barrier got brought into play.

          "That's when I said, 'Ben Gibbons [(another
     prosecutor)], show him a picture' – and I can't remember
     whether I said show him the jail photo or he said the only
     thing we've got is the jail photo. And I said, 'Show it to Mr.

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     Lozano.' And I'm like, 'Is this the guy you're talking about as
     the shooter.' He said, 'Yeah, that's the guy I'm talking about
     as the shooter.'

          "That is distinguished from a lineup or a one-man
     showup. I wanted to make sure that Mr. Lozano is not
     describing another shooter or not describing the situation that
     would be a Brady violation for me to keep concealed if there
     had been a self-defense situation or if Mr. Lozano did, indeed,
     see someone who was tall and thin, not just somebody he
     considers tall and thin.

           "That's why the picture was shown to him. It wasn't for
     purposes of making an identification. It wasn't by a police
     officer. They didn't go over to his house. It was to make sure
     that my witness and [I] were on the same page as to who he
     was talking about."

(Id., R. 1000-02.) The trial court found that the circumstances under

which Lozano had implicated Flynn were "absolutely, positively

suggestive" (id., R. 1010-11) and that, as a result, the court "would not

have allowed [Lozano] to testify as an in-court identification of [Flynn]"

if defense counsel had been afforded the opportunity to file a motion to

suppress Lozano's testimony. (Id., R. 1018-19.) Thus, the trial court

granted Flynn's motion for a mistrial.

     Following the mistrial, Flynn filed a motion to dismiss the

indictment, arguing that a second trial would violate the prohibition

against double jeopardy found in both the Fifth Amendment to the

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United States Constitution and Article I, § 9, of the Alabama

Constitution. Flynn conceded that there is usually no double-jeopardy

bar to a second trial when a mistrial is granted on the defendant's motion,

but, citing Oregon v. Kennedy, 456 U.S. 667 (1982), he argued that there

is an exception to that rule if the State intentionally provoked the

defendant into moving for the mistrial, which, according to Flynn, was

what occurred in his first trial. Flynn also argued that he was entitled

to have a jury determine "whether the prosecution improperly intended

to provoke a mistrial." (C. 188.) Alternatively, Flynn noted that "[t]he

Kennedy rule has been criticized by several state courts as being too

narrow" (C. 205), and he cited several cases in which other state appellate

courts have held that their respective state constitutions bar retrial when

a defendant moves for and is granted a mistrial based on intentional

prosecutorial misconduct, regardless of whether the misconduct was

intended to provoke a mistrial.

     The trial court held a hearing on Flynn's motion and heard

testimony from Ben Gibbons and Green, the two prosecutors in Flynn's

first trial, and their testimony established that Gibbons, Green, and

Maria Eady, a translator, had conducted "witness prep" with Lozano on

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the day Flynn's first trial began. (Supp. 1, R. 1024.) Gibbons testified

that, before that meeting occurred, he and Green had no reason to believe

that Lozano would be able to identify Morris's murderer and that the

original purpose of Lozano's testimony was simply to prove that Morris

was in a vehicle at the time of his death, which was a necessary element

of one of the capital-murder charges. Gibbons testified, however, that

Lozano had told the prosecutors during that meeting that he "saw the

guy that was shooting and … he was tall and thin," and, according to

Gibbons, Flynn is neither tall nor thin. (Id., R. 1042.) Given Lozano's

description of the shooter, Gibbons became concerned that the State

"might have charged the wrong person with murder" (id.) and that there

might be a self-defense issue that would need to be brought to defense

counsel's attention because Lozano's description of the shooter actually

matched Morris. However, Gibbons also recognized that "there was a

language discrepancy" that could have been the cause of the confusion.

(Id., R. 1033.)   Thus, Gibbons conceded that Green had then shown

Lozano a photograph of Flynn, that Green had told Lozano that the

person in the photograph was the person charged with Morris's murder,

that Lozano had confirmed that the person in the photograph was the

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person he saw shoot Morris, and that the prosecutors had not informed

defense counsel of what had occurred during the meeting.          Gibbons

testified, though, that the purpose of showing Lozano a photograph of

Flynn was simply "to make sure that [the State] had the right person"

(id.), and Gibbons testified that there was no "plan or any intention on

the part of [the prosecutors] to set up a scenario whereby [they] could get

a mistrial if [they] needed one." (Id., R. 1044.)

     Green's testimony regarding the events that occurred during the

"witness prep" was consistent with Gibbons's testimony, as were Green's

concessions that Lozano's description of the shooter raised the possibility

that the State "flat out [had] the wrong person charged with capital

murder" and raised possible Brady and self-defense issues. (Supp. 1, R.

1080.) Green testified, however, that once Lozano confirmed that Flynn

was the shooter, he did not believe there was any exculpatory evidence to

provide to defense counsel. Green also testified as follows:

     "Q.   Throughout … your preparation for this trial and
           conduct for this trial, was it ever your intent to have a
           mistrial declared?

     "A.   No.

     "Q.   Was it ever your intent to come up with a plan to find
           out some evidence and not tell the defense and hold it in

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            your back pocket just in case you needed it, then you
            could spring it and get a mistrial and maybe get a second
            try?

      "A.   No. I didn't want a mistrial. I thought the trial was
            going very well. I thought that our witnesses had done
            very well. And, quite frankly, I think [we] were going to
            get a conviction.

      "Q.   At the time that the mistrial was declared, did you feel
            like you were in pretty good shape as far as trials go?

      "A.   I thought we were in great shape.

      "Q.   And, certainly, you argued vigorously against both of
            those mistrials, successfully the first time and not so
            successfully the second time?

      "A.   That's correct. I did not want a mistrial either time. I
            had a lot of the same folks that are sitting out here
            watching these proceedings, my boss, other folks were
            very displeased with me for getting a mistrial. I did not
            want a mistrial no way, shape, or form."

(Id., R. 1094-95.)

      Following the arguments of counsel, the trial court denied Flynn's

motion to dismiss the indictment and, in support of its ruling, stated:

      "I think there is considerable disagreement as to whether the
      showing of the picture to Mr. Lozano was suggestive. I found
      at the time during the trial that showing the picture to Mr.
      Lozano was suggestive and granted a mistrial because of that.
      I find as a matter of fact that there was no intent whatsoever
      on behalf of the State to either goad or to cause a mistrial in
      this case. In fact, I agree with the assertions of counsel for
      the State that things were going very well for the prosecution

                                     9
CR-21-0199

     and there very well may have been a conviction. I find there
     is no jury question whatsoever about whether or not Mr.
     Green was guilty of prosecutorial misconduct. And there will
     be no questions or no assertions at the next trial as to whether
     he committed prosecutorial misconduct. I find that there was
     no jeopardy attached in this matter at all and that the State's
     motion to retry the case is granted and we're going to set this
     case for trial."

(Supp. 1, R. 1129-30.)

     The trial court subsequently issued a written order in which it set

forth further findings in support of its ruling. First, the trial court found

that there had not been any prosecutorial misconduct in Flynn's first

trial, and the court clarified that it had not granted the mistrial on that

basis. Rather, the trial court explained, it had granted the mistrial

because it was concerned that Lozano's testimony, to the extent it

implicated Flynn, might not have been admissible and wanted "to allow

further litigation concerning the admissibility of the identification." (C.

253.) The trial court also found that there was no evidence indicating

that the State had intentionally provoked Flynn into moving for the

mistrial. In support of that finding, the trial court noted that the State

had "argued vehemently against the granting of the mistrial" (id.) and

that "the timing of the alleged misconduct" supported the State's

argument that it had not harbored such intent. (C. 254.) Thus, the trial

                                     10
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court stated that there was "no doubt in the court's mind that the State

wished to continue trying the case to its conclusion." (C. 253.) As for

Flynn's request for a jury trial, the trial court found that he was not

entitled to a jury trial on the issue of the State's intent because he had

not presented substantial evidence to support the conclusion "that there

was any intent on the part of the prosecutor to 'goad' him into a mistrial."

(C. 255.)

     After the trial court issued its written order, Flynn filed a petition

for a writ of mandamus with this Court, in which he argued that he was

entitled to have a jury determine whether the State had intentionally

provoked him into moving for the mistrial. On May 28, 2021, this Court

issued an order denying Flynn's petition on the basis that he had failed

to present substantial evidence that could support a finding of such

intent. See Ex parte Flynn (No. CR-20-0613, May 28, 2021), 357 So. 3d

76 (Ala. Crim. App. 2021) (table).

     Flynn's second trial began on Monday, November 15, 2021. On the

Saturday before the trial began, defense counsel filed notice of his intent

to impeach the credibility of one of the State's witnesses, Zathian

Webster, with evidence indicating that Webster has been convicted of

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making a false statement to a police officer. On Monday, the trial court

held a hearing at which the State argued that Webster's conviction was

inadmissible because, according to the State, defense counsel had not

provided sufficient advance notice of his intent to use the conviction at

trial.    Defense counsel claimed in response that he "didn't find [the

conviction] until Friday" (R. 31), and the trial court asked counsel why

he had not "already been down to the municipal court and checked on

stuff like this," to which counsel replied: "Well, we had looked, Judge, and

we didn't see it." (R. 32.) After hearing rebuttal argument from the State,

the trial court ruled that defense counsel could not introduce evidence of

Webster's conviction because counsel had "waited too late to let the State

know." (R. 33.)

         Following jury selection, defense counsel again raised the argument

that he should be allowed to impeach Webster's credibility with evidence

of Webster's conviction.       After allowing defense counsel to make

additional arguments, the trial court stated that it was adhering to its

original ruling, i.e., that evidence of Webster's conviction was

inadmissible because "notice was too late." (R. 174.) Defense counsel

then informed the court that, instead of presenting evidence of Webster's

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conviction, he intended to "simply ask Webster when he's on the stand if

he's ever lied to law enforcement officers." (R. 175.) The trial court ruled,

however, that defense counsel was "not allowed to ask the question that

would elicit from [Webster] whether or not he lied to police officers." (R.

237.)

        At Flynn's second trial, the State was not represented by Green and

Gibbons, and Lozano did not testify. The evidence the State did present

at that trial tended to establish the following facts. On June 28, 2015,

Deandre Hale was hosting a party at his house, and Morris was in

attendance. At one point during the party, Hale was standing in his front

yard with his guests when he witnessed an "altercation" at Morris's car

(R. 192), which was parked "across the street." (R. 211.) Specifically,

Hale testified that he saw Morris, who was in his car, "tussling" with

someone who was standing outside the car, and that, during the

altercation, the person standing outside the car fired a gun. (R. 193.)

Hale then ran back to his house to retrieve a firearm, and, when he

returned to the front yard, other guests at the party were "shooting back

and forth" with the person who had shot Morris. (R. 196.) Hale could not

identify the shooter, but he testified that his guests told him during the

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exchange of gunfire that Flynn had shot Morris. Hale drove Morris to a

hospital, where he died later that night.

     Webster, who is Flynn's cousin, testified that he had given Flynn a

ride to Hale's party and that he then went to his own house, which was

three blocks from Hale's house.        Approximately 30 minutes later,

Webster heard gunshots, and he testified that, "within two or three

minutes after [he] heard the gunshots" (R. 250), two of his family

members telephoned him and told him that "[Flynn] just killed [Morris]."

(R. 253.) Webster also testified that, at some point later that night, Flynn

came to his house. Webster did not mention to Flynn that he had heard

about the shooting, but he asked Flynn if he was "all right" because Flynn

was "pacing and … sweating," and, according to Webster, Flynn then

admitted that he had shot Morris because Morris had "tried [him]." (R.

257.) Webster testified that he encouraged Flynn to surrender himself to

the police but that Flynn said he "ain't going out like that" and that the

police were "going to have to catch [him]." (R. 297.) Willie Watts, who

was also at Webster's house at that time, corroborated Webster's

testimony, testifying that he heard Webster "ask [Flynn] was he all right,

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and [Flynn] told [Webster] that he shot [Morris]." (R. 308.) Watts also

testified that he did not see Flynn with a gun at that time.

     Parrish Anderson was driving past Hale's house at the time of the

party and stopped in the street to talk to Morris. As Anderson was

driving away following that conversation, he heard two gunshots and

then circled the block to return to the scene. As Anderson approached

Hale's house again, he saw Flynn moving at a "steady pace" away from

the scene with a gun in his possession. (R. 344.)

     At the close of the State's evidence, Flynn moved for a judgment of

acquittal. The trial court granted that motion with respect to the charge

alleging that Flynn had intentionally caused Morris's death during the

course of committing first-degree robbery, but the court denied the

motion with respect to the charge alleging that Flynn had intentionally

caused Morris's death by shooting him with a gun while Morris was in a

vehicle. The jury convicted Flynn of that capital-murder charge, and he

was sentenced to life imprisonment without the possibility of parole.

                               Discussion

     Flynn raises the following four claims on appeal: (1) that his second

trial violated the double-jeopardy provisions of both the United States

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Constitution and the Alabama Constitution, (2) that the trial court erred

by prohibiting him from impeaching Webster's credibility, (3) that the

trial court erred by admitting inadmissible hearsay, and (4) that the trial

court erred by giving one of the State's requested jury instructions. We

address each claim in turn.

                            I. Double Jeopardy

     Flynn claims that his second trial violated the Double Jeopardy

Clause of the Fifth Amendment to the United States Constitution. In

conjunction with that claim, Flynn argues that the trial court erred by

denying his request to have a jury to determine whether the State had

intentionally provoked him into moving for the mistrial that was granted

in his first trial. Flynn also claims that his second trial violated Article

I, § 9, of the Alabama Constitution, which, like the Fifth Amendment,

protects a defendant from being twice placed in jeopardy of life or limb

for the same offense. We address those constitutional claims separately.

       A. Double Jeopardy under the United States Constitution

     The Double Jeopardy Clause of the Fifth Amendment, which was

made applicable to the states in Benton v. Maryland, 395 U.S. 784 (1969),

provides that no person shall be "subject for the same offense to be put

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twice in jeopardy of life or limb." Thus, a clear violation of the Fifth

Amendment occurs when a defendant is again prosecuted for the same

offense following a conviction or an acquittal. State v. Esco, 911 So. 2d

48, 49 (Ala. Crim. App. 2005).     Whether the Fifth Amendment bars

another trial following a mistrial, however, i.e., when there has been

neither a conviction nor an acquittal, is not as clear-cut and depends on

the circumstances of the mistrial. See Woods v. State, 367 So. 2d 982,

983 (Ala. 1978) ("Whether being placed on trial after a mistrial is

declared constitutes double jeopardy depends upon the circumstances

surrounding the mistrial.").

     Typically, "when a mistrial is declared on a defendant's motion[,] a

retrial is not barred by the prohibition against double jeopardy," State v.

Darling, 878 So. 2d 323, 326 (Ala. Crim. App. 2003), because "the Double

Jeopardy Clause 'does not relieve a defendant from the consequences of

his voluntary choice.' " Oliver v. State, 479 So. 2d 1385, 1390 (Ala. Crim.

App. 1985) (quoting United States v. Scott, 437 U.S. 82, 99 (1978)).

However, in Kennedy, supra, the United States Supreme Court

recognized an exception to this general rule. "When the prosecutor's

actions were intended to goad the defendant into moving for a mistrial[,]

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then the State is barred from prosecuting the defendant in a second trial."

Darling, 878 So. 2d at 326. See also In re R.E.D., 304 So. 3d 1170, 1172

(Ala. 2020) (" ' "[T]he circumstances under which … a defendant [who

moves for a mistrial] may invoke the bar of double jeopardy in a second

effort to try him are limited to those cases in which the conduct giving

rise to the successful motion for mistrial was intended to provoke the

defendant into moving for a mistrial." ' " (quoting Kinard v. State, 495 So.

2d 705, 707 (Ala. Crim. App. 1986), quoting in turn Kennedy, 456 U.S. at

679)). Whether the State intended to provoke a mistrial is based on the

"objective facts and circumstances" of the case. Kennedy, 456 U.S. at 675.

     A defendant who alleges that the State intentionally provoked him

into moving for a mistrial might be entitled to have a jury resolve the

question of the State's intent. However,

     "[b]efore a criminal defendant is entitled to a jury trial on the
     issue of prosecutorial intent, the criminal defendant must
     present substantial evidence that could rationally support a
     conclusion that the State acted intentionally to goad the
     criminal defendant into filing a motion for a mistrial.
     Although prosecutorial intent is a factual issue, see Ex parte
     Ryals, 819 So. 2d 114, 116 (Ala. Crim. App. 2001) ('The
     question of the prosecutor's intent [is] a question of fact, not a
     question of law.'), in this context the criminal defendant must
     present substantial evidence creating a factual issue to be
     decided by a jury before he or she is entitled to a jury trial.

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           "To create a question of fact to be decided by the jury,
     the evidence presented by the criminal defendant in support
     of a motion for a jury trial on prosecutorial intent must
     support the conclusion that the State committed misconduct
     with the intent of goading the defendant into requesting a
     mistrial. A criminal defendant must do more than allege that
     the State's actions prejudiced him or her. As the United
     States Supreme Court noted: 'Every act on the part of a
     rational prosecutor during a trial is designed to "prejudice"
     the defendant by placing before the judge or jury evidence
     leading to a finding of guilt,' Kennedy, 456 U.S. at 674, 102 S.
     Ct. 2083; such acts are simply part of the adversarial process.
     A criminal defendant must also allege more than mere legal
     or factual error by the State; there must be evidence
     indicating that the State committed such error with the intent
     to goad the defendant into filing a motion for a mistrial in
     violation of principles of double jeopardy. See Spears v. State,
     647 So. 2d 15, 22 (Ala. Crim. App. 1994) (' "The requirement
     of intent is critical, and easily misunderstood. The fact that
     the government blunders at trial and the blunder precipitates
     a successful motion for a mistrial does not bar a retrial.
     [Oregon v. Kennedy, 456 U.S. 667,] 674-76, 102 S. Ct. [2083,]
     2088-90 [(1982)]; Illinois v. Somerville, 410 U.S. 458, 93 S. Ct.
     1066, 35 L. Ed. 2d 425 (1972); United States v. Powell, 982
     F.2d 1422, 1429 (10th Cir. 1992); United States v. Perez
     Sanchez, 806 F.2d 7 (1st Cir. 1986).' " (quoting United States
     v. Oseni, 996 F.2d 186, 188 (7th Cir. 1993))). The criminal
     defendant must present substantial evidence indicating that
     the State committed misconduct with the intent to goad the
     defendant into filing a motion for a mistrial."

R.E.D., 304 So. 3d at 1175-76 (footnotes omitted).

     We first consider Flynn's claim that he was entitled to have a jury

determine whether the State had intentionally provoked him into moving

for the mistrial that occurred in his first trial because, if he was, then we

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must remand for the trial court to conduct that trial. In support of that

claim, Flynn cites Ex parte Adams, 669 So. 2d 128 (Ala. 1995), in which

the Alabama Supreme Court held that there were "factual … questions

about whether the prosecutor acted improperly and intentionally to

provoke the first mistrial," which entitled the defendant to a jury trial on

that issue. Id. at 132. However, in that case there was substantial

evidence supporting the defendant's allegation that the State had

intentionally provoked him into moving for the mistrial. Specifically, the

evidence indicated that the prosecutor had asked a witness an improper

question and could not justify the question when the trial court asked

him to do so; had "injected race into th[e] case for no purpose" id. at 130;

and had admitted at one point that he was "afraid [the] jury [was] going

to acquit the defendant." Id. at 131. In addition, it does not appear that

the prosecutor had argued against the mistrial.

     This case is distinguishable from Adams because Flynn presented

no evidence, much less substantial evidence, indicating that the State

had intentionally provoked him into moving for the mistrial that occurred

in his first trial. Indeed, Flynn has already presented this Court with

this claim in a petition for a writ of mandamus, and the Court

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unanimously denied that petition on the basis that Flynn "did not present

'substantial evidence that could rationally support a conclusion that the

State acted intentionally to goad [him] into filing a motion for a

mistrial.' " (C. 263 (quoting R.E.D., 304 So. 3d at 1175).) We see no basis

in the record for reaching a different conclusion now.1 To the contrary,

Green vigorously argued against a mistrial each time Flynn moved for

one, and he testified at the hearing on Flynn's motion to dismiss that he

"did not want a mistrial [in any] way, shape, or form" because he "thought

the trial was going very well" and that the State was "going to get a

conviction." Gibbons likewise testified that there had not been any "plan

or any intention on the part of [the prosecutors] to set up a scenario

whereby [they] could get a mistrial if [they] needed one." Perhaps the

most significant fact, though, is that the State's alleged misconduct

occurred before Flynn's trial started. "[L]ogically, it would seem that

prosecutorial conduct occurring pretrial could rarely form the basis for

     1Although    this Court has already considered this argument in
Flynn's petition for a writ of mandamus, Flynn is not barred from raising
it again in this appeal. See Ex parte Shelton, 814 So. 2d 251, 255 (Ala.
2001) (" '[T]he denial [of a petition for a writ of mandamus] does not
operate as a binding decision on the merits.' " (quoting R.E. Grills, Inc. v.
Davison, 641 So. 2d 225, 229 (Ala. 1994))).
                                     21
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applying the [Kennedy] exception … since the prosecutor would hardly

intend to abort a trial before it has even started." Thanos v. State, 330

Md. 576, 590, 625 A.2d 932, 938 (1993) (citation omitted). See also

Giddins v. State, 163 Md. App. 322, 361, 878 A.2d 687, 710 (2005) (noting,

in holding that there was no evidence of the State's intent to provoke a

mistrial, that the State had strenuously argued against a mistrial and

that "[t]here would have been no conceivable reason to sabotage the trial"

at the time of the State's alleged misconduct, which had occurred almost

immediately after its first witness began testifying). Compare Adams,

supra (evidence of the State's intent to provoke a mistrial stemmed from

actions the prosecutor took during the trial).        Thus, we once again

conclude that Flynn failed to present "substantial evidence that could

rationally support a conclusion that the State acted intentionally to goad

[him] into filing a motion for a mistrial" in his first trial. R.E.D., 304 So.

3d at 1175.

     We acknowledge Flynn's argument that a jury might not have

found Green and Gibbons to be credible witnesses, which, according to

Flynn, raised a jury question as to whether the State had intentionally

provoked him into moving for the mistrial.            However, "[a]lthough

                                     22
CR-21-0199

prosecutorial intent is a factual issue, in this context the criminal

defendant must present substantial evidence creating a factual issue to

be decided by a jury before he or she is entitled to a jury trial." R.E.D.,

304 So. 3d at 1175-76 (emphasis added; internal citation omitted).

Flynn's mere hope that a jury might not find Green and Gibbons to be

credible is not a substitute for that burden. To hold otherwise would

virtually ensure that a defendant would be entitled to a jury trial on the

issue of the State's intent in every case involving an allegation that the

State had intentionally provoked the defendant into moving for a

mistrial. Moreover, Flynn's hope that a jury might not find Green and

Gibbons to be credible witnesses ignores the objective circumstances of

this case, which provide no basis whatsoever for finding that the State

intentionally provoked him into moving for the mistrial and, to the

contrary, provide strong evidence indicating that the State neither

intended to provoke nor desired a mistrial.

     We    also   acknowledge    Flynn's   argument     that   there   was

"considerable conflicting evidence on the issue of the [State's] intent."

(Flynn's brief, p. 37.)   In support of that argument, Flynn points to

defense counsel's "testimony" that Green had told counsel that Lozano's

                                    23
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testimony would not implicate Flynn. However, defense counsel did not

testify at the hearing on Flynn's motion to dismiss – a fact the trial court

noted at the hearing (Supp. 1, R. 1112) – and counsel's arguments and

allegations were not evidence. Shanklin v. State, 187 So. 3d 734, 783

(Ala. Crim. App. 2014). Moreover, even if defense counsel had testified

to that effect, Flynn fails to explain how Green's alleged pre-trial

deception serves as evidence of the State's intent to provoke a mistrial in

a trial that had yet to begin.

     In short, the record in this case provides no basis for finding that

the State intentionally provoked Flynn into moving for the mistrial that

occurred in his first trial. Thus, the trial court did not err by refusing to

submit the issue of the State's intent to a jury. The fact that there is no

basis for finding that the State intentionally provoked Flynn into moving

for the mistrial is also dispositive of Flynn's claim that the Fifth

Amendment barred his second trial. 2 See Kennedy, 456 U.S. at 679

("Since … the prosecutorial conduct culminating in the termination of the

     2We acknowledge Flynn's reliance on United States v. Sterba, 22 F.

Supp. 2d 1333 (M.D. Fla. 1998), but that case, in addition to the fact that
it is not controlling in this jurisdiction, is factually distinguishable.

                                     24
CR-21-0199

first trial in this case was not so intended by the prosecutor, that is the

end of the matter for purposes of the Double Jeopardy Clause of the Fifth

Amendment to the United States Constitution."); and State v. Moore, 969

So. 2d 169, 180 (Ala. Crim. App. 2006) ("Based on the Supreme Court's

decision in [Kennedy], … the determination of whether a retrial is barred

based on prosecutorial misconduct in a first trial comes down to one

question – was the prosecutor's conduct intended to provoke a mistrial.").

          B. Double Jeopardy under the Alabama Constitution

     Flynn claims that, even if his second trial was not barred by the

Fifth Amendment, it was barred by Article I, § 9, of the Alabama

Constitution (hereinafter "Section 9"), which, like the Fifth Amendment,

protects a defendant from being twice placed in jeopardy of life or limb

for the same offense. Specifically, Section 9 provides that "no person

shall, for the same offense, be twice put in jeopardy of life or limb; but

courts may, for reasons fixed by law, discharge juries from the

consideration of any case, and no person shall gain an advantage by

reason of such discharge of the jury." The fact that the United States

Constitution and the Alabama Constitution both contain a double-

jeopardy provision does not mean that the two constitutions provide the

                                    25
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same double-jeopardy protection. "While the Federal Constitution, as

interpreted by the United States Supreme Court, establishes minimum

standards, the states have the power and are free to provide greater

safeguards and to extend this protection through their own organic law

– the State Constitutions." Gilbreath v. Wallace, 292 Ala. 267, 271, 292

So. 2d 651, 654-55 (1974). Thus, while Fifth Amendment double-jeopardy

claims are subject to the standard set forth in Kennedy, supra, Section 9

might provide broader double-jeopardy protection than the Kennedy

standard affords.

     As we explained in Part I.A, supra, the Kennedy standard provides

a single, limited exception to the rule that, "when a mistrial is declared

on a defendant's motion[,] a retrial is not barred by the prohibition

against double jeopardy." Darling, 878 So. 2d at 326. Only when the

State intentionally provoked the defendant into moving for a mistrial will

double-jeopardy principles come into play.      Kennedy, supra.    Flynn

argues, though, that the Kennedy standard is too narrow to encompass

the full panoply of double-jeopardy protection afforded by Section 9. In

support of that argument, Flynn notes that "several states have …

abandon[ed] the narrow test prescribed in Kennedy in favor of a more

                                   26
CR-21-0199

general and reasonable standard." (Flynn's brief, pp. 38-39.) According

to Flynn, those states have concluded that the double-jeopardy provisions

in their state constitutions bar the retrial of a defendant who seeks and

is granted a mistrial based on intentional prosecutorial misconduct that

was so prejudicial that it could be remedied only by a mistrial, regardless

of whether the State intended to provoke a mistrial. Thus, relying on

those cases, Flynn asks this Court to interpret Section 9 in like manner. 3

      We have not found an Alabama case that has expressly addressed

whether       the   Kennedy   standard   applies   under   the   Alabama

Constitution. 4 However, there are cases that provide some insight into

this issue.

      3If there was no intentional prosecutorial misconduct in Flynn's
first trial, then this claim would lack merit even under the broader
standard that Flynn proposes, which would obviate any need for us to
consider the claim. And the trial court did conclude that there was no
prosecutorial misconduct in Flynn's first trial. However, the facts
regarding the State's alleged misconduct are undisputed, and whether
that conduct actually amounted to misconduct is a question of law, not a
question of fact entitled to a presumption of correctness. Knight v. State,
300 So. 3d 76, 89 (Ala. Crim. App. 2018).

      4One commentator has concluded that a majority of state courts

"have adopted the Kennedy standard under their state constitutions"
and, citing Ex parte Cochran, 500 So. 2d 1179 (Ala. 1985), contends that
Alabama is among those states. Emily McEvoy, When Double Jeopardy
Should Bar Retrial in Cases of Prosecutorial Misconduct: A Call for
                                    27
CR-21-0199

     In Tomlin v. State, 695 So. 2d 157 (Ala. Crim. App. 1996), the

defendant was convicted of capital murder a third time after his first two

convictions for that offense were overturned by this Court on appeal; in

both appeals, the conviction was reversed, at least in part, based on

prosecutorial misconduct.    On appeal from his third conviction, the

defendant relied on the prosecutorial misconduct that had occurred in his

first two trials to argue that his third trial violated "the constitutional

prohibition against double jeopardy." Id. at 163. This Court did not

clarify which constitution the defendant had cited in support of his claim,

but the Court cited both the Fifth Amendment and Section 9 after setting

forth the defendant's argument. The Court then proceeded to explain the

standard set forth in Kennedy and held that there was no double-

Broader State Protections, 122 Colum. L. Rev. 173, 188 (2022). We also
note that this Court, when composed of different judges, stated that
Kennedy was "adopted by the Alabama Supreme Court in Ex parte
Cochran." Moore, 969 So. 2d at 180.

      However, in discussing the defendant's double-jeopardy claim in Ex
parte Cochran, the Alabama Supreme Court did not discuss or even
mention the Alabama Constitution, much less hold that the Kennedy
standard applies under the Alabama Constitution. Rather, the Court
clearly stated that the issue in that case was whether the defendant's
"Fifth Amendment right not to be placed in jeopardy twice for the same
offense" had been violated. 500 So. 2d at 1181 (emphasis added). Thus,
this Court is not convinced that Ex parte Cochran resolved this issue.
                                    28
CR-21-0199

jeopardy violation because the defendant had not alleged that the State

had "intentionally invited reversal at [his] previous trials." Tomlin, 695

So. 2d at 165.

     In Darling, supra, trial court declared a mistrial because the jury

was unable to reach a unanimous verdict. The defendant then moved to

dismiss the indictment "based on double jeopardy" (CR-02-1950, Petition,

Exhibit B), arguing that the jury's inability to reach a unanimous verdict

had been the result of prosecutorial misconduct, and he "requested a jury

trial on the issue whether the prosecutor's actions were intentional."

Darling, 878 So. 2d at 325. The trial court granted the request for a jury

trial, and the State subsequently sought mandamus relief in this Court.

In addressing the State's petition, the Court first noted, as it did in

Tomlin, that the Fifth Amendment and Section 9 "both prohibit

subjecting a defendant to multiple prosecutions for the same offense."

Darling, 878 So. 2d at 325. The Court then noted that, "when a mistrial

is declared on a defendant's motion[,] a retrial is not barred by the

prohibition against double jeopardy," subject to the exception set forth in

Kennedy, i.e., that "[w]hen the prosecutor's actions were intended to goad

the defendant into moving for a mistrial[,] then the State is barred from

                                    29
CR-21-0199

prosecuting the defendant in a second trial." Darling, 878 So. 2d. at 326.

Thus, because the mistrial in that case had been granted because of a

hung jury, and not because of prosecutorial misconduct, the Court held

that a jury trial on the issue of the State's intent was unnecessary.

      There are also several cases in which this Court has applied the

Kennedy standard in rejecting a double-jeopardy claim but has not

clarified whether the Fifth Amendment or Section 9 was at issue; instead,

the Court simply referred to "double jeopardy," without citing either the

United States Constitution or the Alabama Constitution. See Ex parte

Taylor, 720 So. 2d 1054, 1056 (Ala. Crim. App. 1998) (referring only to

"principles of double jeopardy"); Spears v. State, 647 So. 2d 15, 21 (Ala.

Crim. App. 1994) (holding that "[p]rinciples of jeopardy" did not bar the

defendant's second trial); and Graham v. State, 590 So. 2d 375, 377 (Ala.

Crim. App. 1991) (stating that the defendant's argument was that "his

right not to be placed in jeopardy twice for the same offense was

violated").

      None of the cases we have cited expressly held that the Kennedy

standard applies under the Alabama Constitution. However, Tomlin and

Darling acknowledged both the Fifth Amendment and Section 9 and then

                                    30
CR-21-0199

relied on Kennedy in addressing a double-jeopardy claim, and Taylor,

Spears, and Graham relied on Kennedy without making any attempt to

draw a distinction between the two constitutional provisions. Arguably,

then, this Court has already implicitly determined that the Kennedy

standard applies under the Alabama Constitution. We realize, though,

that the appellants in those cases might not have argued, as Flynn has,

that Section 9 provides broader double-jeopardy protection than the

Kennedy standard affords, and appellate courts typically address only

those arguments that an appellant makes. Thompson v. State, 97 So. 3d

800, 808 (Ala. Crim. App. 2011). However, even if those cases did not

conclusively resolve this issue, several factors weigh against Flynn's

argument.

     First, Section 9 expressly states that "no person shall, for the same

offense, be twice put in jeopardy of life or limb; but courts may, for

reasons fixed by law, discharge juries from the consideration of any case,

and no person shall gain an advantage by reason of such discharge of the

jury." (Emphasis added.) Thus, on its face, Section 9 appears to provide

that double-jeopardy principles do not come into play in any case that

involves a mistrial, provided that the mistrial was granted "for reasons

                                   31
CR-21-0199

fixed by law." In other words, Section 9 appears to provide less double-

jeopardy protection than the Kennedy standard affords. See State v.

Oliver, 188 Ga. App. 47, 49, 372 S.E.2d 256, 259 (1988) ("If anything, the

Georgia Constitution is less protective than the Fifth Amendment, for it

recognizes an exception to the bar against double jeopardy when the first

trial ends in mistrial."). We recognize, of course, that "[t]he Alabama

Constitution affords no less protection to its citizens than that afforded

by the United States Constitution," Ford v. State, 356 So. 2d 720, 722

(Ala. Crim. App. 1978), and we are not suggesting that Section 9 does in

fact provide less double-jeopardy protection than the Fifth Amendment

provides. The point is that the express language of Section 9 certainly

does not support the conclusion that Section 9 provides broader double-

jeopardy protection than the Fifth Amendment provides.

     Second, in Gholston v. State, 57 So. 3d 178, 184 (Ala. Crim. App.

2010), this Court stated:

           "The Supreme Court of the United States has held that
     the Double Jeopardy Clause of the Fifth Amendment contains
     three protections: 'It protects against a second prosecution for
     the same offense after acquittal. It protects against a second
     prosecution for the same offense after conviction. And it
     protects against multiple punishments for the same offense.'
     North Carolina v. Pearce, 395 U.S. 711, 717, 89 S. Ct. 2072,
     23 L. Ed. 2d 656 (1969) (footnotes omitted), overruled on other

                                   32
CR-21-0199

     grounds, Alabama v. Smith, 490 U.S. 794, 109 S. Ct. 2201, 104
     L. Ed. 2d 865 (1989). … The Alabama Supreme Court has
     held that the Double Jeopardy Clause of Art. I[,] § 9, of the
     Alabama Constitution of 1901, applies to protect only those
     three areas enumerated in Pearce. See Ex parte Wright, 477
     So. 2d 492, 493 (Ala. 1985)."

(Emphasis added.)

     Thus, as a general rule, Section 9 provides the same double-

jeopardy protection that the Fifth Amendment provides, and, as a result,

double-jeopardy analysis by the United States Supreme Court is

persuasive when Alabama's appellate courts interpret Section 9. See

City of Hoover v. Oliver & Wright Motors, Inc., 730 So. 2d 608, 613 (Ala.

1999) ("While the United States Supreme Court's interpretation of … the

United States Constitution is not binding on this Court when this Court

is interpreting ... the Alabama Constitution, that Court's reasoning can

inform our judgment.").    Indeed, in other double-jeopardy contexts,

Alabama already uses a test established by the United States Supreme

Court when addressing a double-jeopardy claim under the Alabama

Constitution. See Ex parte Wright, 477 So. 2d 492, 493 (Ala. 1985)

(noting that, in determining whether two offenses are the same offense

for double-jeopardy purposes, "Alabama has applied the Blockburger [v.

United States, 284 U.S. 299 (1932),] test … under the Alabama

                                   33
CR-21-0199

Constitution"). It stands to reason, then, that the Kennedy test should

also be applied under the Alabama Constitution – a holding that would

be consistent with Alabama's long history of relying on caselaw from the

United States Supreme Court when interpreting Section 9. See Curry v.

State, 203 Ala. 239, 82 So. 489 (1919) (citing caselaw from the United

States Supreme Court in holding that there was no double-jeopardy

violation under the Alabama Constitution).

     Third, we note that a majority of states – at least 27 – have

concluded that the Kennedy standard applies to the double-jeopardy

provisions found in their constitutions, statutes, or common law.5 See

State v. Verrill, 175 N.H. 428, 293 A.3d 178 (2022); People v. Viburg, 500

P.3d 1123 (Colo. 2021); City of West Fargo v. Ekstrom, 938 N.W.2d 915

(N.D. 2020); State v. Brown, 236 N.J. 497, 201 A.3d 77 (2019); State v.

Bedolla, 298 Neb. 736, 905 N.W.2d 629 (2018); State v. Hodges, 105

N.E.3d 543 (Ohio Ct. App. 2018); Montoya v. State, 386 P.3d 344 (Wyo.

     5We say that there are at least 27 states in the majority because we

have found cases from several additional states that appear to have
applied the Kennedy standard to their respective double-jeopardy
provisions, like this Court appears to have done in Tomlin and Darling,
supra, but did not expressly hold that the standard was the same under
their state law.
                                   34
CR-21-0199

2016); State v. McCormick, 835 N.W.2d 498 (Minn. Ct. App. 2013); Green

v. State, 380 S.W.3d 368 (Ark. 2011); Ex parte Lewis, 219 S.W.3d 335

(Tex. Crim. App. 2007); State v. O'Connor, 936 A.2d 216 (R.I. 2007); State

v. Michael J., 274 Conn. 321, 875 A.2d 510 (2005); Poff v. State, 881 So.

2d 564 (Fla. Dist. Ct. App. 2004); State v. Williams, 268 Kan. 1, 988 P.2d

722 (1999); Bennefield v. Commonwealth, 21 Va. App. 729, 467 S.E.2d

306 (1996); Davis v. Brown, 87 N.Y.2d 626, 641 N.Y.S.2d 819 (1996);

Thanos v. State, 330 Md. 576, 590, 625 A.2d 932, 938 (1993); State v.

Walker, 332 N.C. 520, 422 S.E.2d 716 (1992); State v. Cochran, 51 Wash.

App. 116, 751 P.2d 1194 (1988); State v. Oliver, 188 Ga. App. 47, 372

S.E.2d 256 (1988); State v. Rademacher, 433 N.W.2d 754 (Iowa 1988);

Bailey v. State, 521 A.2d 1069 (Del. 1987); State v. Pennington, 179 W.

Va. 139, 365 S.E.2d 803 (1987); People v. Ramirez, 114 Ill. 2d 125, 500

N.E.2d 14 (1986); State v. Tucker, 728 S.W.2d 27 (Tenn. Crim. App.

1986); State v. Chapman, 496 A.2d 297 (Me. 1985); and Stamps v.

Commonwealth, 648 S.W.2d 868 (Ky. 1983).

     Flynn does not acknowledge this majority but, as noted, points to

the fact that six other states have reached the opposition conclusion,

holding that their state constitutions provide broader double-jeopardy

                                   35
CR-21-0199

protection than the narrow Kennedy standard affords. See Thomas v.

Eighth Jud. Dist. Ct., 133 Nev. 468, 402 P.3d 619 (2017); State v.

Jorgenson, 198 Ariz. 390, 10 P.3d 1177 (2000); State v. Rogan, 91 Haw.

405, 984 P.2d 1231 (Haw. 1999); State v. Breit, 122 N.M. 655, 930 P.2d

792 (1996); Commonwealth v. Smith, 532 Pa. 177, 615 A.2d 321 (1992);

and People v. Dawson, 154 Mich. App. 260, 397 N.W.2d 277 (1986).6

Those courts held that the double-jeopardy provisions in their state

constitutions bar the retrial of a defendant who seeks and is granted a

mistrial based on intentional prosecutorial misconduct that is so

prejudicial that it could be remedied only by a mistrial, regardless of

whether the State intended to provoke a mistrial. However, Flynn makes

no attempt to explain why those states have a better argument than the

states in the majority, nor does he make any other attempt to explain

why we should place Alabama in the minority, other than the fact that

     6Flynn has also cited Bauder v. State, 921 S.W.2d 696 (Tex. Crim.

App. 1996), and State v. White, 85 N.C. App. 81, 354 S.E.2d 324 (1987).
However, Bauder was overruled by Ex parte Lewis, supra, which brought
Texas into the majority on this issue. White was affirmed by the North
Carolina Supreme Court in State v. White, 322 N.C. 506, 369 S.E.2d 813
(1988), but, in affirming the intermediate appellate court, the Court held
that the Kennedy standard was applicable under the North Carolina
Constitution, thus bringing North Carolina into the majority on this
issue.
                                   36
CR-21-0199

doing so provides him with a greater chance for relief. Nevertheless, this

Court has reviewed those six cases and is unpersuaded by the minority's

reasoning.

      In reviewing the cases Flynn has cited, the most pervasive criticism

of the Kennedy standard has been that a prosecutor's intent to provoke a

mistrial is simply too difficult, if not impossible, to prove. It is true that,

"because intent is a state of mind, it is rarely susceptible of direct or

positive proof," Pilley v. State, 930 So. 2d 550, 564 (Ala. Crim. App. 2005),

but it does not follow that intent is too difficult, much less impossible, to

prove. Indeed, "juries decide questions of 'intent' all the time," Tucker,

728 S.W.2d at 32, and routinely find that intent has been established

beyond a reasonable doubt based on the evidence presented to them. We

fail to see why it would be any more difficult for a jury or a trial court to

determine,    based on     the   circumstances,     whether    a prosecutor

intentionally provoked a mistrial. See id. at 31 (noting that a prosecutor's

intent to provoke a mistrial can be inferred from the circumstances, such

as when "the case is collapsing around the prosecutor because the

witnesses are weaker than expected, adverse rulings have kept out

important evidence, or key witnesses cannot be found or did not appear").

                                      37
CR-21-0199

We also note that it is not clear what standard of proof applies when

determining whether a prosecutor intentionally provoked a mistrial. See

Breit, 122 N.M. at 663, 930 P.2d at 800 (noting that it is "unclear what

standards of proof would be appropriate" when a defendant seeks to prove

that the State intentionally provoked him into moving for a mistrial).

However, it is certainly not a higher standard than proof beyond a

reasonable doubt, which fact-finders routinely conclude has been

satisfied when resolving questions of intent, and it might be something

less. Thus, we find no merit to the argument that the alleged difficulty

in proving a prosecutor's intent to provoke a mistrial is a basis for

rejecting the Kennedy standard.

     A second criticism of the Kennedy standard has been that it does

not fully protect a defendant's right to have his trial completed by the

original tribunal. However, this particular aspect of double jeopardy is

primarily implicated when a mistrial is declared over the defendant's

objection. See Ex parte Head, 958 So. 2d 860, 866 (Ala. 2006) ("Where,

as here, a mistrial has been declared over the defendant's objection, the

defendant's 'valued right to have his trial completed by a particular

tribunal' is also implicated." (quoting Wade v. Hunter, 336 U.S. 684, 689

                                   38
CR-21-0199

(1949)) (emphasis added)).       When a mistrial is declared on the

defendant's motion, he generally forfeits his right to have his trial

completed by the original tribunal. See Kinard v. State, 495 So. 2d 705,

708 (Ala. Crim. App. 1986) (noting that a defendant may not rely on

double jeopardy "to relieve himself from the consequences of his

voluntary choice"). Thus, the limited Kennedy standard, which applies

only when the defendant has been provoked into moving for a mistrial,

provides a proper balance between a defendant's right to have his trial

completed by the original tribunal and the rule that a defendant cannot

benefit from the consequences of his voluntary choice.

     We are not persuaded by the minority's criticism of the Kennedy

standard, and we feel compelled to make one final point here. Even if

this Court believed that the Kennedy standard is too narrow, which we

do not, that belief would not be a sufficient basis for holding that Section

9 provides broader double-jeopardy protection than the Fifth Amendment

provides. The Alabama Constitution "is a document of the people," not of

this, or any, Court. McGee v. Borom, 341 So. 2d 141, 143 (Ala. 1976)

(emphasis added). It would therefore be improper for this Court to hold

that Section 9 provides broader double-jeopardy protection than the Fifth

                                    39
CR-21-0199

Amendment provides simply because the Court, relying on nothing more

than its own intuition, says it does. Taking that approach would allow

this Court, at any point in time, to "find" or "read into" the Alabama

Constitution anything that its judges might desire the constitution to

say, rather than seeking to determine what it does say as ratified by the

people, and this Court will not employ that type of reckless approach to

constitutional interpretation. See Barnett v. Jones, 338 So. 3d 757, 766

(Ala. 2021) (Mitchell, J., concurring specially) (noting that an approach

to constitutional interpretation that seeks "to fit contemporary policy

preferences" would allow courts to "improperly chang[e] the law").

     Rather, when interpreting a provision of the Alabama Constitution,

our duty is to seek to discover the original public meaning of the

provision, i.e., " 'the meaning the people understood [the] provision to

have at the time they enacted it.' " Barnett, 338 So. 3d at 767 (Mitchell,

J., concurring specially) (quoting Olevik v. State, 302 Ga. 228, 235, 806

S.E.2d 505, 513 (2017)). One Justice on the Alabama Supreme Court has

aptly explained how this original public meaning can be discovered:

           "When seeking to determine the original public meaning
     of a constitutional provision, it is necessary to examine
     relatively contemporaneous sources and older, pre-enactment
     sources that shed light on a provision's historical context. See

                                   40
CR-21-0199

    [Antonin] Scalia & [Bryan A.] Garner, Reading Law[:The
    Interpretation of Legal Texts] § 69 at 400-02
    [(Thompson/West 2012)]; III Roscoe Pound, Jurisprudence
    491 (1959) ('In the case of constitutional provisions historical
    interpretation is often necessary.'). Further, research should
    include the examination of more than one source to capture a
    more accurate understanding of what terms would have
    meant to the informed public. Cf. Tutt Real Estate, 334 So.
    3d at 1254 (Mitchell, J., concurring specially) (cautioning
    against the use of a single, modern dictionary to determine
    the meaning of a statutory phrase first adopted in 1923).

          "Logically, … concerning a provision from the Alabama
    Constitution of 1901, some think to consult the records of the
    1901 Constitutional Convention to find evidence of meaning.
    And while those records are certainly one source that can
    reveal the common understanding of provisions at the time,
    'they are not the exclusive documents to which we may refer.'
    Smith [v. Baptiste], 287 Ga. [23,] 32, 694 S.E.2d [83,] 90
    [(2010)] (Nahmias, J., concurring specially). Nor should they
    be. Much like legislative history can be cherry-picked to find
    remarks favorable to a particular interpretation of a statute,
    records of constitutional conventions can be similarly abused.
    Cf. Conroy v. Aniskoff, 507 U.S. 511, 519, 113 S. Ct. 1562, 123
    L. Ed. 2d 229 (1993) (Scalia, J., concurring in the judgment)
    (likening the use of legislative history to looking over a crowd
    to find one's friends). So it is also important to consider
    'contemporaneous dictionaries, legal treatises, and cases, as
    well as histories of the period,' to get a full scope of the
    relevant terms' public meaning. See Smith, 287 Ga. at 32, 694
    S.E.2d at 90 (Nahmias, J., concurring specially).

         "….

          " Less well known, but equally significant, is how several
    state supreme courts interpret their own constitutions based
    on original public meaning. See, e.g., Elliott v. State, 305 Ga.
    179, 181, 824 S.E.2d 265, 268 (2019) ('We have often explained

                                  41
CR-21-0199

     that we interpret the Georgia Constitution according to its
     original public meaning.'); State v. Antonio Lujan, 459 P.3d
     992, 999 (Utah 2020) ('We have repeatedly reinforced the
     notion that the Utah Constitution is to be interpreted in
     accordance with the original public meaning of its terms at
     the time of its ratification.'); Rafaeli, LLC v. Oakland Cnty.,
     505 Mich. 429, 456, 952 N.W.2d 434, 450-51 (2020) ('Our
     "primary objective" in interpreting a [state] constitutional
     provision ... is "to determine the text's original meaning to the
     ratifiers, the people, at the time of ratification." ' (citation
     omitted))."

Barnett, 338 So. 3d at 767-68 (Mitchell, J., concurring specially). See also

State v. Sayre, 118 Ala. 1, 28, 24 So. 89, 92 (1897) ("There can be no just

[constitutional] construction or interpretation … which is not deduced,

not only from the words, but from the history, of any particular part or

provision of the instrument.").     Although the task of locating these

historical sources and scouring them for evidence of original public

meaning "can be arduous, … rarely is it impossible. See [Antonin] Scalia

& [Bryan A.] Garner, Reading Law[: The Interpretation of Legal Texts] §

69 at 399 [(Thompson/West 2012)] (dismantling '[t]he false notion that

lawyers and judges ... are unqualified to do the historical research

originalism requires')."    Barnett, 338 So. 3d at 767 (Mitchell, J.,

concurring specially).

                                    42
CR-21-0199

     Flynn, however, has not provided this Court with any historical

evidence to support his proposed interpretation of Section 9, and "it is

neither this Court's duty nor its function to perform an appellant's legal

research." City of Birmingham v. Business Realty Inv. Co., 722 So. 2d

747, 752 (Ala. 1998). "An appellate court is not a depository in which a

party may dump the burden of argument and research."               State v.

Hamilton,    437 P.3d     530,   535 (Utah     2018)   (citation   omitted).

Nevertheless, we have reviewed the records of the Constitutional

Convention of 1819, which promulgated Alabama's original double-

jeopardy clause, and the records of the Constitutional Convention of

1901, which promulgated Section 9, and we find no basis in those records

for interpreting Section 9 more broadly than the United States Supreme

Court has interpreted the Fifth Amendment. 7           If there are other

historical sources that support a different conclusion, Flynn has not

directed us to them, and, in reviewing the six cases he cites from other

jurisdictions, we find no indication that the courts' decisions were based

     7Alabama's original double-jeopardy provision stated: "No person

shall, for the same offense, be twice put in jeopardy of life or limb." Art.
I, § 13, Ala. Const. 1819. That provision remained unchanged in the next
four constitutions (1861, 1865, 1868, and 1875) and was then amended
in 1901 to provide the current double-jeopardy provision.
                                    43
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on the original public meaning of those states' double-jeopardy

provisions. On the other hand, courts in several of the states that are in

the majority on this issue have conducted the kind of historical analysis

that should guide constitutional interpretation.       See, e.g., Ekstrom,

supra; Ex parte Lewis, supra; and Michael J., supra.

     We now expressly hold, for the foregoing reasons, that the Kennedy

standard applies to double-jeopardy claims under the Alabama

Constitution.   Thus, Section 9 does not bar retrial of a defendant

following a mistrial that was granted on the defendant's motion, unless

the record indicates that the State intentionally provoked the defendant

into moving for the mistrial. In this case, we have already concluded that

the record does not support a finding that the State intentionally

provoked Flynn into moving for a mistrial in his first trial. Accordingly,

Section 9 did not bar the State from bringing Flynn to trial a second time.

           II. Use of a Witness's Prior Conviction for Impeachment

     Flynn claims that the trial court erred by prohibiting him from

impeaching Webster's credibility with evidence indicating that Webster

has been convicted of lying to a police officer. Our review of this claim is

limited to determining whether the trial court exceeded its discretion by

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excluding Webster's conviction. Floyd v. State, 289 So. 3d 337, 395 (Ala.

Crim. App. 2017).

     Rule 609(a)(B)(2), Ala. R. Evid., states: "For the purpose of

attacking the credibility of a witness, … evidence that any witness has

been convicted of a crime shall be admitted if it involved dishonesty or

false statement, regardless of the punishment." However, Rule 609(b),

Ala. R. Evid., states:

           "Evidence of a conviction under this rule is not
     admissible if a period of more than ten years has elapsed since
     the date of the conviction or of the release of the witness from
     the confinement imposed for that conviction, whichever is the
     later date, unless the court determines, in the interests of
     justice, that the probative value of the conviction supported
     by specific facts and circumstances substantially outweighs
     its prejudicial effect. However, evidence of a conviction, more
     than ten years old as calculated herein, is not admissible
     unless the proponent gives to the adverse party sufficient
     advance written notice of intent to use such evidence to
     provide the adverse party with a fair opportunity to contest
     the use of such evidence."

     In this case, it is undisputed that Webster's conviction was more

than 10 years old. Thus, the conviction was inadmissible unless the trial

court found both that its probative value substantially outweighed its

prejudicial effect and that Flynn had provided the State with "sufficient

advance written notice" of his intent to use the conviction. Rule 609(b).

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The trial court found that Flynn had failed to comply with that notice

requirement, and Flynn argues on appeal that the notice he provided was

sufficient to give the State "a fair opportunity to contest the use of" the

conviction. Id.

     We have not found an Alabama case that provides any guidance as

to what constitutes "sufficient advance written notice" as required by

Rule 609(b). However, in Green v. State, 339 Ga. App. 263, 270, 793

S.E.2d 156, 162 (2016), the Georgia Court of Appeals considered that

issue under Georgia's counterpart to Rule 609(b), which also requires

"sufficient advance written notice" of a party's intent to use a witness's

conviction to impeach the witness's credibility. OCGA § 24-6-609(b). In

that case, the defendant's trial began on a Monday, and, at 1:24 p.m. on

the preceding Thursday, he provided the State with written notice that

he intended to impeach the credibility of one its witnesses with evidence

of the witness's conviction.     The trial court refused to admit the

conviction, however, finding that notice provided " '11 business hours'

before the start of trial was insufficient to meet the notice requirement

for use of an old conviction," and the Court of Appeals held that there was

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no abuse of discretion in the trial court's ruling. Green, 339 Ga. App. at

270, 793 S.E.2d at 162.

     In this case, Flynn's trial also began on a Monday, and he filed

written notice of his intent to use Webster's conviction at 9:01 p.m. on the

preceding Saturday. (C. 286.) Thus, Flynn filed his notice closer to the

start of trial than did the defendant in Green, and, because he filed the

notice on a Saturday, he did not provide the State with any "business

hours" notice.    Green, 339 Ga. App. at 270, 793 S.E.2d at 162.

Accordingly, we cannot say that the trial court exceeded its discretion by

finding that Flynn had failed to comply with the notice required by Rule

609(b).

     Alternatively, Flynn claims that the trial court erred by prohibiting

him from simply asking Webster on cross-examination if he had ever lied

to the police, without making any reference to Webster's conviction for

that offense. According to Flynn, that ruling violated his right to confront

his accuser, see U.S. Const., Amend. VI, and his right to present a

complete defense. However, even if the trial court erred in this regard,

and we do not suggest that it did, Flynn is not entitled to relief.

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     A trial court's erroneous limitation on a party's cross-examination

is subject to a harmless-error analysis. Bohannon v. State, 222 So. 3d

457, 486 (Ala. Crim. App. 2015).

     " 'The correct inquiry [in the harmless-error analysis] is
     whether, assuming that the damaging potential of the cross-
     examination were fully realized, a reviewing court might
     nonetheless say that the error was harmless beyond a
     reasonable doubt. Whether such an error is harmless in a
     particular case depends upon a host of factors, all readily
     accessible to reviewing courts. Those factors include the
     importance of the witness' testimony in the prosecution's case,
     whether the testimony was cumulative, the presence or
     absence of evidence corroborating or contradicting the
     testimony of the witness on material points, the extent of
     cross-examination otherwise permitted, and, of course, the
     overall strength of the prosecution's case.' "

Id. at 486-87 (quoting Delaware v. Van Arsdall, 475 U.S. 673, 684 (1986)).

To find harmless error in this context, this Court must be "convinced

beyond a reasonable doubt that any error in the trial court's limitation

on … cross-examination … did not contribute to the jury's verdict."

Floyd, 289 So. 3d at 389.

     The purpose of the question Flynn sought to ask Webster – whether

Webster has "ever lied to law enforcement officers" – was to cast doubt

on Webster's credibility. Although the trial court prohibited Flynn from

asking that question, the court did allow Flynn to demonstrate that

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Webster had lied in the statement he gave to the police regarding

Morris's murder. (R. 262-63.) The fact that Webster lied to the police in

this case certainly cast as much doubt on his credibility, if not more, than

an admission that he had lied to the police at some point in the past

regarding an unrelated matter. Furthermore, the only incriminating

part of Webster's testimony was that other people had told him that

Flynn shot Morris and that he had heard Flynn admit to shooting Morris,

but Hale and Watts, respectively, provided identical testimony. Thus,

even if Flynn had been able to completely discredit Webster as a witness,

there is not a reasonable likelihood that doing so would have impacted

the jury's verdict. 8   Accordingly, this Court is convinced beyond a

reasonable doubt that the trial court's limitation on Flynn's cross-

examination of Webster was harmless error if it was error at all, which

does not entitle Flynn to relief. See Peoples v. State, 951 So. 2d 755, 762

(Ala. Crim. App. 2006) (holding that any error in the trial court's

limitation on cross-examination was harmless because the witness's own

     8Recognizing that Webster's testimony was cumulative of Watts's

testimony, Flynn argues that "to impeach Webster was to impeach
Watts." (Flynn's reply brief, p. 12.) However, Flynn fails to make any
cogent argument as to why Watts's credibility should have hinged upon
Webster's credibility.
                                    49
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testimony "placed his credibility at issue" and because his testimony

implicating the defendant was "essentially the same" as the testimony of

another witness).

                                 III. Hearsay

        Flynn claims that the trial court erred by allowing Hale and

Webster to testify that other people had told them that Flynn shot Morris

because, Flynn says, the declarants' out-of-court statements were

inadmissible hearsay. The State argues that the trial court correctly

found the declarants' statements to be admissible under the excited-

utterance exception to the rule against hearsay. See Rule 803(2), Ala. R.

Evid.

        In Jackson v. State, 305 So. 3d 440 (Ala. Crim. App. 2019), this

Court stated:

              " 'Hearsay' is defined in Rule 801, Ala. R. Evid., as 'a
        statement, other than one made by the declarant while
        testifying at the trial or hearing, offered in evidence to prove
        the truth of the matter asserted.' Hearsay is generally not
        admissible unless it falls within one of the exceptions in Rule
        803, Ala. R. Evid., or Rule 804, Ala. R. Evid. See Rule 802,
        Ala. R. Evid. An excited utterance is an exception to the
        hearsay rule. Rule 803(2), Ala. R. Evid., defines an excited
        utterance as '[a] statement relating to a startling event or
        condition made while the declarant was under the stress of
        excitement caused by the event or condition.'

                                      50
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                 " ' "This rule [Rule 803(2), Ala. R. Evid.] sets
           out three conditions which must be met for
           admission of the statement. There must be a
           startling event or condition, the statement must
           relate to the circumstances of the occurrence and
           the statement must be made before time has
           elapsed sufficient for the declarant to fabricate.
           The statement must be the apparently
           spontaneous product of that occurrence operating
           upon the visual, auditory, or other perceptive
           sense of the speaker. The declaration must be
           instinctive rather than deliberative. In short, it
           must be the reflex product of the immediate
           sensual impressions, unaided by retrospective
           mental action. Whether a statement qualifies as
           an excited utterance is a preliminary and
           discretionary question for the trial court." '

     "A.C.M. v. State, 855 So. 2d 571, 575 (Ala. Crim. App. 2002)
     (quoting Charles W. Gamble, McElroy's Alabama Evidence
     265.01(1) (5th ed. 1996) (footnotes omitted)). "

Jackson, 305 So. 3d at 471-72.      " 'The critical factor [in determining

whether a statement qualifies as an excited utterance] is whether the

person who made the statement is still under the influence of the

emotions arising from the startling event.' " Ex parte C.L.Y., 928 So. 2d

1069, 1072-73 (Ala. 2005) (quoting Charles W. Gamble, McElroy's

Alabama Evidence § 265.01(2) (5th ed. 1996)).

     Hale was present when Morris was shot but could not identify the

shooter. However, when he heard the initial shot, Hale ran back into his

                                    51
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house to retrieve his gun, and, when he came back outside, "there was

people … firing toward down the street." (R. 193.) According to Hale,

those people were "amped up" and "very mad" (R. 197) and were "saying

it was [Flynn] … who shot [Morris]." (R. 198.) Hale also testified that

those events occurred within the span of "two [or] three minutes." (R.

196.) Thus, the record clearly supports the conclusion that the declarants

were "still under the influence of the emotions arising from [a] startling

event" when they told Hale that Flynn had shot Morris – a statement

that was directly related to the startling event. Ex parte C.L.Y., 928 So.

2d at 1072-73 (citation omitted). Accordingly, the declarants' statements

fit within the excited-utterance exception to the rule against hearsay and

were therefore admissible. See Jackson v. State, 177 So. 3d 911, 931 (Ala.

Crim. App. 2014) (holding that the declarant's statement constituted an

excited utterance because it occurred less than five minutes after he had

been involved in a startling event, he appeared to be "frantic" and

"excited" at time of the statement, and the statement was "directly

related to the" startling event).

     Webster was not present when Morris was shot, but he heard the

shooting from his house approximately three blocks away. According to

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Morris, "within two or three minutes after [he] heard the gunshots," two

of his family members telephoned him, and they were "upset" and

"worked up." (R. 248-49.) Before allowing the State to ask Webster what

those family members had told him, the trial court asked Webster if the

declarants were "at the scene," and Webster testified that they were. (R.

249.) The trial court then allowed the State to elicit Webster's testimony

that the two family members had told him that Flynn shot Morris. Thus,

at the time the trial court admitted those statements into evidence, the

facts indicated that the statements were admissible under the excited-

utterance exception to the rule against hearsay because they were

directly related to a startling event and had been made by declarants who

were "still under the influence of the emotions arising from the startling

event." Ex parte C.L.Y., 928 So. 2d at 1072-73 (citation omitted).

     Flynn correctly notes that, on cross-examination, Webster testified

that the family members who had telephoned him were not present when

Morris was murdered; rather, they had merely told him what some

unidentified declarant or declarants had told them. (R. 261.) It is not

clear whether Alabama law allows an excited utterance to stem from

what the declarant merely heard about a startling event, but we need not

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make that determination in this case. As we have just explained, at the

time the trial court admitted the challenged statements into evidence,

the facts before the court indicated that the statements fit within the

excited-utterance exception to the rule against hearsay. Thus, the trial

court's ruling was not erroneous, and, when Webster later clarified that

his family members were not present when the crime occurred, Flynn did

not move to strike their statements from evidence.         Once allegedly

inadmissible testimony has been admitted, a challenge to that testimony

is not preserved for appellate review unless the defendant moves to strike

the testimony and obtains an adverse ruling from the trial court. Glass

v. State, 14 So. 3d 188, 194 (Ala. Crim. App. 2008). Accordingly, there is

no basis for holding the trial court in error for admitting Webster's family

members' statements. Moreover, those statements were cumulative of

the statements made by the declarants at Hale's party, and the " '[t]he

erroneous admission of evidence that is merely cumulative is harmless

error.' " Gobble v. State, 104 So. 3d 920, 959 (Ala. Crim. App. 2010)

(quoting Dawson v. State, 675 So. 2d 897, 900 (Ala. Crim. App. 1995)).

Therefore, even if Webster's family members' statements were

inadmissible, their admission does not entitle Flynn to relief.

                                    54
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                           IV. Jury Instruction

     Flynn claims that the trial court erred by giving the following jury

instruction, which the State requested:

           "Any act proving or tending to prove an effort or desire
     on the part of the defendant to destroy evidence of a crime is
     relevant. From such evidence, if unexplained, the jury may
     justly infer a consciousness of guilt."

(R. 565-66.) In reviewing this claim, we keep in mind that a trial court

" 'has broad discretion in formulating its jury instructions, provided those

instructions accurately reflect the law and the facts of the case.' " Floyd,

289 So. 3d at 438 (quoting Pressley v. State, 770 So. 2d 115, 139 (Ala.

Crim. App. 1999)).

     Flynn argues that the State's requested instruction was improper

because, he says, there was no evidence indicating that he had destroyed

evidence of the crime, and he argues that "a presumption of destruction

cannot arise from the mere fact that a weapon was not found." (Flynn's

brief, p. 64.) However, the State's evidence indicated that Flynn shot

Morris at Hale's party; that Flynn was observed leaving the crime scene

with a gun; that, shortly thereafter, Flynn went to Webster's house,

which was only a few blocks from the murder scene; and that Flynn was

not in possession of a gun at that time. Though circumstantial, that

                                    55
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evidence supported an inference that Flynn had disposed of the murder

weapon – an inference that is strengthened by Flynn's statements that

he would not surrender himself to the police and that the police were

"going to have to catch [him]." Thus, we cannot say that the trial court

exceeded its discretion by instructing the jury that it could infer Flynn's

consciousness of guilt if it found that he had destroyed evidence of the

crime.

     Furthermore, any error in giving that instruction does not entitle

Flynn to relief. This Court has explained that " 'faulty jury instructions

are subject to harmless error review.' " Bohannon, 222 So. 3d at 510

(quoting State v. Williams, 364 Wis. 2d 126, 149, 867, N.W.2d 736, 746

(2015)). "In order to determine that an error in jury instructions was

harmless, this Court considers the totality of the circumstances and must

be able to conclude beyond a reasonable doubt that the jury's verdict

would have been the same even if the … instruction had [not] been given."

Darby v. State, [Ms. CR-20-0919, March 24, 2023] ___ So. 3d ___, ___ (Ala.

Crim. App. 2023). See Simmons v. State, 797 So. 2d 1134, 1173 (Ala.

Crim. App. 1999) (holding that any error in the trial court's jury

                                    56
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instruction was harmless because there was "no doubt that had the jury

been instructed properly, it would still have returned" the same verdict).

     The evidence against Flynn was overwhelming. Multiple people at

Hale's party stated that they saw Flynn shoot Morris, and Flynn

admitted to two different people that he had shot Morris. Given that

evidence, it would be incredible to conclude that the jury's verdict hinged

on a finding that Flynn had destroyed evidence of the crime. Thus, this

Court is convinced that the jury would have returned the same verdict

even if the trial court had not explained that a defendant's destruction of

evidence could be construed as consciousness of his guilt. Accordingly,

any error in giving that instruction was harmless and therefore does not

entitle Flynn to relief. See Ex parte T.D.T., 745 So. 2d 899, 904 (Ala.

1999) (holding that any error in the trial court's instructions did not "call

into question the jury's verdict" because the evidence against the

defendant was overwhelming).

                                Conclusion

     Flynn has not demonstrated that any reversible error occurred in

his trial. Thus, Flynn's conviction and sentence are affirmed.

     AFFIRMED.

                                     57
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      Windom, P.J., and Kellum and Minor, JJ., concur. Cole, J., concurs

in the result.

                                   58