Court Opinion

ID: 3171635
Source: CourtListenerOpinion
Date Created: 2016-01-22 22:03:35.028822+00
Date Added: 2024-06-11T11:58:25.706219
License: Public Domain

Filed 1/22/16 P. v. Asher CA4/3

                      NOT TO BE PUBLISHED IN OFFICIAL REPORTS
California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
publication or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified for publication
or ordered published for purposes of rule 8.1115.

              IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA

                                     FOURTH APPELLATE DISTRICT

                                                DIVISION THREE

THE PEOPLE,

     Plaintiff and Respondent,                                         G050231

         v.                                                            (Super. Ct. No. FVAFS020545)

JOHN ASHER,                                                            OPINION

     Defendant and Appellant.

                   Appeal from a judgment of the Superior Court of San Bernardino County,
James M. Dorr, Judge. (Retired Judge of the San Bernardino Sup. Ct. assigned by the
Chief Justice pursuant to art. VI, § 6 of the Cal. Const.) Remanded for further
proceedings.
                   Rudy Kraft, under appointment by the Court of Appeal, for Defendant and
Appellant.
                   Kamala D. Harris, Attorney General, Gerald A. Engler, Chief Assistant
Attorney General, Julie L. Garland, Assistant Attorney General, Peter Quon, Jr., Randy
Einhorn and Susan Miller, Deputy Attorneys General, for Plaintiff and Respondent.
              Appellant John Asher was committed to a mental hospital after a jury found
he was a sexually violent predator (SVP). He claims the state’s commitment petition was
untimely, evidentiary error tainted his trial and the Legislature’s failure to accord SVP’s
their constitutional right against self-incrimination violates equal protection. While we
reject appellant’s timeliness and evidentiary arguments, his equal protection claim may
have merit. We remand the matter for an evidentiary hearing on that issue.
                                          FACTS
              Appellant has a long history of sexual misconduct. In 1976, when he was
16 years old, he spent time in juvenile hall for fondling a 12-year-old girl. Two years
later, he moved in with a 16-year-old girl and got her pregnant. They were married for a
couple of years but separated due to mutual infidelity. The nature of the infidelity is not
revealed in the record, but while appellant was married to his second wife in the early
1980’s, he had sexual relations with a 15-year-old girl who lived in their neighborhood.
Appellant was charged with raping the girl, but before trial he pleaded guilty to unlawful
sexual intercourse and was given probation. It was around this time that appellant started
using methamphetamine on a regular basis.
              In 1987, at the age of 26, appellant was accused of molesting three girls,
including a toddler of 19 months. He was also convicted of committing a lewd act
against eight-year-old Jill C. After spending a year in jail for that offense, he was placed
on five years’ probation.
              While on probation, appellant became involved with a woman named L.C.,
who had two daughters, age 14 and 3. One day, L.C. caught appellant orally copulating
the three-year-old in the living room. When she asked appellant what he was doing, he
said, “I don’t know. I can’t handle it. I can’t stop.” Appellant also tried to molest the
older daughter on multiple occasions. And he was accused of inappropriately touching
his niece when she was nine years old. His probation was revoked and he was sent to
prison for three years.

                                             2
              Released in 1995, appellant met Misty F. and promptly began molesting her
six-year-old daughter A. Appellant not only forced A. to orally copulate him on
numerous occasions, he digitally penetrated her whenever they were alone. The
molestation lasted about two years before appellant was arrested, convicted of lewd
conduct with a minor and sentenced to six years in prison. Appellant was scheduled to be
released on September 3, 2003, but his incarceration was extended eight days to allow the
state to file a petition to have him committed as a SVP. He was then transferred to a state
mental hospital pending trial, which commenced in 2013.
              At trial, the prosecution called appellant as a witness, and he testified at
length about his relationship with the victims and his alleged sexual misconduct. While
disputing some of the allegations and downplaying others, he admitted molesting some of
the victims and getting sexually aroused in the process, although he insisted he “never
had sexual urges for children.” He surmised some of his misconduct stemmed from
anger and frustration, and he apologized for any harm he caused his victims.
              State psychologists Douglas Korpi and Jack Vognsen testified they
evaluated appellant before trial to determine whether he meets the criteria for
commitment as an SVP. Korpi diagnosed appellant with pedophilia and amphetamine
dependency, and Vognsen believes he suffers from paraphilia, not otherwise specified.
They both opined appellant is a danger to the public and would likely reoffend if he were
released into the community.
              Defense experts Christopher Fisher and Mary Adams had a different take
on appellant. They felt his problems stemmed mostly from substance abuse, and because
appellant was sober and well behaved during his pretrial confinement, they did not
believe he was likely to reoffend. The jury disagreed. They decided appellant was an
SVP, and the trial court committed him to a state mental hospital for an indeterminate
term.

                                              3
                                                   DISCUSSION
                                     Timeliness of Commitment Petition
                   Appellant argues reversal is required because the state’s petition to have
him committed was not filed until eight days after he was originally scheduled to be
released from prison. We disagree. Although appellant was not in lawful custody when
the petition was filed, the record shows this was due to a good faith mistake of law.
Therefore, reversal is not required.1
                   Under the Sexually Violent Predators Act (SVPA), inmates who
demonstrate a proclivity toward sexually violent behavior may be involuntarily
committed to a mental hospital following the completion of their prison term. (Welf. &
Inst. Code, §§ 6600 et seq.)2 To justify a commitment, the state must show: 1) the
inmate has been convicted of a sexually violent offense against one or more victims;
2) he has a diagnosed mental disorder; and 3) because of that disorder, he would likely
engage in sexually violent criminal behavior if released. (§ 6600, subd. (a)(1); Hubbart
v. Superior Court (1999) 19 Cal. 4th 1138, 1142-1144.)
                   The statutory and regulatory framework governing the administrative
commitment process is fairly complicated. As our Supreme Court explained in In re
Lucas (2012) 53 Cal. 4th 839 (Lucas), “The process begins when the Secretary of the
Department of Corrections and Rehabilitation (DCR) determines that a person in custody
because of a determinate prison sentence or parole revocation may be a sexually violent
predator. If such an initial determination is made, the secretary refers the inmate for an
evaluation. . . . (§ 6601, subd. (a)(1).)
                   “After the secretary’s referral, the inmate is screened by the DCR and the
Board [of Parole Hearings] to determine whether the person is likely to be an SVP. If the

           1       Appellant arguably forfeited his right to raise the timeliness issue on appeal by failing to raise it in
the trial court. (See People v. Williams (1999) 77 Cal. App. 4th 436.) However, we will consider the issue to
foreclose the possibility of seeing it resurface in a petition for writ of habeas corpus. (Id. at p. 462.)
           2       Unless noted otherwise, all further statutory references are to the Welfare and Institutions Code.

                                                             4
DCR and the Board conclude that is the case, the inmate is referred for full evaluation by
the State Department of Mental Health (DMH). (§ 6601, subd. (b).)
              “A full evaluation is done by two practicing psychiatrists or psychologists,
or by one of each profession. (§ 6601, subd. (d).) . . . A petition for commitment may
not be requested unless the initial two evaluators . . . or . . . two independent evaluators
. . . agree that the inmate meets the commitment criteria. (§ 6601, subds. (d)(f).)
              “If, after the full evaluation is completed, the DMH concludes that the
inmate is an SVP, the director of the DMH requests that a petition for commitment be
filed by the district attorney or the county counsel of the county where the inmate was
convicted. If upon review that official concurs, a petition for commitment is filed in the
superior court. (§ 6601, subds. (h), (i).)” (Lucas, supra, 53 Cal.4th at pp. 845-846.)
              In Lucas, the court emphasized that an SVP petition “must be filed while
the inmate is in lawful custody.” (Lucas, supra, 53 Cal.4th at p. 844, italics added.)
While the period of lawful custody generally extends only up until the inmate’s release
date, section 6601.3 authorizes an inmate to be held for 45 days beyond that date if good
cause is shown. (§ 6601.3, subd. (a).) In addition, California Code of Regulations, title
15, section 2600.1 (regulation 2600.1) authorizes the Board to issue a three-day hold
when “there is not enough time before the inmate’s release date for the Board to make the
‘good cause’ determination required for a 45-day hold.” (Lucas, supra, 53 Cal.4th at p.
855; see Reg. 2600.1, subd. (a).) Regulation 2600.1 “is a safety valve that allows an
extra three days when exceptional circumstances have precluded ‘an earlier evaluation
[of] the person pursuant to section 6601 . . . .’” (Lucas, supra, 53 Cal.4th at p. 855.)
              Based on the foregoing, “It is apparent that the [administrative
commitment] process has a number of steps and may take some considerable time to
complete.” (Lucas, supra, 53 Cal.4th at p. 846.) In fact, the complexity of the process
has led the Legislature to address the issue of good faith compliance with the statutory
requirements. Specifically, section 6601, subdivision (a)(2), provides, “A petition shall

                                              5
not be dismissed on the basis of a later judicial or administrative determination that the
individual’s custody was unlawful, if the unlawful custody was the result of a good faith
mistake of fact or law.”
                  Lucas relied on this good faith provision in upholding the commitments at
issue in that case. There, the Board obtained 45-day holds on a pair of inmates so they
could undergo full psychological evaluations by the DMH. (Lucas, supra, 53 Cal.4th at
pp. 846-848.) Although this resulted in the ensuing SVP petitions being filed after the
inmates’ scheduled release dates, the Board argued the delay was authorized by section
6601.3. As noted above, that provision allows for a 45-day hold upon a showing of good
cause. However, at the time the petitions in Lucas were filed, in 2008, the statute did not
define good cause. The statutory void was filled by regulation 2600.1, which defined
good cause “in terms of the inmate’s potential to satisfy the SVP criteria.” (Id. at p. 844;
see Reg. 2600.1, subd. (d).) In other words, the regulation justified a 45-day hold so long
as there was probable cause to believe the inmate was a SVP. That was a problem,
though, because it did not require the Board to explain why a delay was needed. Because
the definition was unrelated “to the need for an extension beyond the scheduled release
date” Lucas found that aspect of the regulation to be invalid. (Ibid.)3
                  Nonetheless, Lucas refused to blame the Board for failing to anticipate its
holding. Even though the Board employed an erroneous standard of good cause in
extending the inmates’ custody, the court found dismissal unwarranted due to the lack of
negligent or intentional wrongdoing. Because the Board had simply relied on the
standard of good faith set forth in regulation 2600.1, which no previous judicial decision

         3         In 2010, section 6601.3 was amended to address this deficiency. As amended, that section states
“good cause means circumstances where there is a recalculation of credits or a restoration of denied or lost credits, a
resentencing by a court, the receipt of the prisoner into custody, or equivalent exigent circumstances which result in
there being less than 45 days prior to the person’s scheduled release date for the full evaluation described in
subdivisions (c) to (i), inclusive, of [s]ection 6601.” (§ 6601.3, subd. (b).)

                                                           6
had questioned, the court excused its actions as a good faith mistake of law. (Lucas,
supra, 53 Cal.4th at pp. 852-858.)
                  In the present case, appellant was originally scheduled to be released from
custody on September 3, 2003. However, following the DMH’s evaluation of appellant
in August of that year, the Board imposed a three-day hold on August 27.4 Issued
pursuant to regulation 2600.1, the hold was intended to apply from September 3 to
September 8, to account for an intervening weekend. On September 8, the Board held a
hearing and determined there was probable cause to believe appellant was a SVP.
Therefore, it placed a 45-day hold on him under section 6601.3. As it turned out, the
petition to have appellant committed was filed just three days later, on September 11,
2003.
                  Appellant contends his three-day hold and his 45-day hold were invalid,
and therefore he was not in lawful custody when the state filed its petition to have him
committed. He also contends the good faith rule invoked in Lucas is inapplicable in his
case. As we now explain, appellant is right about the validity of his holds, but he is
wrong about the good faith rule.
                  When this case arose in 2003, the requisite standard to obtain a three-day
hold under regulation 2600.1 was probable cause. (See Lucas, supra, 53 Cal.4th at pp.
857-859.) As the Lucas court explained, that standard is deficient because it is geared
toward the inmate’s propensity for future sexual misconduct, as opposed to any actual
need for the hold. “To allow the Board to place a . . . hold without a showing that more
time is legitimately required to complete an evaluation would deny an inmate
. . . important liberty interests, and undermine the balance among competing interests the
Legislature sought to achieve.” (Id. at p. 851.)

        4        We grant appellant’s request to judicially notice the administrative records reflecting how his case
was handled. (Evid. Code, § 452, subd. (c); Taiheiyo Cement U.S.A., Inc. v. Franchise Tax Bd. (2012) 204
Cal. App. 4th 254, 268, fn. 5.)

                                                          7
              Therefore, the three-day hold placed on appellant pursuant to regulation
2600.1 on August 27, 2003 was invalid. And, for the same reason, so was the 45-day
hold the Board issued under section 6601.3 on September 8, 2003. In fact, this aspect of
the case falls squarely within the holding of the Lucas decision. (See Lucas, supra, 53
Cal.4th at pp. 849-852.) Consequently, appellant was not in lawful custody when the
state petitioned to have him committed on September 11, 2003.
              That brings us to the issue of good faith. In arguing lack of good faith,
appellant points out that, unlike the situation in Lucas, where more time was needed for
the inmates to undergo psychological evaluations by the DMH, his psychological
evaluations were conducted by the DMH in August 2003, before the Board sought to
extend his release date. While appellant recognizes a hold may have been needed to
allow the district attorney additional time to evaluate his situation and determine whether
to file a SVP petition against him, he insists the statutory framework does not
contemplate an extension for this reason. However, both section 6601.3, the 45-day hold
provision, and regulation 2600.1, the three-day hold provision, recognize a time
extension may be required to conduct a “full evaluation pursuant to subdivisions (c) to
(i)” of section 6601. (§ 6601.3, subd. (a); regulation 2600.1, subd. (a).) Because the
authorization for review by the district attorney is set forth in subdivisions (h) and (i) of
section 6601, and because such review is a necessary component of the evaluation
process, it was not unreasonable for the Board to seek a time extension to facilitate such
review. (See Lucas, supra, 53 Cal.4th at p. 840 [recognizing section 6601.3 was
designed to permit an extension of confinement beyond the inmate’s scheduled release
date to “complete the evaluation required to support a commitment petition.”]
              Appellant also argues good faith is lacking because the declaration of the
deputy district attorney who filed the commitment petition was signed on September 2,
2003. Appellant asserts, “There was no reason the district attorney could not have filed
the petition on September 2 or 3,” i.e., without seeking to extend his release date.

                                               8
However, by that time, the three-day hold had already been issued, and it was soon
followed up by the 45-day hold. Under these circumstances, the deputy district attorney
had no reason to believe time was of the essence in terms of filing the petition. We
cannot fault the deputy district attorney for relying on the Board’s actions in deciding
when to file the petition. Because she filed it before the 45-day hold expired, her actions
were covered by the good faith exception. Thus, even though the petition was not filed
until eight days after appellant was originally scheduled to be released, and he was not in
lawful custody at that time, we find the Board’s (and counsel’s) reliance on the applicable
statutes and regulations constituted an excusable good faith mistake of law. Therefore,
the timing of the petition is not cause for reversal.
                                   Victim Impact Evidence
              Appellant contends the trial court prejudicially erred in allowing the
prosecution to elicit evidence regarding the impact his conduct had on his victims.
Again, we disagree.
              During the trial, there was evidence some of the victims have suffered
severe anxiety as a result of the sexual abuse appellant subjected them to. Bedwetting,
insomnia, nightmares, lack of trust and suicidal thoughts were also mentioned as
consequences of the abuse. The trial court determined this evidence was relevant to the
extent it may have affected appellant’s decision-making process. For example, if
appellant was aware of but dismissed the consequences of his predatory behavior, that
would arguably make him a greater threat to reoffend. As it turned out, when appellant
was asked at trial if he knew six-year-old A. was wetting the bed around the time he was
molesting her, he said he knew of the problem but did not think it had anything to do with
him.
              Although it’s a close call and we find it difficult to fault the trial court’s
resolution of it, we do not believe this was a proper area of inquiry. While appellant’s
awareness of the consequences of his behavior arguably had a bearing on his future

                                               9
dangerousness, it is widely known that predatory sexual behavior is intrinsically harmful,
and there was no evidence appellant was unaware of this fundamental truth. To the
contrary, he implicitly acknowledged it at trial by apologizing for his behavior. Thus, the
victim impact evidence did little to further the jury’s understanding of the case. The
emotionally-packed evidence was simply not sufficiently probative to justify the risk it
entailed in terms of prejudicing or misleading the jury. (Evid. Code, § 352.)
                Still, the erroneous admission of evidence does not require reversal unless it
is reasonably probable the aggrieved party would have achieved a more favorable result
had the subject evidence been excluded. (People v. Richardson (2008) 43 Cal. 4th 959,
1001; People v. Watson (1956) 46 Cal. 2d 818.) Here, the jury heard extensive and
detailed evidence about the numerous sex crimes appellant committed against his victims,
some of whom were very young. Given the graphic nature of this evidence, which was
properly admitted, there was little danger the victim impact evidence had any effect on
the jury’s decision. Moreover, as the trial court properly recognized, no reasonable
person would be surprised to hear appellant’s victims suffered adverse psychological
consequences as a result of what they were forced to endure. Thus, admission of the
victim impact evidence is not cause for reversal. The evidence did not violate due
process or render appellant’s trial fundamentally unfair.
                            Support Persons for Victim Witnesses
                Appellant also contends the court prejudicially erred by allowing some of
the victims to testify with the aid of a support person. Here, we cannot fault the trial
court at all.
                All told, the jury heard testimony from six of appellant’s victims. Over
appellant’s objection, two of the victims – Jill and A. – were accompanied at the witness
stand by a support person. When the support person appeared for Jill, the trial court
instructed the jury, “This witness has a support person that’s sitting with her. The law

                                              10
allows that and that is acceptable. They are not going to be communicating with each
other in any way.” No such instruction was given when A. testified.
              Penal Code section 868.5, subdivision (a) provides, “Notwithstanding any
other law, a prosecuting witness in a case involving . . . [child sex crimes] shall be
entitled, for support, to the attendance of up to two persons of his or her own choosing,
one of whom may be a witness, at the preliminary hearing and at the trial, or at a juvenile
court proceeding, during the testimony of the prosecuting witness.”
              Seizing on the term “prosecuting witness,” appellant argues this provision
does not apply to SVP proceedings because they are civil in nature. Indeed, just because
SVP “proceedings include many of the procedural protections afforded in criminal cases,
. . . [that] ‘does not transform [them] into a criminal prosecution.’ [Citations.]” (People
v. Allen (2008) 44 Cal. 4th 843, 861.) On the other hand, SVP proceedings are certainly
related to criminal matters, and no one would dispute the rationale for allowing support
persons in criminal cases, which is to minimize the trauma to witnesses who have
suffered sexual abuse (People v. Kabonic (1986) 177 Cal. App. 3d 487, 495), applies
equally in SVP trials. However, we need not decide whether Penal Code section 868.5
applies in SVP proceedings because any error in allowing Jill and A. to testify with the
aid of a support person was harmless under any standard of review.
              In arguing otherwise, appellant notes the trial court failed to make an
express finding that Jill and A. actually needed a support person. However, it is doubtful
such a finding was required because appellant was allowed to confront both of them face-
to-face in the courtroom. (See People v. Lord (1994) 30 Cal. App. 4th 1718, 1721-1722,
distinguishing Maryland v. Craig (1990) 497 U.S. 836 and Coy v. Iowa (1988) 487 U.S.
1012, on that basis; accord, People v. Johns (1997) 56 Cal. App. 4th 550, 553-556; but see
People v. Adams (1993) 19 Cal. App. 4th 412, which ruled the trial court must make an
express finding of need whenever a witness support person is requested.)

                                             11
                  Appellant also insists, “Seeing two victims with support persons, the jury
could not help but feel that the judge was emphasizing both the current dangerousness of
appellant and the ongoing adverse effects suffered by the victims due to appellant’s past
conduct.” But this is pure speculation. There is nothing in the record to suggest the
support persons’ presence had any effect on the trial above and beyond that inherent in
the statutory provision. And as our Supreme Court has pointed out, “[N]o decision
supports the proposition that [appellant] advances here, that the support person’s mere
presence infringes his due process and confrontation clause rights.” (People v. Myles
(2012) 53 Cal. 4th 1181, 1214.)
                  Moreover, the jury was instructed to base its decision solely on the
evidence received at trial and not be swayed by sympathy or prejudice. (See CALCRIM
No. 200.) Because “the record does not disclose any circumstances indicating that [Jill or
A.’s] support person improperly influenced the jury’s assessment of [their] testimony”
(People v. Myles, supra, 53 Cal.4th at p. 1214), we reject appellant’s claim of prejudice.
(Ibid.; accord, People v. Spence (2012) 212 Cal. App. 4th 478, 517-518.) He has failed to
prove he was harmed by the support persons’ presence at trial.5
                              Appellant’s Right Against Self-Incrimination
                  That brings us to appellant’s final claim. He asserts the SVPA violates
equal protection because, unlike the commitment scheme for persons who are found not
guilty by reason of insanity (NGI’s), it does not afford prospective SVP committees all of
the rights that are guaranteed in criminal trials. Consequently, when the prosecution
called appellant to testify at trial, he did not assert his constitutional right against self-
incrimination. We agree with appellant that this disparity in treatment between SVP’s

          5        Appellant has also failed to prove cumulative error compels reversal. The two evidentiary issues
he raises – regarding the introduction of victim impact evidence and the allowance of support persons – constituted a
very small part of a trial that lasted several weeks and that turned not on the credibility of appellant’s victims but the
persuasiveness of the parties’ expert witnesses.

                                                           12
and NGI’s may run afoul of equal protection principles. Therefore, we will remand the
matter for further proceedings on this issue.
              As we have noted, SVP proceedings are civil, not criminal, in nature.
(People v. Allen, supra, 44 Cal.4th at p. 860.) Consequently, the Fifth Amendment right
against self-incrimination does not, in and of itself, apply to such proceedings. (Ibid.)
However, like any group of civil committees, SVP’s do have the right to equal protection
under the law. Indeed, “[d]ecisions by [the California Supreme Court] and the United
States Supreme Court . . . have [long] used the equal protection clause to police civil
commitment statutes to ensure that a particular group of civil committees is not unfairly
or arbitrarily subjected to greater burdens. [Citations.]” (People v. McKee (2010) 47
Cal. 4th 1172, 1199 (McKee).)
              Although commitment proceedings are civil, the Legislature has
determined NGI’s “shall be entitled to the rights guaranteed under the federal and State
Constitutions for criminal proceedings.” (Pen. Code, § 1026.5, subd. (b)(7).) By virtue
of this incorporation clause, NGI’s have the right not to testify when the state seeks to
have them committed beyond the maximum length of their underlying offense. (Hudec v.
Superior Court (2015) 60 Cal. 4th 815.) In contrast, the SVPA does not contain such an
incorporation clause. Therefore, unlike NGI’s, SVP’s do not have a statutory right
against self-incrimination. The question of whether this disparate treatment violates
equal protection was recently addressed in the case of People v. Curlee (2015) 237
Cal. App. 4th 709 (Curlee).
              Curlee recognized that a necessary prerequisite to a valid equal protection
claim is that the groups being compared must be “similarly situated” with respect to the
particular right in question. (Curlee, supra, 237 Cal.App.4th at p. 720.) After reviewing
McKee, which determined SVP’s were similarly situated to NGI’s with respect to the
burden of proof and length of their commitments, the Curlee court concluded SVP’s were
similarly situated to NGI’s for purposes of the right against self-incrimination. Curlee

                                                13
reasoned, “Both groups have committed a criminal act and have been found to suffer
from a mental condition that might present a danger to others. [Citation.] At the end of
the SVP’s prison term, and at the end of the term for which an NGI could have been
imprisoned, each is committed to the state hospital for treatment if, at the end of that
period, the district attorney proves in a jury trial beyond a reasonable doubt that the
person presents a danger to others as a result of a mental disease, defect, or disorder.
[Citations.] The purpose of the commitment is the same: To protect the public from
those who have committed criminal acts and have mental disorders and to provide mental
health treatment for the disorders. [Citations.]” (Curlee, supra, 237 Cal.App.4th at p.
720; see also In re Moye (1978) 22 Cal. 3d 457 [equating NGI’s with people who were
subject to commitment under the Mentally Disordered Sex Offender Act, which was the
forerunner to the SVPA].)
              Next, the Curlee court examined whether the disparate treatment between
SVP’s and NGI’s with respect to the right against self-incrimination was justified on the
record before it. In so doing, the court noted that in McKee the state was able to justify
the disparate treatment at issue in that case. It did so by showing “SVP’s were more
likely [than NGI’s] to commit new sexual offenses when released []; victims of sex
offenses suffered unique and, in general, greater trauma, than victims of other offenses;
and SVP’s were less likely to participate in treatment and more likely to be deceptive and
manipulative than [NGI’s]. [Citation.]” (Curlee, supra, 237 Cal.App.4th at p. 721.)
              However, as Curlee recognized, that showing was made during the course
of an evidentiary hearing that occurred on remand from the Supreme Court’s ruling in
Mckee. (See McKee, supra, 47 Cal.4th at pp. 1208-1209 [ordering remand] and People v.
Mckee (2012) 207 Cal. App. 4th 1325 (McKee II) [appeal from remand hearing].) Because
the equal protection issue presented in Curlee was different from the one raised in
McKee, and because the issue in Curlee had not been litigated in the trial court, Curlee
followed McKee’s lead and remanded the matter to allow the state the opportunity to

                                             14
demonstrate a constitutional justification for giving NGI’s the right against self-
incrimination but not SVP’s. (Curlee, supra, 237 Cal.App.4th at p. 722.)
              We invited the parties to submit additional briefing on the Curlee decision.
As a preliminary matter, the state contends appellant forfeited his right to invoke Curlee
and challenge his commitment on equal protection grounds because he did not object
when the prosecutor called him to testify at trial. However, as the state readily admits,
the law allowed SVP’s to be compelled to testify at that time. And the right of NGI’s not
to testify – which is an essential component of appellant’s equal protection claim – was
not firmly established until just this year. (See Hudec v. Superior Court, supra, 60
Cal. 4th 815 [resolving a split between People v. Haynie (2004) 116 Cal. App. 4th 1224
and People v. Lopez (2006) 137 Cal. App. 4th 1099.) Under these circumstances, we will
proceed to address the merits of appellant’s equal protection claim. (Accord, Curlee,
supra, 237 Cal.App.4th at pp. 713-716.)
              As for the threshold question of whether SVP’s and NGI’s are similarly
situated, the state contends “schematic differences” underscore why the two groups are
not in the same boat when it comes to the right against self-incrimination: “An NGI
committee has not only been committed for treatment in the state hospital [since the time
of the initial NGI finding], he or she raised and proved his own insanity at the original
insanity trial. By contrast, there might be no evidence of mental illness or disorder in an
SVP’s criminal trial. And, of course, it would be an exceedingly rare event for such an
offender . . . to have undertaken a burden at the criminal trial of showing he or she” met
the criteria for commitment as a SVP. The consequence of this, according to the state, is
that there may not be as much information available about the potential committee’s
mental condition in SVP proceedings as compared to NGI proceedings.
              The state sees this as creating “the practical need for the district attorney to
call the opposing party at an SVP trial.” However, the same claim was rejected in Curlee
as being analytically misplaced. We agree with Curlee that the state’s argument “is more

                                             15
closely connected to the question of whether the [state] has justified the disparate
treatment of NGI’s and SVP’s than to the question of whether they are in fact similarly
situated.” (Curlee, supra, 237 Cal.App.4th at p. 721.) Therefore, we will turn our
attention to the justification issue.
               Reformulating its previous argument, the state contends there is a rational
basis for requiring SVP’s to testify at their commitment hearings, given the limited
amount of information that may be known about their mental condition. The state
contends, “It is wholly plausible that the Legislature could perceive significant
differences between incarcerated SVP candidates and hospitalized NGI committees
respecting the overall amount of available treatment data and access by the district
attorney to sufficient information to meet the burden of proof. And it is no less plausible
that the Legislature might seek to rectify or at least minimize such differences by
permitting the district attorney to call suspected SVP’s.”
               However, appellant was in a mental hospital for 10 years before his
commitment trial began. The parties had plenty of information about his mental
condition. The state’s argument simply does not fit the facts of this case.
               In addition, the state’s argument is faulty on another level: it assumes the
disparate treatment appellant received need only be rationally related to a legitimate state
interest in order to pass constitutional muster. The fact is, because appellant’s
commitment infringes on his right to be free from involuntary confinement, “the strict
scrutiny standard of equal protection analysis applies.” (In re Moye, supra, 22 Cal.3d at
p. 465; accord, McKee, supra, 47 Cal.4th at p. 1206; People v. Landau (2013) 214
Cal. App. 4th 1, 46; McKee II, supra, 207 Cal.App.4th at p. 1335.) Under that standard,
“the state must establish both that it has a ‘compelling interest’ which justifies the
challenged procedure and that the distinctions drawn by the procedure are necessary to
further that interest.” (In re Moye, supra, 22 Cal.3d at p. 465.) Suffice it to say, the state
has not yet satisfied this heightened standard of constitutional review in this case.

                                              16
              Nonetheless, the state urges us to affirm the judgment for lack of prejudice.
Relying on the harmless error standard set forth in People v. Watson (1956) 46 Cal. 2d
818, the state asserts it is not reasonably probable appellant would have obtained a more
favorable result without his compelled testimony. In Curlee, the court did appear to
apply the Watson standard in assessing prejudice in that case. (Curlee, supra, 237
Cal.App.4th at p. 722.) However, even under that deferential standard it found the
admission of the SVP’s testimony to be prejudicial. (Ibid.) Moreover, in so doing,
Curlee relied on Cramer v. Tyars (1979) 23 Cal. 3d 131, 139, which applied the harmless-
beyond-a-reasonable-doubt standard articulated in Chapman v. California (1967) 386
U.S. 18 to the alleged Fifth Amendment violation that occurred in that case. We believe
this more stringent standard applies here given the significant liberty interest at stake for
appellant.
              Under that standard, appellant was clearly prejudiced by virtue of having to
take the witness stand. The state contends appellant’s testimony was merely cumulative
of what the experts testified to, but unlike the experts, who focused on the clinical aspects
of the case, appellant spoke to more personal issues, such as the nature of his relationship
with the victims and what motivated him to abuse them. At the very least, appellant’s
lengthy appearance on the witness stand6 was significant in that it gave the jury an
opportunity to observe him in person as he attempted to respond to the allegations against
him. The powerful impressions he presumably created in the process of doing so cannot
be lightly dismissed as “harmless.”
              Lastly, the state urges us to take a wait-and-see approach to the equal
protection issue. Rather than ordering a hearing on the issue, the state asserts it would be
better if we awaited the outcome of the evidentiary hearing in Curlee to see if the
petitioner can prevail in that case. And if he does, appellant can then file a habeas

       6      Appellant’s testimony spans over 100 pages of the reporter’s transcript.

                                                     17
petition seeking relief. That approach would save resources in the short run, but there is
no guarantee that the hearing ordered in Curlee will take place or that it will culminate in
a published appellate opinion having widespread precedential effect. More
fundamentally, we do not believe the resolution of appellant’s case should have to await
the outcome of another case over which he has no control. Therefore, we decline the
state’s invitation to put the matter on hold.
                                       DISPOSITION
              The matter is remanded for an evidentiary hearing to allow the state the
opportunity to justify the differential treatment SVP’s receive under the law when it
comes to the right against self-incrimination. In conducting the hearing, the trial court
shall apply the standards and rules articulated by the Supreme Court in Mckee. If the
state can provide a constitutional justification for treating SVP’s differently from NGI’s,
the trial court shall affirm appellant’s commitment order. If the state cannot carry its
burden in that regard, the trial court shall conduct a new hearing at which appellant would
not be required to testify.

                                                     BEDSWORTH, ACTING P. J.

WE CONCUR:

MOORE, J.

THOMPSON, J.

                                                18