Court Opinion

ID: 5131175
Source: CourtListenerOpinion
Date Created: 2021-12-02 21:13:55.361181+00
Date Added: 2024-06-11T08:23:21.858475
License: Public Domain

COMMITTEE ON RULES OF EVIDENCE
                               ADOPTION REPORT

                              Amendment of Pa.R.E. 404(b)

      On December 2, 2021, the Supreme Court amended Pennsylvania Rule of
Evidence 404 concerning the prosecutor’s notice of intended use of evidence of other
crimes, wrongs, or acts in criminal cases. The Committee on Rules of Evidence has
prepared this Adoption Report describing the rulemaking process. An Adoption Report
should not be confused with Comments to the rules. See Pa.R.J.A. 103, Comment. The
statements contained herein are those of the Committee, not the Court.

       Effective December 1, 2020, Federal Rule of Evidence 404(b) was amended to
primarily impose additional notice requirements on the prosecution in criminal cases when
evidence of other crimes, wrongs, or acts, i.e., “prior bad acts,” is sought to be introduced.
The amendment changed the title of the rule, the title to paragraph (b), and the rule text
of paragraph (b)(1).

        F.R.E. 404 was also amended to create a new paragraph (b)(3) to require the
prosecutor to give the defendant pretrial written notice describing the specific act and
explaining the relevance of the prior bad act for a non-propensity purpose. This is
heightened from the previous requirement that the defendant request notice from the
prosecutor and for the notice to be of the general nature of the evidence. New paragraph
(b)(3) also provides a good cause exception for the pretrial written notice requirement.

        The Committee considered the merits of the amendment of F.R.E. 404(b), as they
may now differ from Pa.R.E. 404(b). Currently Pa.R.E. 404(b)(3) requires pretrial notice
to the defendant, but is silent on whether the notice must be in writing. See, e.g.,
Commonwealth v. Mawhinney, 915 A.2d 107 (Pa. Super. 2006) (no requirement under
Pa.R.E. 404(b) that notice be in writing). Further, the notice must be of the general nature
of the prior bad act, which is ostensibly less detail than will be required by amended F.R.E.
404(b)(3).

         The Committee believed there was merit in requiring notice from the prosecutor to
be in writing, as well as the notice containing additional information, i.e., the nature,
purpose, and reason for the evidence. Such a requirement appeared reasonable, fair to
the defendant, and would not unduly burden the prosecution. These changes would
facilitate pretrial resolution of contested issues rather than deciding them midtrial.
Secondarily, the Committee believed there was benefit in having Pa.R.E. 404(b) aligned,
to the extent practicable, in its requirements as F.R.E. 404(b).

        Paragraph (b)(3)(B) of the federal rule requires the prosecutor to “articulate in the
notice the permitted purpose for which the prosecutor intends to offer the evidence and
the reasoning that supports the purpose.” The Committee favored the additional content,
but believed the requirements could be more succinctly stated within the confines of the
existing rule.

       Accordingly, the Committee proposed amending the rule’s titles and making other
non-substantive changes, as well as amending Pa.R.E. 403(b)(3) to require written notice
of the specific nature of the other crime, wrong, or act, the permitted use of the evidence
under paragraph (b)(2), and the reasoning for its use. This proposal was published for
comment at 50 Pa.B. 7275 (December 26, 2020); three comments were received.

        One respondent supported the proposed amendments and suggested further
revisions to paragraph (b)(2) (Permitted Uses), believing that the “other purpose”
exception was not being applied with rigor and, as a result, propensity evidence was being
admitted for non-specific purposes. The Committee considered this point and concluded
that any changes to paragraph (b)(2) would be outside the scope of the proposed
rulemaking. The Committee will continue to monitor the case law regarding application
of this exception and propose future rulemaking if warranted.

      Another respondent endorsed the proposal, contending that it imposed a minimal
burden on the prosecution because the prosecution would be required to disclose the
same information when seeking the introduction of prior bad acts at trial.

       The final respondent supported the proposal because it would avoid any ambiguity
as to the reason for using this evidence and should decrease trial disruptions through
greater use of motions in limine. The respondent also suggested that the “good cause”
exception for written pretrial notice in paragraph (b)(3) be clarified or removed, contending
that the exception could swallow the rule and eliminate any benefit provided by a written
notice requirement.

         Preliminarily, the Committee noted that the good cause exception currently exists
in the rule, but reconsidered recommending its retention in the amended rule. One
perspective was that the prosecutor should have possessed sufficient evidence prior to
trial to proceed. Evidence of prior bad acts discovered during the course of trial should
not be necessary if the prosecutor believed there was sufficient evidence to obtain a
conviction prior to trial. Hence, any additional evidence of prior bad acts discovered
during trial would likely be cumulative of what the prosecutor already possessed to prove
guilt. Therefore, there is no need for a good cause exception.

       In contrast, a good cause exception accommodates instances where a witness at
trial may unexpectedly mention a prior bad act. Obviously, where the prior bad act is a
matter of public record, e.g., criminal conviction, professional license revocation, then little
good cause would exist to excuse a lack of due diligence prior to trial. However, there
are occasions where the acts are not public and only learned through witness testimony,

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especially those involving children who reveal information over the course of time,
including at trial. Further, the trial judge can determine whether good cause exists based
upon the facts of the case. Ultimately, the Committee favored retaining the good cause
exception and relying upon the exercise of judicial discretion.

       The respondent also expressed concern that the use of prior bad act evidence is
so prejudicial to the defense that cautionary instructions are often ineffective. Jurors may
use that evidence for propensity purposes notwithstanding instructions from the judge.

       The Committee does not disagree with the prejudicial effect of prior bad acts
evidence and the risk that it will be used for propensity purposes. Pa.R.E. 404(b)(2)
requires the rejection of evidence of prior bad acts in criminal cases when the prejudicial
effect outweighs the probative value. This is a lesser standard than applicable to F.R.E.
404(b), which requires rejection when the prejudicial effect substantially outweighs the
probative value. See F.R.E. 403. As indicated in the Comment to Pa.R.E. 404(b)(2),
Pennsylvania case law permits the judge to consider giving a cautionary instruction to
mitigate the potential for prejudice. See, e.g., Commonwealth v. LaCava, 666 A.2d 221
(Pa. 1995) (“Moreover, the possible prejudicial effect of a reference to a defendant’s prior
criminal conduct may, under certain circumstances, be removed by an immediate
cautionary instruction to the jury.”). However, nothing in the rule suggests that all potential
for prejudice can be eliminated with jury instructions. That determination is left to the
discretion of the judge. As such, the rule contemplates there may be instances where
instructions are insufficient to overcome the potential for prejudice. Relatedly,
Pennsylvania law presumes that juries follow the trial court’s instructions. See, e.g.,
Commonwealth v. Jones, 668 A.2d 491, 503-504 (Pa. 1995).

      Post-publication, paragraph (b)(3) was revised to include the phrase, “so that the
defendant has a fair opportunity to meet it.” This phrase is presently contained in F.R.E.
404(b)(3)(A) and would establish a temporal requirement for the written notice of prior
bad acts, measured not by a unit of time, but determined by whether the notice provides
an adequate amount of time to oppose its admission. The phrase is also found in Pa.R.E.
609(b)(2) and 902(11).

       Relatedly, the Comment was revised to expound on what is a sufficient amount of
time to oppose the admission of prior bad acts, the proponent’s ability to be excused from
the pretrial requirement for good cause, and remedial efforts when good cause exists.
This language is based upon similar commentary from the federal rule counterpart and
conformed to Pennsylvania practice. A citation to Commonwealth v. Hicks, 91 A.3d 47,
53-55 (Pa. 2014) was included for the notion that the admissibility of such evidence may
not be determined prior to trial.

       This amendment becomes effective April 1, 2022.

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