Archive for September, 2008

Deparvine v. State, No. SC06-155 (Fla. 9/29/2008) (Fla., 2008)

Monday, September 29th, 2008

WILLIAM JAMES DEPARVINE, Appellant,
v.
STATE OF FLORIDA, Appellee.
No. SC06-155.

Supreme Court of Florida.

September 29, 2008.

An Appeal from the Circuit Court in and for Hillsborough County, J. Rogers Padgett, Judge — Case No. 04-CF-000774.

James Marion Moorman, Public Defender, and Steven L. Bolotin, Assistant Public Defender, Tenth Judicial Circuit, Bartow, Florida, for Appellant

Bill McCollum, Attorney General, Tallahassee, Florida, and Stephen D. Ake, Assistant Attorney General, Tampa, Florida, for Appellee

PER CURIAM.

This case is before the Court on appeal by William James Deparvine from a judgment of conviction of first-degree murder and a sentence of death. We have jurisdiction. See art. V, § 3(b)(1), Fla. Const. For the reasons explained below, we affirm Deparvine’s convictions and sentences.

PROCEEDINGS TO DATE
William James Deparvine appeals his convictions for the first-degree murders of Richard “Rick” Van Dusen (“Rick”) and Karla Van Dusen (“Karla”) and one count of armed carjacking. The State’s theory of the case was that Deparvine responded to the Van Dusens’ attempts to sell a 1971 Chevrolet Cheyenne pickup truck (“truck”) and he subsequently murdered them and took the truck.

GUILT PHASE
According to testimony at trial, the Van Dusens placed an ad in the St. Petersburg Times (“Times”) seeking to sell their truck from February 11, 2003, to March 14, 2003. In March 2003, Rick placed the truck on consignment with auctioneer Stuart Myers, who testified that Rick placed a reserve price of $17,000 on the truck and rejected a bid of $15,000. Unable to sell the truck, the Van Dusens ran another ad from July 8, 2003, to August 8, 2003, asking for $14,500. The Van Dusens ran a final ad in the Times from November 20, 2003, to December 21, 2003, asking for “$13,700 or partial trade for four wheel drive jeep.”

The State presented the testimony of Christopher Coviello, the Van Dusens’ neighbor, who stated that on November 25, 2003, the day before the Van Dusens’ bodies were discovered, he saw the Van Dusens driving away from their house in Tierra Verde, which is approximately twenty minutes southwest of the St. Petersburg area, between 5:15 p.m. and 5:45 p.m. Coviello saw Rick driving the truck by himself and Karla driving a Jeep, also owned by them, by herself and following Rick. The State was able to use the Van Dusens’ cell phone records which indicated the cell towers used to track the Van Dusens’ movement on November 25, 2003. The Van Dusens’ phone records indicated that between the times of 4:45 p.m. and 6:37 p.m., they moved northeast from their home in Tierra Verde through the St. Petersburg area and ended up north of St. Petersburg around the Oldsmar area. Their bodies were discovered on November 26, some 3.4 miles from the last recorded cell tower used by the Van Dusens in Oldsmar.

One of the phone calls Karla made during this time period was to her mother, Billie Ferris, which began at approximately 5:54 p.m. This phone call began by using a cell tower located on Central Avenue in St. Petersburg and lasted approximately thirty-seven minutes, ending with the use of the cell tower in Oldsmar. Over defense counsel’s objections, Ferris testified that during this conversation, when she heard the motor of the car running in the background, she asked Karla whether she was in the car, and Karla responded:

A: I’m following Rick and the guy that bought the truck. He knows where to get the paperwork done tonight.

. . . .

Q: [State]: Did Karla Van Dusen tell you how the guy was going to pay for the truck that night?

A: She said he’s got cash.

The very next morning, on November 26, the bodies of Rick and Karla were found along a dirt road next to a residence, approximately one mile east of Oldsmar. Rick was shot once in the back of the head. He was found with his wallet and money clip containing eighty-three dollars, two gold rings, a cell phone, and a watch. Karla was shot twice in the head and stabbed twice in the chest. She was found with four gold rings, gold hoop earrings, and a watch. Detective Chuck Sackman testified that he discovered a knife blade and a nine millimeter shell casing under her body.

The Jeep, owned by the Van Dusens, was discovered 1.3 miles away from their bodies at a local business. Detective Sackman testified that the windshield was cracked and that he recovered a bullet fragment from the dashboard, a shell casing between the passenger front seat and the doorway, a bullet fragment on the front passenger floorboard, a global positioning system (GPS) device and an address book on the front passenger seat floorboard, a black purse on the passenger seat, and two cell phones from the center console. On the ground floor next to the Jeep on the driver’s side was a Florida identification (ID) card belonging to Henry Sullivan. Castings were made from the footprints and tire marks around the Jeep.

Chief forensic print analyst Mary Ellen Holmberg analyzed the prints lifted from the interior and exterior of the Jeep and one lifted from Sullivan’s ID card, but none of them matched Deparvine. Latent print analyst Kimberly Cashwell analyzed the knife blade discovered under Karla’s body, but was not able to lift any prints of value for comparison. Footwear and tire crime scene analyst Lynn Ernst eliminated Deparvine’s shoes as a match with the castings taken from the scene. Ernst also eliminated the Van Dusens’ truck as having made the tire marks around the Jeep.

Blood stains were found throughout the driver and passenger sides of the Jeep. Susannah Ulrey, a laboratory analyst for the Florida Department of Law Enforcement, testified that she analyzed five blood samples taken from different points on the steering wheel of the Jeep, and four of them matched Deparvine’s DNA, including one mixture blood stain containing Deparvine’s and Rick’s DNA. Amber Moss, a supervisor of forensic case work at Orchid-Cellmark, a private laboratory, testified that the two blood samples she analyzed, which were taken from different locations on the steering wheel of the Jeep, matched Deparvine, thus totaling six different blood stains on the steering wheel that were linked to Deparvine’s DNA. Numerous other blood samples were taken from inside the Jeep and the Van Dusens’ clothing, but none of those matched Deparvine.

On November 27, 2003, Professor Raymonda Letrice Burgman, who lived near Deparvine’s apartment complex, discovered the 1971 Chevrolet truck parked there, and called the police. Detective Charles Keene secured and executed a search warrant for Deparvine’s apartment on December 24, 2003. He discovered a document indicating a 1971 Chevy Cheyenne pickup truck for sale and a handwritten note with a phone number and a list of fourteen questions regarding the truck. One of the documents indicated that the Van Dusens’ truck was being sold for $18,900. Detective Keene also found an affidavit, dated December 12, 2003, wherein Deparvine was requesting a vehicle title application for the truck, an insurance policy for the truck in Deparvine’s name, and old truck repair documents indicating Rick’s name. A notarized bill of sale from Rick to Deparvine, dated November 25, 2003, was also discovered indicating a purchase price of $6,500. Susan A. Kienker, who notarized this bill of sale, later testified that Rick, whom she knew personally, asked her to notarize the bill of sale on November 25, 2003, and handwriting expert Don Quinn confirmed Rick’s handwriting on the bill of sale as authentic. No guns were discovered at Deparvine’s apartment.

George Harrington testified that he came into contact with Deparvine in August 2003, when Harrington was seeking to sell his 1996 F-150 pickup truck for approximately $7,800. Harrington testified that Deparvine wanted to purchase the truck, but before he did, he asked to take the truck to Oldsmar where his mechanic friend would inspect it. Deparvine indicated that he would pay for the truck in cash, which he kept at his friend’s house in Oldsmar. Deparvine gave Harrington a blank bill of sale and told him to have it notarized, which he did, but the sale was never completed, and Harrington never met or spoke with Deparvine’s Oldsmar friend.

Deparvine testified in his own defense and stated that prior to November 2003, he was looking to purchase a pickup truck during a six-month period. He said that he saw the Van Dusens’ February, July, and November ads and inquired about the truck in February, July, September, and November. Deparvine testified that on the Sunday morning of November 23, 2003, he spoke with Rick, who gave him directions to his house in Tierra Verde. When Deparvine arrived, Rick offered to let Deparvine test drive the truck. Deparvine drove the truck and Rick came along, but within three-quarters of a mile, the truck ran out of gas and the two men abandoned the truck on the side of the road and walked back to the Van Dusen home. At the home, Rick picked up a can of gas, which already contained approximately three-quarters of a gallon of gas, and the two men rode in the Jeep back to the truck with Rick driving.1 Rick poured gas in the gas tank, but the truck did not start. They decided to “prime the carburetor,” which Deparvine testified involves pulling the air cleaner assembly off the carburetor, and pouring gas into the carburetor while another person turns the key in the ignition. Rick turned the key in the ignition while Deparvine primed the carburetor. During this process, Deparvine states that he opened a wound and scab under his right index finger, which originated as a cut he received at work. After they were able to start the truck, Rick drove the truck to the gas station while Deparvine followed driving the Jeep. Rick then put gas in the truck and the two drove back to the Van Dusens’ home, with Deparvine still driving the Jeep. Deparvine testified that he stayed at the home for approximately two hours during which Rick showed him an original title to the truck. Deparvine told Rick that he only had $6,500 in cash to pay for the truck, which Rick accepted because he just wanted to get rid of the truck. Rick was able to show Deparvine that there were no liens on the truck; and Deparvine then paid $1,500 in cash as a deposit, for which Rick wrote out a receipt. Deparvine gave Rick a blank bill of sale for Rick to complete and they agreed that the Van Dusens would deliver the truck to Deparvine’s apartment complex in central St. Petersburg on Tuesday, November 25, 2003, after 5 p.m.

Deparvine testified that on November 25, 2003, at approximately 5:30 p.m., Rick arrived at the apartment complex driving the truck and Karla followed driving the Jeep. Deparvine told the Van Dusens to drive around to the back parking lot of the complex to complete the sale. Deparvine then noticed a person driving a red vintage truck that was similar to the 1971 Chevrolet and seemed to be with the Van Dusens. Deparvine described the driver of the similar truck as a white male in his mid-fifties with a salt-and-pepper-colored beard, a receding hairline, and wearing sunglasses. On cross-examination, Deparvine admitted that this description was consistent with his own appearance. Once at the back parking lot, Rick exited his truck and entered the passenger side of the Jeep. Deparvine entered the Jeep and sat in the backseat behind Karla. Deparvine then paid the $5,000 remaining balance of the sales price in cash and Rick gave him a notarized bill of sale indicating a purchase price of $6,500. According to Deparvine, Rick had not been able to find the title but agreed to send it to Deparvine after Thanksgiving. After Deparvine exited the Jeep, Rick entered the similar red vintage truck Deparvine had seen and the two vehicles left, with Karla following the red truck in the Jeep. Deparvine testified that after the Van Dusens left, he did not leave the vicinity of his apartment complex. He denied killing the Van Dusens.

When asked how he obtained funds to purchase the truck, Deparvine testified that he sold a Rolex watch that he inherited while he was in prison from a terminally ill inmate named Bill Jamison, whom he had befriended. Deparvine testified that because the Rolex was not on his prison personal property list, he had to smuggle the watch outside of the correctional facility by hiding it in the ground in the visitors park. Joseph Fish, a customer service manager with the St. Petersburg Times, testified that Deparvine placed a one-day advertisement on October 26, 2003, to sell a Presidential Rolex watch. Deparvine testified that he sold the watch for $7,000 to the first people that came by his house, who were “a couple of Hispanic guys.” Deparvine could not give any other description of these buyers. Instead of depositing the funds from the sale in his bank account, Deparvine testified that he kept the cash at his apartment. The highest balance ever recorded in Deparvine’s bank account between June 27, 2003, and December 31, 2003, was $826.21.

The defense also presented testimony from Martha Baker, who lived behind the Van Dusens and shared the fence to the back end of their respective homes. Baker testified that on the night of November 25, 2003, between 7:15 p.m. and 7:50 p.m., while she was entertaining guests, she heard Karla’s voice coming from the Van Dusen home.

Deparvine’s cell phone records revealed that he received a call on the night of November 25, 2003, from his ex-wife at 8:57 p.m., but because the call went unanswered, the cell phone did not record any cell tower. Nevertheless, Deparvine received a text message that night at 9:13 p.m., which used a tower on Central Avenue in St. Petersburg. At 5:35 a.m. on November 26, 2003, Deparvine’s phone records indicate that he checked his voice mail using the same St. Petersburg tower.

On August 3, 2005, a jury found Deparvine guilty of both counts of first-degree murder and one count of armed carjacking.2

PENALTY PHASE
During the penalty phase, the State presented the testimony of Officer Richard Gordon, who testified that on April 28, 2003, Deparvine was on conditional release for possession of a firearm by a convicted felon and carrying a concealed weapon. The State then presented five witnesses as victim-impact testimony: (1) Michelle Kroger, Rick’s youngest daughter; (2) Jay Meyers, Karla’s son; (3) Christine Crawford, who read a statement prepared by Rene Koppeny, Rick’s daughter; (4) Morene Cancelino, Rick’s sister, who read a statement prepared by Rick’s other sister, Jacqueline Bonn; and (5) Billie Ferris, Karla’s mother.

The defense presented three witnesses. Sara Flynn, a mitigation specialist, testified about Deparvine’s background. Flynn testified that her investigation did not reveal any examples of happy or loving times during Deparvine’s childhood. Flynn testified about Deparvine’s estrangement from siblings, nieces, nephews, and parents. His parents were very strict and Deparvine received no affection or words of encouragement from them. Deparvine married his teenage girlfriend, who had become pregnant, and worked hard to put himself through college and law school. On cross-examination, Flynn testified that there had not been any history of sexual or physical abuse.

Kelly Cousineau and Katina Holthus, Deparvine’s daughters, testified. Cousineau testified that Deparvine was a loving, affectionate, and involved father. She also testified that she had not seen Deparvine for fifteen years. Holthus has kept in better contact with Deparvine, testifying that she had visited him several times over the years while he was in prison. Holthus also testified that Deparvine was a loving and involved father.

On August 4, 2005, the jury recommended that Deparvine be sentenced to death by a vote of eight to four on both murder counts. A Spencer3 hearing was held on November 22, 2005, wherein two witnesses testified. Dr. Eric Rosen, a psychologist, testified that Deparvine showed “elevated scales for depression and also for psychopathic deviance,” and that although he does not suffer from a “full personality disorder,” he suffers from personality disorder traits and was diagnosed as having dysthymic mood disorder, which is a type of depression. Nevertheless, Dr. Rosen testified that Deparvine was above average in intellect and that his personality disorder shaped the choices he made, but did not limit his ability to make choices. Kourtney Deparvine, Deparvine’s youngest daughter, testified similarly to her two sisters during the penalty phase.

On January 9, 2006, the trial court sentenced Deparvine to death, finding four aggravating factors and giving them all great weight. The trial court found that the murders were (1) cold, calculated and premeditated (“CCP”); (2) committed for pecuniary gain; (3) committed by a person previously convicted of a felony and under sentence of imprisonment, or placed on community control, or on felony probation; and (4) committed by one previously convicted of another capital felony. The trial court gave little weight to Deparvine’s mitigating circumstances, finding that Deparvine: (1) suffered from serious emotional deprivation as a child because of familial dysfunction; (2) suffered from inability to form and maintain close relationships with others; (3) suffered from estrangement from some family members; (4) persevered after marrying his teenage girlfriend, who had become pregnant, and worked hard to put himself through college and law school; and (5) was once a true family man and his children grieve at the predicament they found him in.

GUILT-PHASE CHALLENGES
I. HEARSAY
Deparvine challenges his convictions on several grounds.4 First, Deparvine argues that the trial court erred in admitting Karla’s mother’s testimony regarding the hearsay statements made by Karla about where she was and who she was with during the telephone conversation that ended in Oldsmar. The State contended and the trial court ruled that these statements were admissible under the statutory spontaneous statement exception to the hearsay rule, which does not require a startling or exciting event as a prerequisite to admission. Deparvine objected at trial and now on appeal, and cites Hutchinson v. State, 882 So. 2d 943 (Fla. 2004), for the proposition that a startling event is a necessary predicate for allowing a statement under the spontaneous statement exception. See id. at 951 (“Both the excited utterance and the spontaneous statement exceptions require the declarant to be laboring under the influence of a startling event at the time that the statement is made.”). In Hutchinson, this Court held that although it was error to introduce hearsay statements made over a telephone conversation as excited utterances, the error was harmless. Id. at 952. We conclude that certain dicta in Hutchinson erroneously blurred the distinctions between the spontaneous statement and excited utterance exceptions to the rule barring admission of hearsay statements.5 In order to resolve the issue presented by Deparvine we find it necessary to look at the history and development of the spontaneous statement and excited utterance exceptions to the hearsay rule in order to clarify their scope and meaning.

Res Gestae
While Florida generally bars the admission in evidence of out-of-court statements made by someone else to a witness as impermissible hearsay, we have also recognized exceptions to this rule. Prior to July 1, 1979, the effective date of Florida’s evidence code in criminal cases,6 the spontaneous statement and excited utterance exceptions were parts of a group of exceptions subsumed under the term “res gestae.” State v. Jano, 524 So. 2d 660, 661 (Fla. 1988) (citing State v. Johnson, 382 So. 2d 765 (Fla. 2d DCA 1980); 1 Frank T. Read, Read’s Florida Evidence 693 (1987)). “The term res gestae seems to have come into common usage in discussions of admissibility of statements accompanying material acts or situations in the early 1800s.” 2 McCormick on Evidence § 268, at 245 (Kenneth S. Broun et al. eds., 6th ed. 2006) [hereinafter McCormick].7 As one Florida district court has explained:

`Res Gestae,’ is a Latin term translated literally as `things done’; and it embraces the circumstances, facts, and declarations which are incident to the main fact or transaction and which are necessary to demonstrate its character. It also includes words, declarations, and acts so closely connected with a main fact in issue as to constitute a part of the transaction.

Washington v. State, 118 So. 2d 650, 653 (Fla. 2d DCA 1960) (citing Underhill’s Criminal Evidence § 266, at 664 (5th ed.)).

Differing views of the policy reasons for the res gestae exception have been expressed. In 1881, Professor James Bradley Thayer reviewed the cases discussing res gestae and concluded that this was an exception based on the contemporaneousness of statements. James Bradley Thayer, Bedingfield’s Case.—Declarations as a Part of the Res Gesta, 15 Am. L. Rev. 71, 83 (1881). He interpreted the law as creating an exception for statements “made by those present when a thing took place, made about it, and importing what is present at the very time.”8 Id. On the other hand, another legal scholar, Wigmore, saw as the basis for the exception, not the contemporaneousness of the exclamation, but rather the “nervous excitement” produced by “certain external circumstances of physical shock, . . . which stills the reflective faculties and removes their control, so that the utterance which then occurs is a spontaneous and sincere response to the actual sensations and perceptions already produced by the external shock.” 6 Wigmore, supra note 7, § 1747, at 135. Although courts initially accepted Professor Wigmore’s view of the “exciting event” requirement of res gestae evidence, courts eventually began to also admit contemporaneous statements under the res gestae label without requiring the statements’ association with an exciting or startling event. 2 McCormick, supra, § 271, at 251-52.

The revival of this broader theory of the res gestae exception has been credited to the commentary of Edmund Morgan, who noted in 1922:

A statement by a person as to external events then and there being perceived by his senses is worthy of credence for two reasons. First, it is in essence a declaration of a presently existing state of mind, for it is nothing more than an assertion of his presently existing sense impressions. As such it has the quality of spontaneity. . . . Second, since the statement is contemporaneous with the event, it is made at the place of the event. Consequently the event is open to perception by the senses of the person to whom the declaration is made and by whom it is usually reported on the witness stand. The witness is subject to cross-examination concerning that event as well as the fact and content of the utterance, so that the extra-judicial statement does not depend solely upon the credit of the declarant.

Edmund M. Morgan, A Suggested Classification of Utterances Admissible as Res Gestae, 31 Yale L.J. 229, 236 (1922) [hereinafter Morgan, Suggested Classification] (footnotes omitted);9 see also Booth v. State, 508 A.2d 976, 979 (Md. 1986). Morgan continued, “The declaration is `instinctive, rather than deliberative—in short, the reflex product of immediate sensual impressions, unaided by retrospective mental action. These are the indicia of verity which the law accepts as a substitute for the usual requirements of an oath and opportunity for cross-examination.’ ” Morgan, Res Gestae, supra note 8, at 96 (quoting Ill. Central R.R. Co. v. Lowery, 63 So. 952, 953 (Ala. 1913)).10

Later, the committee drafting the Model Code of Evidence, led by Edmund Morgan, included both an exception for an excited utterance and a separate exception for present sense impression in the tentative drafts proposed to the American Law Institute (ALI). Douglas D. McFarland, Present Sense Impressions Cannot Live in the Past, 28 Fla. St. U. L. Rev. 907, 909 (2001). The ALI eventually accepted both:

Evidence of a hearsay statement is admissible if the judge finds that the hearsay statement was made

(a) while the declarant was perceiving the event or condition which the statement narrates or describes or explains, or immediately thereafter; or

(b) while the declarant was under the stress of a nervous excitement caused by his perception of the event or condition which the statement narrates or describes or explains.

Id. (citing Model Code of Evidence Rule 512 (1942)).

The only mention of the rule during the three years the ALI debated the proposed evidence code was the following statement of Professor Morgan presenting the rule: “Subdivision (b) is accepted now almost everywhere. Subdivision (a) is not accepted in a number of jurisdictions. Subdivision (a) is what Mr. Thayer thought represented the law with reference to this matter; Subdivision (b) is Mr. Wigmore’s view of it; we adopt both.”

Id. at 909 n.15 (citing 18 A.L.I. Proc. 165 (1941)).

In 1953, the National Conference of Commissioners on Uniform State Laws, which was again led by Morgan, proposed the Uniform Rules of Evidence. Id. at 911.

In the area of spontaneous statements, the drafters crafted a narrower present sense impression, a similar excited utterance, and a broad new statement of recent perception. These three exceptions were placed into the same rule:

Contemporaneous Statements and Statements Admissible on Ground of Necessity Generally. A statement (a) which the judge finds was made while the declarant was perceiving the event or condition which the statement narrates, describes or explains, or (b) which the judge finds was made while the declarant was under the stress of a nervous excitement caused by such perception, or (c) if the declarant is unavailable as a witness, a statement narrating, describing or explaining an event or condition which the judge finds was made by the declarant at a time when the matter had been recently perceived by him and while his recollection was clear, and was made in good faith prior to the commencement of the action.

Id. (citing Unif. R. Evid. 63(4) (1953)). “The drafters of the Federal Rules of Evidence, following Thayer and Morgan instead of Wigmore, included the present sense impression as the first-listed exception to the hearsay rule, rule 803(1).” Id. at 912. Thereafter, in 1975, Congress enacted the Federal Rules of Evidence,11 which contained a separate and specific exception for present sense impressions from the hearsay rule, and defined it as, “A statement describing or explaining an event or condition made while the declarant was perceiving the event or condition, or immediately thereafter.” Fed. R. Evid. 803(1).

Florida Evidence Law
A review of Florida’s case law reveals that Professor Thayer’s broad view of the res gestae exception was applied in Florida as early as 1942. Tampa Electric Co. v. Getrost, 10 So. 2d 83 (Fla. 1942), an assistant to an electric lineman was permitted to testify that the lineman told him that he had called the plant and ordered the power in the line cut off. Id. at 84. The lineman had proceeded to work on the wire and was electrocuted. Id. This Court held the conversation was admissible, observing that “the statement was not infected with the vices which make such declarations usually inadmissible. At the time it was uttered there was no occasion for it to have resulted from reflection or premeditation, nor was there motive to make it self-serving.” Id. at 85.12

Nevertheless, Wigmore’s theory requiring a startling event in order for the res gestae exception to be invoked was more often referenced in Florida’s case law before the adoption of the evidence code. Declarations were found admissible under the res gestae label if the declarations

were the natural emanations or outgrowths of the act or occurrence in litigation, although not precisely concurrent in point of time, if they were yet voluntarily and spontaneously made so nearly contemporaneous as to be in the presence of the transaction which they illustrate and explain, and were made under such circumstances as necessarily to exclude the idea of design or deliberation.

State v. Williams, 198 So. 2d 21, 22 (Fla. 1967) (quoting Washington v. State, 98 So. 605, 608 (Fla. 1923), wherein a declaration emanating two minutes after a shooting was admitted); see also Johnson v. State, 314 So. 2d 248, 251 (Fla. 1st DCA 1975) (applying a four-pronged test: the statement must be the natural emanation or outgrowth of the act or occurrence in litigation, made contemporaneously with the act of violence, made voluntarily and spontaneously, and made without any indication of reflection or premeditation); Elmore v. State, 291 So. 2d 617, 619 (Fla. 4th DCA 1974) (applying a four-pronged test: the statement must be spontaneous, made by one who witnessed the act concerning which the statement was made, made at the scene of the homicide, made in the sight or hearing of the accused or victim, and made about a relevant material issue in the case), overruled on other grounds by Martin v. State, 342 So. 2d 501, 503 (Fla. 1977). To be sure, in Florida “the act or occurrence in litigation” referred to a violent act, an exciting event that produced a declaration out of nervous excitement. See, e.g., Johnson, 314 So. 2d at 251 (affirming admission of statements that emanated fifteen to thirty minutes after a stabbing); Lawrence v. State, 294 So. 2d 371, 373 (Fla. 1st DCA 1974) (“Res gestae refers to statements made immediately before, or immediately after the commission of a crime, by the accused, victim, or a bystander, as a spontaneous reaction or utterance stimulated by the excitement of the occasion.” (quoting Charles Torcia, Wharton’s Criminal Evidence § 297, at 60 (13th ed. 1972)); Elmore, 291 So. 2d at 619 (holding statement of an unidentified bystander, which was made at the murder scene and within seconds of the shooting, was admissible), overruled on other grounds by Martin, 342 So. 2d at 503; Washington, 118 So. 2d at 653 (“Statements or acts of the injured person made or done at a time immediately prior to the offense or so near to it as to preclude the idea of forethought, and tending to elucidate a main fact in issue may be admissible as part of the res gestae.” (citing 22 C.J.S. Criminal Law § 672, at 1063)). In Johnson, the First District explained, “The rationale for permitting testimony relating to spontaneous exclamations is that `such utterances spring spontaneously and instinctively from the stress or pain or excitement caused by the act of violence and are made so soon after the act as to preclude the idea of deliberation, fabrication or design.’ ” 314 So. 2d at 251 (quoting 4 A.L.R. 3d 149, 154).13

Florida’s Evidence Code
When Florida adopted the evidence code in 1979, the Legislature did not use the term “res gestae,” but instead broke down the “res gestae” group into various components. See Jano, 524 So. 2d at 661; see also State v. Adams, 683 So. 2d 517, 520-21 (Fla. 2d DCA 1996).14 Florida’s spontaneous statement and excited utterance exceptions now provide:

The provision of s. 90.802 to the contrary notwithstanding, the following are not inadmissible as evidence, even though the declarant is available as a witness:

(1) SPONTANEOUS STATEMENT.—A spontaneous statement describing or explaining an event or condition made while the declarant was perceiving the event or condition, or immediately thereafter, except when such statement is made under circumstances that indicate its lack of trustworthiness.

(2) EXCITED UTTERANCE.—A statement or excited utterance relating to a startling event or condition made while the declarant was under the stress of excitement caused by the event or condition.

§ 90.803(1)-(2), Fla. Stat. (2003). Commenting specifically on Florida’s spontaneous statement exception to the hearsay rule, Professor Ehrhardt has explained:

Hearsay statements are admissible under section 90.803(1) when they are spontaneous and describe or explain an event, and if they are made while the person is perceiving the event, or immediately thereafter. There must be a substantial contemporaneity between the event and the out-of-court statement. The spontaneity of the statement negatives the likelihood of conscious misrepresentation by the declarant and provides the necessary circumstantial guarantee of trustworthiness to justify the introduction of the evidence. If more than a “slight lapse of time” has occurred between the event and the statement, the spontaneity is lacking. There is not a requirement for an exciting or startling event or condition for statements to be admitted under section 90.803(1); neither the language of the exception or the policy supporting it require the startling event or condition.

1 Charles W. Ehrhardt, Florida Evidence § 803.1, at 841-42 (2007 ed.) [hereinafter Ehrhardt, Florida Evidence] (footnotes omitted). Quoting Professor Ehrhardt, this Court has noted that the two exceptions, though they often overlap, differ mainly in the amount of time that may elapse between the event and the statement describing the event. Jano, 524 So. 2d at 661-62 (quoting 1 Charles W. Ehrhardt, Florida Evidence § 803.2, at 473-74 (2d ed. 1984).15

The Law Revision Council’s Notes to section 90.803 state that both the spontaneous statement and excited utterance exceptions “proceed upon a theory that under appropriate circumstances a hearsay statement may possess circumstantial guarantees of trustworthiness sufficient to justify introduction of the evidence at the trial even though the declarant may be available.” 6C Fla. Stat. Ann. 268 (West Publishing Co. 1979) (Law Revision Council note—1976). A spontaneous statement is trustworthy because “the substantial contemporaneity of event and statement negative the likelihood of deliberate or conscious misinterpretation.” Id. This language corresponds to that used by the Advisory Committee Note in the present sense impression exception under Federal Rule of Evidence 803(1) when discussing the underlying theory of the present sense impression. See Fed. R. Evid. 803(1) advisory committee’s note.16 It appears that the only difference between the federal and Florida rules for admission of spontaneous statements of present sense impressions of an event is the added provision in the Florida rule that evidence is not admissible, even though it meets the other requirements of section 90.803(1), when the “statement is made under circumstances that indicate its lack of trustworthiness.”17 § 90.803(1), Fla. Stat. “This provision enables the judge to bar the admission of statements that lack sufficient reliability. The drafters were particularly concerned with statements by unidentified bystanders. The court should weigh any corroborating evidence together with all other factors in making this determination.” Ehrhardt, Florida Evidence, supra, § 803.1, at 843 (footnote omitted); see, e.g., Wal-Mart Stores, Inc. v. Jenkins, 739 So. 2d 171, 171-72 (Fla. 5th DCA 1999).

Thus, it appears that Florida has adopted the spontaneous statement exception as a separate and distinct exception to the hearsay rule just as it was adopted by the federal rules under the present sense impression exception. Further, it appears the present sense impression was adopted as a restatement of the earlier res gestae exception which does not require an exciting or nervous stimulus as a condition for admission. Under this view, the main policy underlying the exception is a belief in reliability based upon the contemporaneousness of the report of an event. Morgan, Res Gestae, supra note 6, at 96.18 Hence, Florida’s spontaneous statement exception is consistent with Professor Thayer’s early view that declarations are admissible when “made by those present when a thing took place, made about it, and importing what is present at the very time.” Thayer, supra, at 83.19

Case Law Under The Evidence Code
Since the adoption of the evidence code, this Court has stated:

A spontaneous statement must be made “at the time of, or immediately following, the declarant’s observation of the event or condition described.” J.M. v. State, 665 So. 2d 1135, 1137 (Fla. 5th DCA 1996). This exception requires that “the statement must be made without the declarant first engaging in reflective thought.” Id. The statements admitted under section 90.803(1) are limited to statements which “describe or explain” an event. Charles W. Ehrhardt, Florida Evidence § 803.1, at 772 (2005 ed.).

Ibar v. State, 938 So. 2d 451, 467 (Fla. 2006). Other cases, however, have suggested a continuing requirement of a startling event. As noted, in Hutchinson, this Court stated, “Both the excited utterance and the spontaneous statement exceptions require the declarant to be laboring under the influence of a startling event at the time that the statement is made.” 882 So. 2d at 951. Lyles v. State, 412 So. 2d 458 (Fla. 2d DCA 1982), the Second District held, “In order for the spontaneous statement exception to the hearsay rule to be applicable, there must be some occurrence startling enough to produce nervous excitement and render the utterance spontaneous and unreflecting.” Id. at 460. State v. Skolar, 692 So. 2d 309 (Fla. 5th DCA 1997), the Fifth District held a 911 call inadmissible because it was “not made as the result of a startling or stressful event, and it therefore cannot qualify under § 90.803 as either a spontaneous statement or an excited utterance.” Id. at 311. However, because we now conclude that this view requiring a startling event in order for the spontaneous exception to apply is contrary to the underlying principles embodied in section 90.803(1), we now reject this view.

This Case
We must now determine how the spontaneous statement exception as defined above should be applied here. It appears that Florida courts have not had occasion to decide a factual issue like the one this case presents. “The relative infrequence of such cases results from the fact that unexciting events do not often give rise to statements that later become relevant in litigation.” 2 McCormick, supra, § 271, at 252. Nevertheless, it is important to note that Florida courts have made clear in both pre- and post-evidence code cases that a narrative of past events cannot qualify as spontaneous statements or excited utterances. See, e.g., Green v. State, 113 So. 121, 123 (Fla. 1927); Mariano v. State, 933 So. 2d 111, 116-17 (Fla. 4th DCA 2006); Charlot v. State, 679 So. 2d 844, 845 (Fla. 4th DCA 1996).

In Deparvine’s case, Karla’s mother testified that she heard the sound of the car motor running and asked Karla whether she was in the car. Ferris’s testimony indicates that Karla immediately responded: “I’m following Rick and the guy that bought the truck. He knows where to get the paperwork done tonight.”20 We agree with the State that the first statement does not narrate or refer to a past event. Instead, it describes or explains a contemporaneous event, i.e., Karla’s then location and status, as she perceived it. As Karla perceived it, she was driving and following Rick and the guy who bought the truck. Indeed, even defense counsel conceded during oral argument that the implication asserted in the statement that Karla was driving and that she was following Rick would have been admissible under the contemporaneous statement exception.

Deparvine contends, however, that Karla’s statement “and the guy that bought the truck” is a statement of identification, which indicates reflective thought. However, the fact that Karla explained her contemporaneous status in terms of the presence of her husband and the other person riding in the truck, whose identities were known from past experiences, does not lessen the spontaneity or reliability based thereon. We conclude that any reflection on identity, if it could even be called reflection, is not the type of reflection that the rule would limit. Of course there should be a concern with reflection on facts indicating a lapse of time wherein the declarant had the opportunity to reflect on a past event or condition perceived. This may even encompass the exclusion of a declaration on identity where the facts indicate that the declarant was referring to a past event and had the opportunity to reflect on who the person was in that event. However, in Deparvine’s case, Ferris’s testimony indicates that Karla simply and spontaneously blurted out that she was then “following Rick and the guy that bought the truck” as a contemporaneous report and description of her present circumstances.21

Indeed, other jurisdictions that have addressed this issue have admitted hearsay statements of identification under the exception for present sense impressions. See, e.g., United States v. Hawkins, 59 F.3d 723, 730 (8th Cir. 1995) (admitting as present sense impression a 911 call describing that “my husband just pulled a gun out on me”), rev’d on other grounds, 516 U.S. 1168 (1996); United States v. Accetturo, 966 F.2d 631, 633 & n.3 (11th Cir. 1992) (admitting statement identifying extortionist, “That’s Tony,” made to police agents who had gone with declarant to airport to stage an undercover operation); United States v. Delaplane, 778 F.2d 570, 574 (10th Cir. 1985) (allowing “Michael’s back” as a present sense impression); State v. Flesher, 286 N.W.2d 215, 216, 218 (Iowa 1979) (allowing as a present sense impression, “It’s Joan”).

We find none of the cases Deparvine cites in support for his proposition deal with a spontaneous statement of identification. Instead, they deal with statements regarding past and future events that were based upon information the declarant had reflected upon and processed. Thus, we conclude that the trial court did not err in introducing Karla’s statement that she was “following Rick and the guy that bought the truck” as part of a contemporaneous statement admissible under the spontaneous statement exception in the evidence code.

However, we conclude the other statements, “He knows where to get the paperwork done tonight” and “[h]e’s got cash,” are not descriptive or explanatory of the current conditions Karla was perceiving. Although Ferris’s testimony indicates that these statements may have been uttered contemporaneously with Karla’s report, those statements fail to describe or explain her present perceptions and thus fail to qualify as spontaneous statements. Both of these statements contain historical information that Karla learned at some earlier time and was simply now recounting to her mother. Neither is a description of a contemporaneous event or observation. It was therefore error for the trial court to admit these statements over counsel’s timely objections.22

Harmless Error
To justify affirmance of a conviction or sentence despite error at trial, the State must establish beyond a reasonable doubt on appeal that the error did not contribute to the jury’s verdict. State v. DiGuilio, 491 So. 2d 1129, 1135 (Fla. 1986) (citing Chapman v. California, 386 U.S. 18, 24 (1967)). If a reviewing court cannot say beyond a reasonable doubt that the error did not affect the verdict, then the error is by definition harmful. Id. at 1139. In this case we conclude beyond a reasonable doubt that the admission of the statements, “He knows where to get the paperwork done tonight” and “He’s got cash,” which immediately followed the statements we have concluded were properly admitted, did not contribute to Deparvine’s convictions.

Ferris testified that Karla told her over the phone that she was “following Rick and the guy that bought the truck.” This statement, which we have already held was properly admitted, was especially damaging to Deparvine because it placed him with the victims traveling north from St. Petersburg to Oldsmar on the evening in question and it directly contradicted Deparvine’s testimony that he did not travel with the victims after he purchased the truck. In comparison to this evidence, the erroneously admitted statements add very little, if anything, to the case for the prosecution. In fact, the objections at trial focused on the first statement placing the victims with the buyer of the truck. There was no attempt by defense counsel to parse the statements in terms of their admissibility.

Indeed, at oral argument, appellate counsel acknowledged that although the State may have referenced the other statements, the “key to the whole thing” and the “main harm” was on Karla’s statement placing Deparvine with the victims. As noted above, the record reflects that the State’s primary focus in relying on this evidence was on Karla’s statement that she was following Rick and the truck’s buyer, hence identifying the buyer as being with them at a critical time and location in relationship to their deaths. Thus, the major benefit to the State’s case and the damage to the defense arose from the properly admitted evidence. The statement “[h]e knows where to get the paperwork done tonight” is unimportant insofar as proof of the crimes being charged. Furthermore, the statement “[h]e’s got cash” is likewise of little consequence because Deparvine himself testified at trial that he paid with cash.

While the main thrust of a harmless error analysis under DiGuilio is to ensure that the error did not affect the verdict rather than a determination of whether there was other substantial evidence to support guilt, DiGuilio permits an examination of the other evidence of guilt in a resolution of the harmfulness issue. We can compare the permissible evidence on which the jury could have legitimately relied to the potential impact of the erroneously admitted evidence. Id. We have already outlined other substantial evidence of Deparvine’s guilt earlier in this opinion including the obviously important evidence that Deparvine’s DNA matched six spots of blood found in the victims’ Jeep, one of which was a mixture of Rick’s and Deparvine’s DNA. We do not repeat it here. However, when we consider the negligible value of the erroneously admitted statements, together with the totality of the evidence, we hold that there is no reasonable possibility that the erroneously admitted statements contributed to Deparvine’s convictions.

II. MURDER CHARGE: INDICTMENT AND JURY INSTRUCTIONS
As Deparvine’s second challenge on appeal, he argues that the indictment charging him with two counts of murder in the first-degree was void for failure to specify whether the State would pursue a conviction under a theory of premeditation or felony murder. Deparvine contends that this failure results in a jurisdictional defect that warrants resubmission to a new grand jury. The State contends that Deparvine has waived this issue for review because he waited until after the State rested to move to dismiss the indictment. The trial court agreed with the State.

On January 28, 2004, a grand jury returned a five-count indictment against Deparvine. Counts one and two read:

COUNT ONE
The Grand Jurors of the County of Hillsborough, State of Florida, charge that WILLIAM JAMES DEPARVINE, between the 25th day of November, 2003, and the 26th day of November, 2003, inclusive, in the County of Hillsborough and State of Florida, did unlawfully and feloniously kill a human being, to-wit: RICHARD VAN DUSEN or any other human being by shooting him with a deadly weapon, to-wit: a firearm, and during the course of the commission of the offense, the said WILLIAM JAMES DEPARVINE, discharged a firearm and as a result of the discharge, death was inflicted upon RICHARD VAN DUSEN, contrary to the form of the statute in such cases made and provided, to-wit: Florida Statute 782.04(1)/775.087(2), and

COUNT TWO
The Grand Jurors of the County of Hillsborough, State of Florida, charge that WILLIAM JAMES DEPARVINE, between the 25th day of November, 2003, and the 26th day of November, 2003, inclusive, in the County of Hillsborough and State of Florida, did unlawfully and feloniously kill a human being, to-wit: KARLA VAN DUSEN or any other human being by shooting her with a deadly weapon, to-wit: a firearm, and/or stabbing her with a deadly weapon to-wit: a sharp object, and during the course of the commission of the offense, the said WILLIAM JAMES DEPARVINE, discharged a firearm and as a result of the discharge, death was inflicted upon KARLA VAN DUSEN contrary to the form of the statute in such cases made and provided, to-wit: Florida Statute 782.04(1)/775.087(2).

Generally, if an indictment or information fails to completely charge a crime under the laws of the state, the defect can be raised at any time. State v. Gray, 435 So. 2d 816, 818 (Fla. 1983). However, “Where a defendant waits until after the State rests its case to challenge the propriety of an indictment, the defendant is required to show not that the indictment is technically defective but that it is so fundamentally defective that it cannot support a judgment of conviction.” Ford v. State, 802 So. 2d 1121, 1130 (Fla. 2001).

In Ford, the defendant was indicted for sexual battery with a firearm, child abuse, and two counts of first-degree murder. Id. at 1125. After the State rested its case in the guilt phase, defense counsel challenged the propriety of the indictment on the child abuse charge for the first time. Id. at 1130. This Court held that although the statute cited in the indictment encompassed three separate child abuse offenses, “Any inquiry concerning the technical propriety of the indictment should have been raised prior to trial at which time any deficiency could have been cured. The indictment as worded adequately placed Ford on notice that he was charged with a violation of the child abuse proscriptions of section 827.03.” Id. Similarly, Garcia v. State, 492 So. 2d 360 (Fla. 1986), the defendant filed several pretrial motions attempting to dismiss the indictment on the ground that the indictment did not charge a violation of the laws of the state, but there was no motion to dismiss specifically stating that the attempted murder charge did not allege premeditation. Id. at 368. We concluded that the technical defect, having not been challenged during pretrial, did not require dismissal because

[e]vidence of premeditation was presented and the jury instructed that attempted first-degree murder must either arise from premeditated design or be committed in the perpetration or attempted perpetration of a robbery. . . . It is clear to us that there was not a complete omission of an essential element and the indictment was not so vague as to mislead or prejudice appellant.

Id. As with Ford and Garcia, we conclude that Deparvine’s challenge also came too late and was properly rejected by the trial court. We also reject his challenge on the merits and find the indictment adequately charged first-degree murder, thereby allowing the State to proceed on the theory of premeditation and felony murder.

Even if the failure to specifically allege premeditation may have been a technical defect, defense counsel failed to challenge the indictment before trial. Rather, prior to trial, defense counsel filed a motion for a statement of particulars as to aggravating circumstances and as to the theory of prosecution, which is governed by Florida Rules of Criminal Procedure 3.140(n). See Fla. R. Crim. P. 3.140(n). To properly challenge the sufficiency of an indictment, defense counsel needed to move to dismiss the indictment under Florida Rules of Criminal Procedure 3.190(b)-(c). See Fla. R. Crim. P. 3.190(b)-(c). Thus, Deparvine now must show that the indictment is so fundamentally defective that it cannot support a judgment of conviction.

However, we note that the wording in the indictment placed Deparvine on express notice that he was charged with a violation of the first-degree murder statute set out in section 782.04(1), Florida Statutes (2003), and the indictment included factual allegations as to the manner in which death was inflicted. That statute encompasses both premeditated and felony murder. Upon review we conclude that there was not a complete omission of an essential element and the indictment was not so vague as to mislead or prejudice Deparvine or so fundamentally defective that it cannot support a judgment of conviction.

We also reject the related claim that the trial court erred in instructing the jury that it could find premeditated murder, felony murder, or both, when the indictment only charged first-degree murder and cited the first-degree murder statute, but did not specify any specific theory. However, we have never held that the State (or a grand jury), must designate in the indictment or information the specific theory charged, so long as the defendant is put on notice that he is charged with first-degree murder under the relevant statute. Indeed, we have held that even where the State expressly charges premeditation it may nevertheless proceed under an alternative felony murder theory. O’Callaghan v. State, 429 So. 2d 691, 695 (Fla. 1983); see also Knight v. State, 338 So. 2d 201, 204 (Fla. 1976).

III. CARJACKING CHARGE
Deparvine also contests several aspects of the carjacking charge, including the indictment, the jury instructions, the jury’s unanimity in reaching a guilty verdict, and the sufficiency of the evidence. The crux of Deparvine’s argument is that the 1971 Chevrolet truck was never specified as the subject motor vehicle of the carjacking charge in the indictment, and the State’s arguments as well as the trial court’s instructions may have confused the jury as to whether it was the truck or the Jeep that was claimed to have been carjacked.

Initially, we reject any claim that the indictment insufficiently described the motor vehicle that was the subject of the carjacking. Deparvine did not attack the indictment on this ground in the trial court. We also reject Deparvine’s contention that the State contended that the Jeep, not the truck, was the subject of the carjacking charge in count five. The State did not argue to the jury that the Jeep was the subject of the carjacking. The most that can be said of the State’s arguments during discussions on the motion for judgment of acquittal and outside the presence of the jury is that the State asserted that Deparvine may also have seized the Jeep to get back to the truck after the murders, but, nevertheless, the State asserted his “ultimate goal is the unlawful taking . . . of the truck.” The State focused on its theory that Deparvine coveted the truck and murdered the Van Dusens to get it. The State argued that Deparvine “intended to obtain, acquire that truck by whatever means necessary” and that “[i]t was a robbery for that title [(referring to the ownership title of the truck)].”

Indeed, after reviewing the record on the court’s instructions and the State’s closing argument, we do not agree with Deparvine that there was a genuine risk that the jury was confused or that unanimity was compromised in considering the carjacking charge. In closing argument, the State never made any arguments that the Jeep was carjacked or stolen. Rather, the State began its closing argument stating, “Why kill for a truck, a truck, a motor vehicle, something as common and accessible as a truck? Because that truck was coveted by this defendant.” Similarly, in defense counsel’s closing argument, counsel focused on rebutting the State’s theory that the truck (and not the Jeep) was stolen. For example, defense counsel stated, “Common sense tells you that any devious plan to steal a truck, much less kill people, much less with a person with legal knowledge would not have left a trail a mile wide and big flashing arrows pointing directly to the guilty person.” On this record, we reject the claim that there is a genuine risk that some members of the jury may have convicted Deparvine of carjacking the truck while others may have convicted him of carjacking the Jeep.

We also reject Deparvine’s claim of error on the carjacking instructions. We agree with the State that defense counsel never objected to the instructions on the basis argued here.23 Where a defendant does not object to the jury instructions at trial, the defendant waives the issue for appellate review unless the error, if any, is fundamental. State v. Weaver, 957 So. 2d 586, 588 (Fla. 2007) (citing Reed v. State, 837 So. 2d 366, 370 (Fla. 2002)). State v. Delva, 575 So. 2d 643 (Fla. 1991), we explained:

To justify not imposing the contemporaneous objection rule,” the error must reach down into the validity of the trial itself to the extent that a verdict of guilty could not have been obtained without the assistance of the alleged error.” In other words, “fundamental error occurs only when the omission is pertinent or material to what the jury must consider in order to convict.” Failing to instruct on an element of the crime over which the record reflects there was no dispute is not fundamental error and there must be an objection to preserve the issue for appeal.

Id. at 644-45 (citations omitted) (quoting Brown v. State, 124 So. 2d 481, 484 (Fla. 1960), and Stewart v. State, 420 So. 2d 862, 863 (Fla. 1982)). In Deparvine’s case, the instructions properly tracked the language of the indictment and the statute. See § 812.133, Fla. Stat. (2003).

Furthermore, we reject Deparvine’s argument that there was insufficient evidence to support his conviction of carjacking. Although Deparvine argues that the carjacking charge could not be based on the taking of the truck because there is no evidence regarding what may have occurred before the Van Dusens were killed, Florida Statutes provide: “An act shall be deemed `in the course of the taking’ if it occurs either prior to, contemporaneous with, or subsequent to the taking of the property and if it and the act of taking constitute a continuous series of acts or events.” § 812.133(3)(b), Fla. Stat. (2003). Whether the Van Dusens were murdered after Deparvine took possession is irrelevant since a reasonable jury could infer from the evidence that the taking was the consequence of a continuous series of acts or events all focused on the taking of the truck.

IV. SUFFICIENCY OF THE EVIDENCE
We have also reviewed the sufficiency of evidence regarding Deparvine’s first-degree murder conviction. Even though Deparvine has not challenged the sufficiency of the evidence on appeal, this Court will “independently review the evidence to determine whether sufficient evidence exists to support a first-degree murder conviction.” Snelgrove v. State, 921 So. 2d 560, 570 (Fla. 2005) (citing Mansfield v. State, 758 So. 2d 636, 649 (Fla. 2000)), cert. denied, 127 S. Ct. 104 (2006).

“Generally, an appellate court will not reverse a conviction that is supported by competent, substantial evidence.” Reynolds v. State, 934 So. 2d 1128, 1145 (Fla. 2006) (citing Pagan v. State, 830 So. 2d 792, 803 (Fla. 2002)). “If, after viewing the evidence in a light most favorable to the State, a rational trier of fact could find the existence of the elements of the crime beyond a reasonable doubt, sufficient evidence exists to sustain a conviction.” Reynolds, 934 So. 2d at 1145. “However, where a conviction is based wholly upon circumstantial evidence, a special standard of review applies.” Darling v. State, 808 So. 2d 145, 155 (Fla. 2002) (citing Jaramillo v. State, 417 So. 2d 257 (Fla. 1982)).

Where the only proof of guilt is circumstantial, no matter how strongly the evidence may suggest guilt, a conviction cannot be sustained unless the evidence is inconsistent with any reasonable hypothesis of innocence. The question of whether the evidence fails to exclude all reasonable hypotheses of innocence is for the jury to determine, and where there is substantial, competent evidence to support the jury verdict, we will not reverse.

Darling, 808 So. 2d at 155 (quoting State v. Law, 559 So. 2d 187, 188 (Fla.1989)). Therefore, ” `circumstantial evidence can be sufficient to sustain a conviction’ provided that the evidence is (1) `consistent with the defendant’s guilt’ and (2) `inconsistent with any reasonable hypothesis of innocence.’ “Delgado v. State 948 So. 2d 681, 689-90 (Fla. 2006) (quoting Orme v. State, 677 So. 2d 258, 261 & n.1 (Fla. 1996)).

In Deparvine’s case, the State’s evidence was entirely circumstantial, and the special standard of review applies. Applying this standard, we hold that the State has presented competent, substantial evidence that is consistent with Deparvine’s guilt and inconsistent with any reasonable hypothesis of innocence.

First, the State presented evidence consistent with Deparvine’s guilt. Coviello, the Van Dusens’ neighbor, testified that between 5:15 p.m. and 5:45 p.m. on November 25, 2003, the day before their bodies were discovered, he saw Rick driving the truck by himself and Karla following him driving their Jeep by herself. Cell phone records indicated that the Van Dusens traveled through Deparvine’s apartment complex area after leaving their home in Tierra Verde. One of the phone calls Karla made was to her mother, Billie Ferris, whose testimony indicated that the truck’s purchaser was riding with Rick while they made their way to the Oldsmar area. Detective Keene confirmed Deparvine’s status as the truck purchaser when he discovered a notarized bill of sale from Rick to Deparvine, dated November 25, 2003. Indeed, Deparvine’s own testimony concedes that he was the truck purchaser. Deparvine’s DNA in the form of blood was discovered on six different areas of the Jeep’s steering wheel, and the evidence suggests that the Van Dusens were murdered in their Jeep. Most importantly, one of the blood spots was a mixture of Rick’s and Deparvine’s DNA; from this mixture of DNA, a reasonable jury could infer that both men were bleeding at the same time and that Deparvine was not only present when Rick was being murdered, but he was in fact the murderer. Further, Harrington testified that Deparvine wanted to purchase Harrington’s truck in August 2003, but before he did, he wanted to take the truck to Oldsmar. The Van Dusens’ bodies were discovered along a dirt road in Hillsborough County, next to a residence, approximately one mile east of Oldsmar. Finally, the truck was discovered in Deparvine’s possession. Taken in the light most favorable to the State, it was reasonable for the jury to infer from this evidence that Deparvine murdered the Van Dusens in order to take permanent possession of their truck. Additionally, as more particularly noted below in the proportionality analysis for the CCP aggravator, the evidence suggests that the murders were premeditated.

Second, the State presented substantial competent evidence that is inconsistent with any reasonable hypothesis of innocence. Deparvine’s theory is that the Van Dusens came to his apartment on November 25, 2003, to complete the transaction for the purchase of the truck. He argues that after he lawfully purchased the truck by paying the remaining balance of $5,000 in cash, Rick rode away in a similar red vintage truck driven by a man who looked like Deparvine followed by Karla driving the Jeep. Deparvine testified that he never saw them again. However, no other evidence of another truck and driver was presented, and this theory is directly contradicted by Ferris’s testimony that the truck’s purchaser was riding with them to Oldsmar as well as the other evidence of Deparvine’s guilt.

Deparvine further contends that his blood was transferred to the Jeep’s steering wheel on November 23, 2003, when he had the opportunity to drive the Jeep after his hand had been cut open while priming the carburetor on the truck. This theory is inconsistent for several reasons. First, the State presented testimony that it was highly unlikely that Rick would have allowed six blood stains to remain on the steering wheel for two days. Rick’s coworker, Wilson, testified that he rode in the Jeep on November 25, 2003, and noticed that the Jeep was in “immaculate condition”; he did not notice any of the six stains on the steering wheel. Second, in its rebuttal case, the State recalled Detective Hoover, who testified that he interviewed Deparvine the day after the victims’ bodies were discovered. Hoover testified that Deparvine stated that when the truck ran out of gas, he and Rick walked back to the house to get a can of gas. When they arrived, “he, Rick and Karla drove back to get gas and filled the truck up.” This testimony contradicts Deparvine’s trial testimony that only he and Rick went to retrieve the truck. Additionally, it contradicts his theory that he drove the Jeep because Karla was present and she, not Deparvine, could have driven the Jeep back home. Third, this theory is inconsistent by itself. After the truck ran out of gas and Deparvine allegedly primed the carburetor, Deparvine never drove the truck again. Nevertheless, Deparvine alleges that he was still willing to purchase the truck despite its mechanical failure and no additional test drives. The State having met the threshold burden of introducing competent evidence that was inconsistent with the defendant’s theory of events, it became the jury’s duty to determine “whether the evidence fails to exclude all reasonable hypotheses of innocence . . . and where there is substantial, competent evidence to support the jury verdict, we will not reverse.” Law, 559 So. 2d at 188. Accordingly, we hold that there was sufficient evidence to support Deparvine’s murder convictions, and we affirm the jury’s verdicts of guilt.

PENALTY-PHASE CHALLENGES
I. VICTIM IMPACT EVIDENCE
Deparvine challenges the penalty phase on several grounds. First, he argues that the trial court erred in allowing the State to introduce five victim impact witnesses. Before these five witnesses testified, trial counsel objected, arguing that five witnesses would be redundant, would have excessive impact, and might prevent a fair trial. The trial court overruled the objection. Initially, we reject this claim because Deparvine does not specify what part of the testimony was repetitive and therefore fails to sufficiently identify the error. Nevertheless, even if Deparvine properly asserted this claim, we reject it on the merits.

Victim impact evidence is designed to show “each victim’s `uniqueness as an individual human being,’ whatever the jury might think the loss to the community resulting from his death might be.” Payne v. Tennessee, 501 U.S. 808, 823 (1991); see also § 921.141(7), Fla. Stat. (2003). The admission of victim impact testimony is reviewed for abuse of discretion. Schoenwetter v. State, 931 So. 2d 857, 869 (Fla. 2006) (citing Zack v. State, 911 So. 2d 1190 (Fla. 2005)).

While being alert to the possibility of undue focus, this Court has never drawn a bright line holding that a certain number of victim impact witnesses are or are not permissible. In terms of numbers, this Court has affirmed up to four witnesses for one victim and consistently upheld three. Belcher v. State, 961 So. 2d 239, 257 (Fla.) (four witnesses), cert. denied, 128 S. Ct. 621 (2007); see also Schoenwetter, 931 So. 2d at 870 (three witnesses); Huggins v. State, 889 So. 2d 743, 765 (Fla. 2004) (same).

In Deparvine’s case, three witnesses were presented on behalf of Rick and two witnesses were presented on behalf of Karla. Because victim impact evidence is designed to show “each victim’s `uniqueness as an individual human being,’ ” the trial court was well within its discretion, and this Court’s precedent, to allow three witnesses to testify for Rick and two for Karla. See Payne, 501 U.S. at 823. “Family members are unique to each other by reason of the relationship and the role each has in the family.” Bonifay v. State, 680 So. 2d 413, 420 (Fla. 1996). Thus, the fact that more than one family member testifies about one victim does not make their testimony repetitive. For example, both Meyers and Ferris testified that Karla was their best friend and confidante. However, because Meyers and Ferris are distinct from each other, this testimony is not repetitive. Accordingly, even if Deparvine had sufficiently pleaded this claim, the trial court did not abuse its discretion in permitting the State to present five witnesses for victim impact testimony in this case.

We also reject the related claim that the trial court erred in permitting the victim impact witnesses to display photographs during their testimony. Deparvine did not object specifically on this basis, and thus this claim is procedurally barred on appeal. Windom v. State, 656 So. 2d 432, 438 (Fla. 1995). Furthermore, this Court can only assume which photographs were displayed because the photographs do not have identification numbers that correspond with their testimony. There were a total of five different photographs submitted as the State’s photographic evidence during the penalty phase. Deparvine’s description of what transpired at trial suggests that there were more photographs, but a review of the exhibits submitted to this Court reveals only five. Accordingly, we reject this claim as procedurally barred and insufficiently pleaded.

II. JUROR CHALLENGE
Next, Deparvine argues that the trial court erred by granting the State’s for-cause challenge of juror Daryl Rucker. The State argues that defense counsel failed to properly preserve the issue for review, but even if he did, the trial court did not abuse its discretion in excusing juror Rucker because he stated that he would hold the State to a higher burden of proof than the law requires.

We agree with the State that Deparvine did not preserve this issue for review. The State argued that juror Rucker should be excused because “I asked him point blank are you telling me that because the death penalty is a potential crime that you’d require a higher standard of proof than beyond a reasonable doubt and he said I guess I am.” The trial court agreed, and defense counsel responded, “Judge, I’ll object to that for the record.” Defense counsel did not make any specific objections as to this for-cause challenge. The law is clear that unless trial counsel objects with specific grounds when the trial court excludes a juror for cause, review of the trial court’s decision is procedurally barred on appeal. Fernandez v. State, 730 So. 2d 277, 281 (Fla. 1999). Accordingly, we hold that Deparvine is procedurally barred from raising this issue on appeal.

III. FLORIDA’S CAPITAL SENTENCING SCHEME
Next, Deparvine claims that Florida’s capital sentencing scheme, section 921.141, Florida Statutes (2003), is unconstitutional under Ring v. Arizona, 536 U.S. 584 (2002), because it allows a judge, rather than a jury, to find the aggravating factors for a death sentence, and because it does not require jury unanimity in making its recommendation. As the State points out, however, Deparvine’s claim is without merit since it is undisputed that he has prior felony convictions and this Court has held that the existence of such convictions as aggravating factors moots any claim under Ring. See Marshall v. Crosby, 911 So. 2d 1129 (Fla. 2005). Accordingly, we reject this claim.

IV. SENTENCING ORDER
Deparvine also challenges the trial court’s sentencing order, arguing that it is defective because it fails to clearly indicate what mitigating circumstances were found, and because it fails to address Dr. Eric Rosen’s testimony regarding Deparvine’s mental health disorders. Initially, we reject Deparvine’s argument that the trial court did not clearly indicate what mitigating circumstances it found. Although bundled into one paragraph, the trial court clearly found that Deparvine: (1) suffered from serious emotional deprivation as a child because of familial dysfunction; (2) suffered from inability to form and maintain close relationships with others; (3) suffered from estrangement from some family members; (4) persevered after marrying his teenage girlfriend, who had become pregnant, and worked hard to put himself through college and law school; and (5) was once a true family man and his children grieve at the predicament they found him in.

However, we agree with Deparvine that the trial court failed to expressly evaluate Dr. Eric Rosen’s testimony regarding Deparvine’s mental health disorders. The trial court made no references to Dr. Rosen’s Spencer hearing testimony, which indicated that Deparvine showed “elevated scales for depression and also for psychopathic deviance,” and that although he does not suffer from a “full personality disorder,” he suffers from personality disorder traits, or features, “that fit for depressive personality, antisocial personality and borderline personality traits.” Dr. Rosen explained that these “[p]ersonality disorder features fit with mental disorders. . . . So it would qualify as a mental health disorder,” as recognized in the Diagnostic and Statistical Manual. Dr. Rosen testified that Deparvine’s mood element was consistent with a dysthymic condition, which is akin to a “low grade depression.” On cross-examination, Dr. Rosen testified that dysthymic mood disorder is “a chronic depression,” though not a severe depression. Nevertheless, Dr. Rosen testified that dysthymia does not impair decision-making in a significant way and that even if Deparvine was suffering from that condition on the day of the murders that he would know right from wrong and would be capable of planning and executing a premeditated murder and carjacking. Dr. Rosen also testified that Deparvine was above average in intellect, exceeded eighty-one percent of other adults his age, and that his personality disorder shaped the choices he made, but did not limit his ability to make choices.

This Court has described the need for trial courts to enter sentencing orders “expressly evaluat[ing]” the defendant’s proposed mitigation. Campbell v. State, 571 So. 2d 415, 419 (Fla. 1990), receded from on other grounds by Trease v. State, 768 So. 2d 1050, 1055 (Fla. 2000). Since Campbell, this Court has held:

When addressing mitigating circumstances, the sentencing court must expressly evaluate in its written order each mitigating circumstance proposed by the defendant to determine whether it is supported by the evidence and whether, in the case of nonstatutory factors, it is truly of a mitigating nature. See [Campbell, 571 So. 2d] at 419. . . . After finding mitigating circumstances, the court must expressly consider in its written order each established mitigating circumstance and then must weigh the aggravating circumstances against the mitigating circumstance, in order to facilitate appellate review. See Campbell, 571 So. 2d at 420.

Rogers v. State, 783 So. 2d 980, 995 (Fla. 2001). Although Deparvine’s sentencing order states that “according to the testimony of Dr. Eric Rosen, the defendant is less capable than emotionally healthy people of forming and maintaining close relationships with others,” we note that nothing else is said about Dr. Rosen’s mental health examinations and conclusions. Furthermore, the trial judge was expressly made aware of Dr. Rosen’s testimony as mitigating evidence when, on November 22, 2005, the same day as the Spencer hearing, defense counsel filed a sentencing memorandum listing Dr. Rosen as “additional mitigating factors presented to the court” and describing Dr. Rosen’s opinion regarding Depravine’s dysthymic mood disorder. Accordingly, we conclude the trial court erred in not giving more express consideration of this mitigation pursuant to this Court’s mandate to expressly evaluate each mitigating circumstance.

We conclude, however, that any error in not treating this mitigation in greater detail was harmless beyond a reasonable doubt. The trial court found four aggravating circumstances, including CCP and prior violent felony, which we have said are among the weightiest of aggravators,24 and gave them all “great weight.” Little weight was given to the mitigating circumstances that the order described, including Dr. Rosen’s testimony. Even if the trial court had given Deparvine’s dysthymic condition—i.e., depression—greater weight than any other mitigator it found, there is no reasonable doubt that the trial court would have imposed the death penalty, particularly in view of the double murder involved in this case. See, e.g., Thomas v. State, 693 So. 2d 951, 953 (Fla. 1997) (holding that the trial court’s failure to evaluate mitigation evidence was error, but harmless because there was no reasonable doubt that the trial court would have imposed the death penalty in light of finding five aggravating circumstances); see also Cook v. State, 581 So. 2d 141, 143-44 (Fla. 1991) (holding that trial court erred in failing to mention mitigation evidence, but that the error was harmless “particularly in view of the double murder involved in this case”). Accordingly, we conclude the trial court’s failure to expressly evaluate Dr. Rosen’s testimony regarding Deparvine’s mental health disorders as mitigation was harmless beyond a reasonable doubt.

V. PROPORTIONALITY
Although Deparvine does not challenge the proportionality of the death sentence in this case, this Court will nevertheless conduct a proportionality review. See § 921.141, Fla. Stat. (2003). Proportionality review of death sentences derives in part from due process considerations that flow from the nature of this “uniquely irrevocable penalty, requiring a more intensive level of judicial scrutiny or process than would lesser penalties. . . . Thus, proportionality review is a unique and highly serious function of this Court, the purpose of which is to foster uniformity in death-penalty law.” Urbin v. State, 714 So. 2d 411, 417 (Fla. 1998) (quoting Tillman v. State, 591 So. 2d 167, 169 (Fla. 1991)). “In conducting its proportionality review, this Court must compare the totality of the circumstances in a particular case with other capital cases to determine whether death is warranted in the instant case.” Rimmer v. State, 825 So. 2d 304, 331 (Fla. 2002) (citing Bates v. State, 750 So. 2d 6 (Fla. 1999); Urbin, 714 So. 2d at 416). This entails “a qualitative review by this Court of the underlying basis for each aggravator and mitigator rather than a quantitative analysis.” Urbin, 714 So. 2d at 416.

The trial court in this case found four statutory aggravators and gave them all great weight. The first of these aggravators, CCP, is among the most serious aggravators set out in the statutory sentencing scheme. See Larkins, 739 So. 2d at 95. “CCP involves a much higher degree of premeditation” than is required to prove first-degree murder. Foster v. State, 778 So. 2d 906, 921 (Fla. 2001). The trial court based its finding on the fact that Deparvine “executed a well-thought-out and time-consuming plan to acquire the truck.” The record demonstrates that application of this aggravating factor is supported by competent, substantial evidence. The trial court found that on October 26, 2003, Deparvine placed a one-day classified ad in a newspaper offering to sell a non-existent Rolex watch. Deparvine later claimed he had been given such a watch by a fellow inmate. The plan was to claim, if asked, that he used the proceeds from the sale of the watch to purchase the truck. The defendant also knew he would need to obtain a bill of sale from the truck owner prior to the completed sale because the truck owner was not going to survive a completed sale. After executing the bill of sale, the victims and Deparvine drove at night from St. Petersburg to Oldsmar in two vehicles, the truck and the victims’ Jeep. After shooting the victims in the head from the back seat of the Jeep with a concealed pistol he had brought for the occasion, Deparvine dumped the bodies in a dark dirt driveway in the woods near Oldsmar. Deparvine then drove the Jeep to where the truck had been left in Oldsmar, parked the Jeep, and took the truck to his home in St. Petersburg. But before he left the Jeep, he placed a Florida identification card, which had been lost some weeks previously by Deparvine’s former neighbor, on the pavement by the driver’s door.

The second aggravator, pecuniary gain, rests on the trial court’s finding that the “murders were committed to facilitate the theft of the victims’ truck worth several thousand dollars.” To establish this aggravator, “the State must prove beyond a reasonable doubt that the murder was motivated, at least in part, by a desire to obtain money, property, or other financial gain.” Finney v. State, 660 So. 2d 674, 680 (Fla. 1995) (citing Clark v. State, 609 So. 2d 513, 515 (Fla. 1992); Peek v. State, 395 So. 2d 492, 499 (Fla. 1980)). This factor is supported by competent, substantial evidence because the victims’ truck was discovered in Deparvine’s possession after the murders.

The third aggravator, under sentence of imprisonment, rests on testimony that Deparvine was on conditional release at the time of the murders. “This Court has held that evidence of a defendant on conditional release at the time of the murder is sufficient to satisfy the `under sentence of imprisonment’ aggravator.” Lawrence v. State, 831 So. 2d 121, 136 (Fla. 2002) (citing Haliburton v. State, 561 So. 2d 248, 252 (Fla. 1990)). During the penalty phase, Officer Gordon testified that on April 28, 2003, Deparvine was released on conditional release from a sentence he was serving for possession of a firearm by a felon and carrying a concealed firearm. Thus, there is substantial competent evidence to support this aggravator.

The fourth aggravator, prior violent felony, rests on the contemporaneous murder convictions. “This Court has repeatedly held that where a defendant is convicted of multiple murders, arising from the same criminal episode, the contemporaneous conviction as to one victim may support the finding of the prior violent felony aggravator as to the murder of another victim.” Francis v. State, 808 So. 2d 110, 136 (Fla. 2001) (citing Mahn v. State, 714 So. 2d 391, 399 (Fla. 1998); Walker v. State, 707 So. 2d 300, 317 (Fla. 1997)). Qualitatively, this aggravator is among the most serious and weighty. See Sireci, 825 So. 2d at 887.

As for mitigating circumstances, the trial court found that Deparvine suffered from serious emotional deprivation as a child because of familial dysfunction, inability to form and maintain close relationships with others, and estrangement from some family members. Nevertheless, Deparvine persevered, marrying his teenage girlfriend, who had become pregnant, and worked hard to put himself through college and law school. Deparvine was once a true family man and his children grieve at the predicament they found Deparvine in. The court gave little weight to these mitigating circumstances and noted that “[t]he defendant’s life up until the time he first became a law violator does not seem to the court to be particularly remarkable.” Qualitatively, this mitigation evidence is not significant. Indeed, the trial court gave the mitigating circumstances little weight. Even considering Deparvine’s dysthymic condition, i.e., depression, there is no significant mitigation in this case, especially where Dr. Rosen testified that dysthymia does not impair decision-making in a significant way and that even if Deparvine was suffering from that condition on the day of the murders that he would know right from wrong and would be capable of planning and executing a premeditated murder and carjcaking. See Pagan, 830 So. 2d at 815-17 (finding the death penalty proportionate where three aggravating circumstances (previous violent felony, capital felony committed while engaged in the commission of armed burglary and armed robbery, and CCP) weighed against a lack of significant mitigation (childhood deprivation, attention deficit disorder, borderline personality disorder, loving family member and friend, and good conduct while in custody awaiting trial)).

We conclude that in comparison with analogous cases in which this Court ruled that death was a proportionate penalty, the sentence here is constitutionally proportionate. For example, Anderson v. State, 574 So. 2d 87 (Fla. 1991), the defendant shot the victim in the victim’s car after the victim gave the defendant a ride. Id. at 89. After dumping the victim’s body in a wooded area, the defendant drove the victim’s car to the Tampa airport, where he abandoned it, and kept the victim’s satchel containing money. Id. We upheld the death sentence based on the trial court’s finding of two aggravating circumstances (previous capital felony and pecuniary gain/CCP (merged)) and one mitigating circumstance (accomplice allowed to plead guilty to third-degree murder). Id. at 90 nn.2-3, 95; see also Diaz v. State, 860 So. 2d 960, 971 (Fla. 2003) (finding the death penalty proportionate where two aggravators (CCP and previous capital/violent felony) were balanced against five statutory mitigating circumstances (no significant prior criminal history, extreme mental or emotional disturbance, impaired capacity, age, and the defendant’s remorse and history of family violence); Lawrence v. State, 691 So. 2d 1068, 1075-76 (Fla. 1997) (upholding death sentence based on three aggravating factors (under sentence of imprisonment, previous violent felony, and pecuniary gain) and evidence of the defendant’s mental and emotional disturbance and drug and alcohol abuse as a mitigating factors); Hill v. State, 688 So. 2d 901, 903, 907 (Fla. 1996) (upholding death sentence where defendant shot into a truck killing two passengers and wounding another, and the death sentence was based on two aggravating factors (prior violent felony involving contemporaneous murder convictions and CCP) and one statutory mitigating factor (no significant history of prior criminal activity)); Pope v. State, 679 So. 2d 710, 712 n.1, 716 (Fla. 1996) (holding death penalty proportionate where pecuniary gain and prior violent felony aggravators outweighed two statutory mitigating circumstances (influence of extreme mental or emotional disturbance and impaired capacity to appreciate criminality of conduct) and several nonstatutory mitigating circumstances); Melton v. State, 638 So. 2d 927, 929, 931 (Fla. 1994) (holding death penalty proportionate where pecuniary gain and prior violent felony aggravators outweighed some nonstatutory mitigation).

Deparvine’s case is unlike Urbin, where this Court found that the death penalty was disproportionate when the prior violent felony and pecuniary gain aggravators were balanced against substantial mitigation (impaired capacity, parental abuse and neglect, mother incarcerated during defendant’s formative years), including the defendant’s age, which was a weighty mitigator. 714 So. 2d at 417.

Accordingly, we conclude, based on our qualitative review of the basis underlying each aggravator and mitigator and comparison with similar cases, that death is a constitutionally proportionate punishment for Deparvine.

CONCLUSION
In accord with the above analysis, we affirm Deparvine’s convictions and sentences.

It is so ordered.

WELLS, ANSTEAD, PARIENTE, and BELL, JJ., and CANTERO, Senior Justice, concur.

LEWIS, J., dissents with an opinion, in which QUINCE, C.J., concurs.

NOT FINAL UNTIL TIME EXPIRES TO FILE REHEARING MOTION, AND IF FILED, DETERMINED.

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Notes:

1. In its rebuttal case, the State recalled Detective Hoover, who testified that on November 27, 2003, he interviewed Deparvine. Hoover testified that Deparvine stated that when the truck ran out of gas, he and Rick walked back to the house to get a can of gas. When they arrived, “he, Rick and Karla drove back to get gas and filled the truck up.”

2. Deparvine was also indicted on two counts of kidnapping, but the trial judge granted a motion for judgment of acquittal on both counts.

3. Spencer v. State, 615 So. 2d 688 (Fla. 1993).

4. The State raises two cross-appeal issues, which we will not address because Deparvine’s convictions and sentences are affirmed.

5. For this Court’s most recent discussion of the excited utterance exception, see Hudson v. State, 33 Fla. L. Weekly S465 (Fla. 2008).

6. Marsh v. Valyou, 977 So. 2d 543, 556 (Fla. 2007); In re Florida Evidence Code, 376 So. 2d 1161, 1162 (Fla. 1979).

7. Courts have used the term res gestae in various ways to describe:

(a) part of a relevant transaction the offered evidence of which has no hearsay aspect, (b) declarations of presently existing subjective symptoms offered in evidence as tending to prove the existence of those symptoms, (c) declarations of a presently existing mental condition offered in evidence as tending to prove that condition, its probable continuance and its previous existence, and to prove conduct in accord with that mental condition, (d) declarations of a past mental condition or of past symptoms, and (e) spontaneous statements or statements made contemporaneously with a relevant event or condition, evidence of which is offered as tending to prove the truth of the matter stated.

Edmund M. Morgan, The Law of Evidence, 1941-1945, 59 Harv. L. Rev. 481, 568 (1946). Professor John H. Wigmore writes:

The phrase `res gestae’ has long been not only entirely useless, but even positively harmful. It is useless, because every rule of Evidence to which it has ever been applied exists as a part of some well-established principle and can be explained in the terms of that principle. It is harmful because by its ambiguity it invites the confusion of one rule with another and thus creates uncertainty as to the limitations of both. It ought therefore wholly to be repudiated, as a vicious element in our legal phraseology. No rule of evidence can be created or applied by the mere muttering of a shibboleth.

6 John Henry Wigmore, A Treatise on the Anglo-American System of Evidence in Trials at Common Law § 1767, at 182 (3d ed. 1940).

8. Commenting on Professor Thayer’s views, Edmund Morgan noted the impracticability of insisting “on exact contemporaneousness—he says `very near in time to that which they tended to prove, fill out or illustrate.’ ” Edmund M. Morgan, Res Gestae, 12 Wash. L. Rev. 91, 97 (1937) [hereinafter Morgan, Res Gestae].

9. Morgan recognized seven categories where res gestae had been applied to introduce out-of-court statements. See generally Morgan, Suggested Classification, supra. Categories six and seven addressed, respectively, the modern-day spontaneous statement and excited utterance exceptions. Id. at 236, 238.

10. Professor Thayer’s view is reflected in McCormick:

Although these statements [(declarations concerning nonexciting events)] lack whatever assurance of reliability is produced by the effect of an exciting event, other factors offer safeguards. First, since the report concerns observations being made at the time of the statement, possible errors caused by a defect of the declarant’s memory are absent. Second, a requirement that the statement be made contemporaneously with the observation means that little or no time is available for calculated misstatement. Third, the statement will usually have been made to a third person (the witness who subsequently testifies to it), who was also present at the time and scene of the observation.

2 McCormick, supra, § 271, at 251.

11. Act of Jan. 2, 1975, Pub. L. No. 93-595, § 1, 88 Stat. 1926.

12. McCormick explains:

The notion that parties’ out-of-court statements could not be evidence in their favor because of the “self-serving” nature of the statements seems to have originated with the now universally discarded rule forbidding parties to testify. When this rule of disqualification for interest was abrogated by statute, any sweeping rule of inadmissibility regarding self-serving statements should have been regarded as abolished by implication.

. . . [Under the hearsay rules], no specific rule is necessary to exclude self-serving out-of-court statements if not within a hearsay exception. If a statement with a self-serving aspect falls within an exception to the hearsay rule, the judgment underlying the exception that the assurances of trustworthiness outweigh the dangers inherent in hearsay should be taken as controlling, and the declaration should be admitted despite its self-serving aspects.

2 McCormick, supra, § 270, at 248 (footnotes omitted).

13. Some cases also have admitted statements made before the act or occurrence in litigation under the rationale that the statements are “so connected with the crime as to have a relevant bearing on it.” Washington, 118 So. 2d at 653. In Washington, the Second District noted that

A more liberal statement of the rule as announced by many recent decisions is that, not only such declarations and acts as accompany the transaction are admissible as parts of the res gestae, but also such as are made or performed under such circumstances as will raise a reasonable presumption that they are the spontaneous utterance or act created by or springing out of the transaction itself, and so soon thereafter as to exclude the presumption that they were the result of premeditated design.

Id. (quoting “Syllabus by the Court” Goff v. State, 77 So. 877 (Fla. 1918)). Thus, in Washington, a prosecution of the defendant for murdering his wife, the court held that the trial court did not abuse its discretion in admitting the testimony of a witness that went to the defendant’s home, and after knocking at the door, heard the deceased say, “George, there’s the St. Petersburg man,” referring to the witness. Id. at 652. The deceased then came to the door and stated that “George has been drinking and is waiving an old pistol. I will catch you next week.” Id. The deceased then said, “George, get back in there. Don’t go out there. That’s a white man; he will kill you.” Id. As the witness walked away from the home, he heard a shot and a sound as if someone fell. Id. In finding that the statements constituted part of the transaction, the court observed that the statements were made immediately prior to the shooting, and the circumstances indicated that the statements did not result from any forethought or premeditation. Id. at 654. It is not clear whether the court applied Wigmore’s or Thayer’s theory. On the one hand, the statements did not emanate from the act or occurrence in litigation, which was a murder. Nevertheless, the statements arguably emanated from an exciting event, i.e., George was waving an old pistol. On the other hand, the court began its analysis by citing a rule of law, quoted above, that was more akin to Thayer’s theory. The court mostly seemed concerned with circumstances indicating reliability. See id.

14. These components are embodied in section 90.801(1)-(3), Florida Statutes (2007). Alexander v. State, 627 So. 2d 35, 43 (Fla. 1st DCA 1993).

15. In 1974, Professor Charles W. Ehrhardt wrote about Florida’s proposed evidence code. See generally Charles W. Ehrhardt, A Look at Florida’s Proposed Code of Evidence, 2 Fla. St. U. L. Rev. 681 (1974). With respect to spontaneous statements, he wrote, “If out-of-court statements were made spontaneously in reaction to a stimulus, there is little likelihood that the declarant had the motive or opportunity to falsify since the statements were made before the opportunity to falsify arose.” Id. at 691. He did not, however, discuss what he meant by “stimulus.” Instead, he continued, “When a statement is made contemporaneously with an event and the statement explains the event while, or immediately after, the declarant perceives it, the Code recognizes the statement’s admissibility.” Id. at 692. The excited utterance was distinguished as not requiring the same degree of contemporaneity “if the statement is made while the declarant is under the stress of excitement caused by an event,” and the “statement relates to the event causing the excitement.” Id.

16. The Advisory Committee cited Edmund Morgan, who, as noted above, advocated for recognition of Professor Thayer’s view and drafted the rule adopted by the ALI, which was worded substantially similar to the current federal and Florida rule and noted that it was an adoption of Thayer’s view. Fed. R. Evid. 803(1) advisory committee’s note. The Law Revision Council also noted that the guarantee of trustworthiness in excited utterances is that “the circumstances produce a condition of excitement which temporarily stills the capacity of reflection and produces utterance free of conscious fabrication.” 6C Fla. Stat. Ann. 268 (West Publishing Co. 1979) (Law Revision Council note—1976). This language is strikingly similar to Professor Wigmore’s endorsement of a spontaneous exclamation exception, wherein he stated, “Under certain external circumstances of physical shock, a stress of nervous excitement may be produced which stills the reflective faculties and removes their control, so that the utterance which then occurs is a spontaneous and sincere response to the actual sensations and perceptions already produced by the external shock.” 6 Wigmore, supra note 5, § 1747, at 135.

17. The dissent is concerned that our approach will cause enormous mischief in the future in criminal prosecutions. Our approach, however, essentially holds that Florida’s spontaneous statement is similar to the federal present sense impression exception, but with this added provision. In fact, federal courts have applied a broader version of Florida’s spontaneous statement exception for over thirty years, and there is no evidence indicating criminal prosecutions in the federal courts have been radically affected.

18. Although Professor Ehrhardt states, “[S]pontaneity is the key,” Ehrhardt, Florida Evidence, supra, § 803.1, at 843, contemporaneousness has always been the critical factor underlying Thayer and Morgan’s theory. Morgan specifically noted that “[c]ontemporaneousness, not spontaneity, is the test.” Res Gestae, supra note 6, at 96. Morgan explained that “the spontaneity of the utterance is warranted by its contemporaneousness with the event.” Morgan, Suggested Classification, supra note 7, at 237.

19. The dissent contends that Florida pre-evidence code case law applied Wigmore’s theory, not Thayer’s theory. As the majority opinion explains, some of Florida pre-evidence code case law did apply Wigmore’s theory, and the Florida Legislature subsequently codified that theory in enacting section 90.803(2), the excited utterance exception to the hearsay rule of exclusion. However, our opinion further explains that the Florida Legislature also adopted Thayer’s theory and embodied that theory in section 90.803(1), the spontaneous statement exception. In analyzing the spontaneous statement exception, however, the dissent focuses on the nature of an “event” and argues that only an unusual event can trigger a statement that qualifies as spontaneous. Under the dissent’s view, there would be virtually no difference between a spontaneous statement and an excited utterance. Importantly, if the Legislature wanted an “event” under spontaneous statements to be qualified by something “unusual” then it would have said so as it did in defining an excited utterance. See § 90.803(2), Fla. Stat. (2003) (“startling event or condition” (emphasis supplied)).

20. We reject Deparvine’s argument that responses to questions cannot qualify as spontaneous statements. Responses to questions do not necessarily diminish contemporaneousness. See, e.g., State v. Adams, 683 So. 2d 517, 521 (Fla. 2d DCA 1996); McGauley v. State, 638 So. 2d 973, 973-74 (Fla. 4th DCA 1994). Even under the res gestae line of cases, a response to a question did not diminish reliability. See Williams, 198 So. 2d at 22-23. At least one other jurisdiction, however, has stated in dicta that “[a]n answer to a question is not a present sense impression.” State v. Martinez, 20 P.3d 1062, 1067 (Wash. Ct. App. 2001) (citing State v. Hieb, 693 P.2d 145 (Wash. Ct. App. 1984), rev’d on other grounds, 727 P.2d 239 (Wash. 1986)). We disagree with this statement.

21. See Mordenti v. State, 982 So. 2d 710 (Fla. 2d DCA 2008); Mariano v. State, 933 So. 2d 111 (Fla. 4th DCA 2006); McDonald v. State, 578 So. 2d 371 (Fla. 1st DCA 1991). In each of these cases the district courts used the words “blurted out” to convey the same meaning as the declarant making a spontaneous statement. Indeed, the words “spontaneous” and “blurt” have almost identical meanings. See Merriam-Webster’s Collegiate Dictionary 126 (10th ed. 2001).

22. The dissent contends that under our analysis, any statement during the telephone conversation between Karla and her mother may be admissible. Our analysis and conclusion here, however, specifically refutes this assertion. The dissent also contends that there are no guarantees of trustworthiness demonstrating that Karla made these statements while perceiving the event. Specifically, the dissent contends that Karla’s mother cannot provide a check on the accuracy of Karla’s statements because she, the mother, was not observing the situation, and Karla is not available for cross-examination. However, the statutory spontaneous statement exception requires neither corroboration nor availability to be demonstrated by additional evidence in order for the statement to be admissible. Of course, as noted above, the Florida exception does caution courts to consider whether the statement was made under circumstances that indicate its lack of trustworthiness.

23. The only discussion on the carjacking charge instructions at trial related to whether the court should instruct on lesser included offenses.

24. See Sireci v. Moore, 825 So. 2d 882, 887 (Fla. 2002); Larkins v. State, 739 So. 2d 90, 95 (Fla. 1999).

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LEWIS, J., dissenting.

I dissent because the majority’s analysis of the admitted statements swings the door wide open to indiscriminately welcome the admission of unlimited hearsay into evidence, contrary to established precedent. The longstanding rules of evidence, sentinels guarding against the entry of unreliable out-of-court statements, are cast aside by the majority’s analysis. Florida’s case law has historically required that a statement contemporaneously describing an event be of a spontaneous nature. To be spontaneous, it is intrinsic that the event must have the character to trigger a statement that is a reflexive reaction and not a mere casual narrative. This simple and fundamental requirement of spontaneity is discarded by the majority’s analysis and deemed unnecessary to transform these statements from rank hearsay to admissible testimony. Now, lacking the essential element of spontaneity, any statement made during any conversation that refers to the declarant’s actions at the time of the utterance could be admissible.

The majority changes the course of Florida law based on the commentary of legal theorists. This analysis balks in the face of longstanding Florida precedent. Thus, I must respectfully decline to join in the unfettered broadening of the evidence rules and the unnecessary alteration of Florida case law.

I. IT IS A LONGSTANDING PRINCIPLE OF FLORIDA LAW THAT A SPONTANEOUS STATEMENT MUST BE TRIGGERED BY THE UNUSUAL EVENT.
It is basic and fundamental law that an out-of-court statement offered to prove the truth of the matter asserted is generally inadmissible unless the statement falls under a recognized exception to the rule against hearsay. See § 90.802, Fla. Stat. (2003). An out-of-court statement is suspect because of four testimonial dangers: misperception, faulty memory, insincerity, and mistransmission. See Douglas D. McFarland, Present Sense Impressions Cannot Live in the Past, 28 Fla. St. U. L. Rev. 907, 913 (2001). Though this danger exists for all testimony, out-of-court statements are not subject to tests of veracity, in that (1) the declarant is not testifying under oath; (2) the trier of fact cannot observe the declarant’s demeanor, and (3) the declarant is not cross-examined. See Lyles v. State, 412 So. 2d 458, 459 (Fla. 2d DCA 1982). Therefore, an additional condition must exist that eliminates at least some of the testimonial dangers. These conditions are considered exceptions to the hearsay rule.

For the spontaneous statement exception, Florida law has always required an event that provoked or elicited the spontaneous statement. It does not matter whether the event is cast as startling, exciting, unusual, or unexpected, just that it be an occurrence of a nature that produces a spontaneous and unreflecting utterance. See 6 John Henry Wigmore, Evidence in Trials at Common Law § 1750 (1940). This unexpected occurrence alleviates the danger of insincerity and memory loss because a witness who is suddenly or unexpectedly confronted with an event will respond somewhat automatically with a truthful statement about the sudden event. Two of the four testimonial dangers are diminished because of the spontaneity and contemporaneousness of the statement. McFarland, 28 Fla. St. U. L. Rev. at 914. Thus, the spontaneity of the statement provides guarantees of trustworthiness.

A review of Florida case law clearly demonstrates that this rationale, originally developed under the res gestae exception of the common law, still applies under the current evidence code. Hutchinson v. State, 882 So. 2d 943 (Fla. 2004), this Court stated that both the spontaneous statement and the excited utterance exception “require the declarant to be laboring under the influence of a starling event at the time that the statement is made.” Id. at 951. The majority erroneously classifies this clear statement of longstanding Florida law as dicta “blurring the distinctions” between the two exceptions. Hutchinson, however, is the progeny of almost one hundred years of legal development of Florida’s hearsay rules.

With the single, stray exception of Tampa Electric Company v. Getrost, 10 So. 2d 83 (Fla. 1942), the majority cites no other Florida decision to support its contention that the Florida courts have incorrectly interpreted the elements of the spontaneous statement exception. In every other case discussed by the majority, an unusual event or occurrence was an intrinsic and obvious catalyst to the statement at issue. While the majority dismisses the significance of these cases, which weigh heavily against its position, by listing them in a string cite, an analysis of the facts and applied law in these decisions reveals that Florida courts have absolutely required the additional element of spontaneity triggered by an event, unlike the Federal Rules of Evidence.

a. Pre-code cases: Florida’s common law

Florida has historically applied a rule in this context flowing from the admission of res gestae. See Lambright v. State, 16 So. 582, 580-84 (Fla. 1894) (discussing various authorities’ theories on the rules of the res gestae in determining that shooting victim’s statement identifying the murderer, uttered the morning after the event, was not a spontaneous utterance). The case law prior to the enactment of the evidence code demonstrates that under the umbrella of res gestae, the declarant’s statement must necessarily spring from the described event to be spontaneous. These events are all of an unusual character that would trigger a reflexive statement.

Goff v. State, 77 So. 877 (Fla. 1918), the defendant in a first-degree murder trial asserted that he should have been allowed to testify as to what happened after “the cutting.” In analyzing whether these statements should have been admitted as a part of the res gestae, this Court explained:

To make declarations a part of the res gestae, they must be contemporaneous with the main fact; but, in order to be contemporaneous, they are not required to be precisely concurrent in time. If the declaration springs out of the transaction, if it elucidates it, if it is voluntary and spontaneous, and if it is made at a time so near to the main transaction as reasonably to preclude the idea of deliberate design, it is then to be regarded as contemporaneous.

Id. at 878 (emphasis supplied) (quoting State v. Garrand, 5 Or. 216, 217 (Or. 1874)); see also Johnson v. State, 58 So. 540, 541 (Fla. 1912) (rejecting proposition that statement made hours after a melee, which ended in three deaths, was a spontaneous utterance of thoughts created by, or sprung out of, the fight); Vickery v. State, 38 So. 907, 908 (Fla. 1905) (determining questions concerning a shooting were properly excluded because they lacked a showing that the hearsay statements were the product of, or part of “the difficulty itself,” produced by the occurrences to which they related). Most people would agree that a knife fight resulting in a stabbing is an event startling or unusual enough to produce a spontaneous utterance. On a smaller scale, one can imagine the genuine and startled exclamation of pain uttered when a kitchen knife slips and slices a finger. The sudden adrenaline produced by a stabbing eliminates concerns about misperception and insincerity.

The same is true for statements made after a physical beating. For example, in a case previously before this Court, a man was “double teamed” by an uncle and nephew, struck in the head by a bottle, and shot. Within the two minutes following the beating, the victim told his aunt, who lived 70 to 100 yards away from where the fracas occurred, what had happened. This Court found that these statements were admissible because there was no time or motive to fabricate the story, and the short time precluded the idea of deliberate design by the deceased. In doing so, this Court relied on the following rule and authority:

It is often difficult to determine when declarations having relation to an act or transaction should be considered as part of the res gestae, and an equally great difficulty has been experienced in the effort to prescribe general rules for the admission of such. It may, however, be safely said that declarations which were the natural emanations or outgrowths of the act or occurrence in litigation, although not precisely concurrent in point of time, if they were yet voluntarily and spontaneously made so nearly contemporaneous as to be in the presence of the transaction which they illustrate and explain, and were made under such circumstances as necessarily to exclude the idea of design or deliberation, must upon the clearest principles of justice, be admissible as part of the act or transaction itself.

Washington v. State, 98 So. 605, 608 (Fla. 1923) (emphasis supplied). Thus, the admission of the victim’s statements depended upon them being uttered “in the presence” of the beating they described. Under today’s code, these statements likely would be considered excited utterances, but the element of an event triggering the statement would still be required because the triggering event provides the requisite spontaneity to increase the reliability of the otherwise hearsay statements.

Washington v. State, 118 So. 2d 650 (Fla. 2d DCA 1960), another decision upon which the majority relies, the statements obviously stemmed from the triggering event of a commotion occurring inside a house. Id. at 652. This altercation ended when the defendant shot his wife, which compelled the criminal trial. In the context of evidence in a criminal proceeding, the offense is very often the requisite event triggering the spontaneous statement. Therefore, when the district court discussed the origins of res gestae, it is clear that the terminology of a required “main fact” or “transaction” is equivalent to the usage of the terminology “event or condition” in the current statute, section 90.803(1), Florida Statute (2003).

Statements or acts of the injured person made or done at a time immediately prior to the offense or so near to it as to preclude the idea of forethought, and tending to elucidate a main fact in issue may be admissible as part of the res gestae. Further, the rule is well recognized that statements, exclamations, acts, and conduct of the injured person at a time substantially contemporaneous with the offense and so connected with the crime as to have a relevant bearing on it may be held admissible as part of the res gestae, whether they incriminate the accused or exonerate him.

Washington, 118 So. 2d at 653 (emphasis supplied) (citation omitted). Any separation from “a main litigated fact” renders the statements inadmissible under this exception. Id. Without the altercation to provoke them, it is obvious that any comments made by the wife would not possess the required element of spontaneity. See also State v. Williams, 198 So. 2d 21, 22-24 (Fla. 1967) (determining victim’s description of the event, made five to eight minutes after a shooting, was a natural emanation or outgrowth of the question, a necessary incident to explain the deceased’s condition, and excluded the idea of design or deliberation while being substantially contemporaneous with the offense); Elmore v. State, 291So. 2d 617 (Fla. 4th DCA 1974) (statements made during shooting), overruled on other grounds by Martin v. State, 342 So. 2d 501 (Fla. 1977).

Lawrence v. State, 294 So. 2d 371 (Fla. 1st DCA 1974), the district court also utilized Wigmore’s approach that the statements must be a spontaneous reaction or utterance stimulated by the excitement of the occasion to analyze statements emanating from a heated argument that turned into an “affray” ending in murder. Id. at 373. A feuding group tensely gathered at a tavern. The conversation turned heated as accusations were thrown regarding tampering with the rigging on a boat. The court held that the heated argument, which was otherwise wholly hearsay, was “stimulated by the excitement of the accusation which led to the shooting of decedent.” Id.; see also Johnson v. State, 314 So. 2d 248 (Fla. 1st DCA 1975) (discussing spontaneous exclamation exception as applied to statement emanating from a knife fight). While Wigmore’s approach thrives throughout Florida’s jurisprudence, the Thayer approach, which the majority has chosen to follow, exists in Florida only in the commentary of legal theorists.

Even Tampa Electric, which the majority relies on as a pre-code case adopting the present sense impression, is clearly not controlling. In that decision, this Court did not identify the particular aspect of the res gestae under which it allowed the hearsay statements into evidence. The entirety of this Court’s discussion consisted of the following excerpt:

The remaining question relates to the correctness of the ruling of the trial court in denying a motion to strike certain testimony of the witness Lynch who, throughout the repair work, had been assisting Getrost [the deceased]. On his direct examination he testified at some length about use of the telephone by Getrost immediately prior to his death at the time it was contended by appellee he made the last call to the plant with reference to disconnecting the circuit. He did not hear the conversation but watched Getrost use the telephone and when the latter rejoined him he said he had had the circuit opened.

After all this testimony had been introduced on direct examination and after cross examination had proceeded to some extent the attorney for the appellant made his motion to strike, because it was hearsay, all the testimony about a report by Getrost to his helper that he had ordered the current discontinued. Even assuming that the objection was timely made, still we think the testimony was admissible in view of all of the circumstances. It will be recalled that these two men had been working together and the witness was entirely familiar with the procedure of telephoning the plant operator each time the line was energized or the current interrupted. He knew of the memorandum, containing the telephone number, that Getrost used in calling the plant and evidently saw him on the last occasion follow the same procedure as on previous ones. Considering the entire experience of the witness as an assistant to Getrost, his familiarity with the methods they were following and the conduct of Getrost immediately preceding the misfortune, it seems to us that the testimony cannot be said to have been improper.

We think the statement was not infected with the vices which make such declarations usually inadmissible. At the time it was uttered there was no occasion for it to have resulted from reflection or premeditation, nor was there motive to make it self-serving. Nothing in the record indicates that Getrost anticipated danger or injury until the moment he died.

Tampa Electric, 10 So. 2d at 84-85 (emphasis supplied) (citation omitted). The statements included a discussion of the deceased’s actions before his death. The opinion, however, does not identify under which particular aspect of the res gestae the statements were admissible. Additionally, the analysis does not discuss the spontaneity of the statement or indicate that the statement described an event. Instead, the Court found the testimony admissible in “view of all the circumstances,” considering factors of reliability such as the witness’s familiarity with the procedure. Reliance on this decision, which is the sole example of an unexciting event where the present sense impression was utilized to admit hearsay statements, is unfounded. That decision is outweighed by the entire body of applicable Florida decisions, which requires the descriptive statement to be a spontaneous response triggered by an unusual event.

b. Post-code cases: retaining the requirement of spontaneity

After enactment of the evidence code in 1979, Florida courts continued to require an occurrence startling enough to produce the spontaneous statement. Lyles v. State, 412 So. 2d 458, the Second District found no merit to the State’s assertion that the victim’s statements, made in response to a police investigator’s questions more than 14 hours after the commission of the battery, were admissible as spontaneous statements. “In order for the spontaneous statement exception to the hearsay rule to be applicable, there must be some occurrence startling enough to produce nervous excitement and render the utterance spontaneous and unreflecting.” Id. at 460 (emphasis supplied). The holding of the Second District could not be more clear with regard to this issue. The record failed to demonstrate that the victim was under the stress of excitement caused by the event at the time she made the statement. Id. Thus, the statements were not admissible under this exception.

The essence of the res gestae rule persisted after adoption of the code. Garcia v. State, 492 So. 2d 360 (Fla. 1986), this Court considered statements made by a victim to a police officer after a robbery of an elderly couple’s farm market. The wounded victim described the robbery of the market and the defendant’s shooting of the husband and wife. This Court held that her “response was spontaneous, sprang from the stress, pain and excitement of the shootings and robberies, and was not the result of any premeditated design.” Id. at 365. “As a contemporaneous utterance, it was admissible under the res gestae rule.” Id. (emphasis supplied). Again, this Court clearly described the stressed and excited conditions necessary for the admission of otherwise hearsay statements into evidence.

In a later case, the Second District applied the reasoning of Lyles to a victim’s testimony concerning an altercation. See Quiles v. State, 523 So. 2d 1261, 1263 (Fla. 2d DCA 1988). The district court held that the statements were neither spontaneous statements nor excited utterances because they were made to a police officer after the fight occurred. See id. These decisions required the spontaneous response to emanate from the event for application of both the spontaneous statement and the excited utterance exceptions.

Responses to questions after an unusual event have also been analyzed under the spontaneous statement exception. In one such case, the defendant returned home after striking a man with a machete. See McGauley v. State, 638 So. 2d 973, 974 (Fla. 4th DCA 1994). Soon thereafter, a police officer knocked on the defendant’s front door and the defendant leapt out of a back window. The Fourth District held that the wife’s response to the officer’s question about who had jumped out of the window was admissible under either the spontaneous statement or the excited utterance exceptions. Id. at 975.

J.M. v. State, 665 So. 2d 1135 (Fla. 5th DCA 1996), the Fifth District considered statements a drug buyer made identifying a drug seller. Following the seller’s departure, a police officer approached and asked the buyer if he had drugs in his possession. The buyer looked at his hands, his lap, and his legs. When the officer spotted the drugs between the buyer’s legs, the buyer identified the seller. The district court stated:

While the language in the statutory exception specifically includes the requirement that the purported spontaneous statements be made while the declarant perceives the event or condition, or immediately thereafter, contemporaneity is not the only requirement, but instead, the statement must also, of course, be spontaneous; that is, the statement must be made without the declarant first engaging in reflective thought.

Id. at 1137 (emphasis supplied). The district court applied this principle to the facts, and held that before the buyer made the statement implicating the seller, the buyer had time to engage in the very type of reflective thought that is inconsistent with the aspects of reliability upon which the spontaneous statement exception rests.

Continuing this line of precedent, in a murder trial, where the defense asserted that the victim committed suicide, the Second District held that the defendant’s statement to a neighbor—that the victim “asked me for a gun because he wanted to blow his head off . . . so I gave him the gun. I didn’t think he was going to do it” —qualified as a spontaneous statement under section 90.803(1). State v. Adams, 683 So. 2d 517, 518 (Fla. 2d DCA 1996). The court relied on the principle presented State v. Snowden, 345 So. 2d 856 (Fla. 1st DCA 1977), that the admissibility of a spontaneous statement requires that the factors of contemporaneity and spontaneity relate to the perceived event so as to preclude any deliberation or fabrication. The district court held that the statement

clearly arose from the main event of the victim’s suicide; described and explained the circumstances of that event; was made shortly after the suicide, while the circumstances surrounding that tragic event were still unfolding, so as to be contemporaneous with that event; and, more important, was spontaneously made under circumstances precluding deliberation or fabrication.

Adams, 683 So. 2d at 521 (emphasis supplied). It is clear that the district court was applying Wigmore’s interpretation of the spontaneous statement exception, rather than Thayer’s version.

In the last two post-code cases discussed, the courts considered the admissibility of statements made during telephone calls. State v. Skolar, 692 So. 2d 309 (Fla. 5th DCA 1997), the district court held that a 911 call, detailing the defendant’s claim of physical abuse by the victim and made several hours before the murder, did not qualify as either a spontaneous statement or an excited utterance because it was not made “as the result of a startling or stressful event.” Id. at 311 (emphasis supplied).

Relying on Skolar, the district court later held that there was no error in the admission of testimony concerning what a victim said during phone calls made while the victim was being kidnapped and threatened. See Viglione v. State, 861 So. 2d 511, 513 (Fla. 5th DCA 2003). The district court stated that this testimony was admissible either as a spontaneous statement or an excited utterance, because the victim’s calls for help and pleas for money to obtain his release were made while under the stress of the event and were similar to a distressed victim’s 911 call. See id. at 513.

Other than Tampa Electric, the only other decision advanced by the majority to support its adoption of Thayer’s position is Ibar v. State, 938 So. 2d 451 (Fla. 2006). However, in that decision, this Court held that the statement was not admissible under the spontaneous statement exception because it did not describe an event. The disputed statement arose from the witness’s testimony that the defendant came to her house the morning of the murder. When she asked the defendant to identify himself, he responded, “I’m Pablo.” In deciding that the statement was inadmissible, this Court distinguished the two cases the State advanced to support its position because the statements involved in those cases were spontaneous in that “the declarant responded to an event.” Id. at 466-67 (emphasis supplied) (discussing McGauley v. State, 638 So. 2d 973, 974 (Fla. 4th DCA 1994) (holding that wife’s response to officer’s question, “Who jumped out of the back window?,” was a spontaneous statement), and McDonald v. State, 578 So. 2d 371, 373 (Fla. 1st DCA 1991) (holding that in a sexual battery case, the victim’s statements to her friend, made immediately after the incident, were admissible as spontaneous statements)). Thus, even Ibar is clearly distinguished from the majority’s reasoning and does not support the change adopted today.

The above road map through the development of Florida evidence law concerning spontaneous statements demonstrates that the Florida courts have found that spontaneity, determined by its reflexive relation to an unusual event, is a required element for admissibility under this exception. To be spontaneous, the statement must be triggered by the event to which it relates. Florida courts have thus consistently required a strange, unusual, or otherwise out-of-the-ordinary event.

II. THE MAJORITY IGNORES LEGISLATIVE INTENT AND STARE DECISIS TO ALTER FLORIDA’S EVIDENCE CODE.
The majority bases its alteration of Florida law on a determination that the Legislature intended to adopt the spontaneous statement exception to mirror the federal present sense impression exception, which does not require an exciting or nervous stimulus as a condition for admission. Without identifying any Florida decisions to substantiate this reasoning, the majority focuses on “contemporaneousness” as the key and disregards spontaneity. In a footnote, the majority suggests that spontaneity is warranted by the contemporaneousness of the statement with the event. However, as the majority applies its holding to the facts of the current case, neither the guarantee of contemporaneousness nor spontaneity seem to be considered. Moreover, the majority fails to provide a single case that actually supports its holding, which disregards the requirement of a triggering event for the statement to be spontaneous.

The majority asserts that this adherence to precedent fails to denote a difference between the spontaneous statement and excited utterance exceptions. However, this assertion ignores the primary distinctions between the two related exceptions. A startling or extraordinary event is the link between the two exceptions, whereas temporality and content distinguish them. “The two exceptions differ mainly in the amount of time that may lapse between the event and the statement describing the event.” State v. Jano, 524 So. 2d 660, 661 (Fla. 1988) (quoting 1 Charles W. Ehrhardt, Florida Evidence § 803.2, at 473-74 (2d ed. 1984)). An excited utterance need not be precisely contemporaneous with the event, while a spontaneous statement must be exclaimed contemporaneously. As to the content of the statement, a spontaneous statement is “limited to statements that `describe or explain’ the event,” while an excited utterance “must only `relate’ to the event causing the excitement.” Id. at 662. Thus, the excited utterance exception is necessarily different from the spontaneous statement exception because of the former’s broader permissible time lapse and content. Despite these differences, the two exceptions are linked under the same rule because they both are triggered by an unusual, startling event.

A review of existing decisions suggests that the present sense impression is rarely used in the federal courts, and any analysis of the exception has surely been dicta because the statements could also be admitted under the excited utterance exception. The rejection of the present sense impression by many states reflects its controversial history. Florida is one of the five states that admit the statement under circumstances more limited than the Federal Rules of Evidence. Foremost, the term “present sense impression” is utterly absent from the Florida evidence code. Had the Legislature adopted that federal rule of evidence, it would have titled the exception “present sense impression,” as it appears in the federal rules. Instead, the Legislature continued the prior judicial interpretation of the rule in adopting the rule, and purposely titled the exception as a “spontaneous statement.” As the statute is written, the complete lack of the term “present sense impression” reiterates the Legislature’s decision to maintain the logical requirement of spontaneity.

Similarly in Colorado, the evidence code departs from its federal counterpart by defining the present sense impression as a “spontaneous statement.” Colo. R. Evid. 803(1). Though the policies underlying both the Colorado rules and the federal rules were generally the same, the Colorado Legislature included spontaneity because “neither immediacy nor spontaneity would be guaranteed by the federal rule, and because Colorado case law required a present sense impression to be instinctive and spontaneous in order to be admissible.” People v. Franklin, 782 P.2d 1202, 1205 (Colo. Ct. App. 1989). Like Colorado, it appears that the Florida Legislature decided to enact a more limited exception than the federal rule by titling the exception “spontaneous statement” rather than “present sense impression.” Thus, the title reflects the Legislature’s clear intent to preserve the requirement of spontaneity triggered by an event for application of the exception. See Aramark Unif. & Career Apparel, Inc. v. Easton, 894 So. 2d 20, 25 (Fla. 2004) (due weight and effect must be given to the title of a section because it is a direct statement by the Legislature of its intent). Furthermore, in applying the evidence code, Florida state courts have given weight to the legislative intent by requiring spontaneity triggered from the event the statement is describing. This new rule presented by the majority emerges from the highly controversial history of the present sense impression. There is no reason for this Court to reject a century of exceedingly clear precedent in favor of admitting rank hearsay into evidence. This complete reversal in our approach will cause enormous mischief in the future and turn criminal prosecutions on their head.25

To admit hearsay simply because the declarant made the statement while some mundane, normal event was occurring is to “introduce an arbitrary and unreasoned test and to remove all limits of principle.” Wigmore, supra, § 1757, at 168. As Wigmore wrote and the majority notes, the term “res gestae” “is harmful, because by its ambiguity it invites the confusion of one rule with another and thus creates uncertainty as to the limitations of both.” Id. at 182. It seems the majority suffers the harmful effects of this ambiguity in its confusion over the requirement of a triggering event.

If the present sense impression is essentially and primarily the brainchild of commentators, not the courts, why should we ignore the well-established precedent of Florida that requires spontaneity in response to an unusual event merely because some legal theorists may profess that they believe this should be the law? Our evidence law has long been stable in this regard, and codified by the Legislature. The Legislature, in enacting the exception, was aware of the one hundred years of judicial construction of the exception, and presumptively adopted this prior construction, as noted by the titling of the exception as “spontaneous statement.” See Fla. Dep’t of Children & Families v. F.L., 880 So. 2d 602, 609 (Fla. 2004) (Legislature is presumed to adopt prior judicial constructions unless a contrary intention is expressed). The courts should unwaveringly adhere to the doctrine of stare decisis unless there has been an error in legal analysis. See Puryear v. State, 810 So. 2d 901, 905 (Fla. 2002). To justify a departure from prior precedent, the relevant questions are:

(1) Has the prior decision proved unworkable due to reliance on an impractical legal “fiction”? (2) Can the rule of law announced in the decision be reversed without serious injustice to those who have relied on it and without serious disruption in the stability of the law? And (3) have the factual premises underlying the decision changed so drastically as to leave the decision’s central holding utterly without legal justification?

N. Fla. Women’s Health & Counseling Services, Inc. v. State, 866 So. 2d 612, 637 (Fla. 2003). Nothing in the majority’s analysis demonstrates a need to change this settled law. There is no discussion of the prior decisions proving unworkable, or an indication that the factual premises underlying the decisions have changed so drastically that the requirement of a spontaneity triggered from an exciting event has no legal justification. Thus, the majority fails to provide any support for discarding one hundred years of Florida decisions and opens a door that will one day cause enormous harm.

III. EVEN UNDER THE MAJORITY’S ANALYSIS, THE STATEMENTS LACK GUARANTEES OF TRUSTWORTHINESS.
Even under the majority’s analysis, the statements involved in this case fail to fall under the spontaneous statement exception as adopted today. By definition, the present sense impression must be uttered spontaneously while the declarant perceives the subject of the declaration. McCormick advocated for disposal of the exciting event requirement based on factors of reliability presented by Professor Morgan:

(1) they refer to observations being made at the time of the statement and are free from any defect of the memory; (2) they are made contemporaneous with the observation and there is little or no time for calculated misstatement; (3) they are made to a third person who will probably have an opportunity to observe the situation and provide a check on the accuracy of the declarant’s statement; and (4) since the declarant will often be available for cross-examination his or her credibility will be subject to substantial verification before the trier of fact.

People v. Brown, 559 N.Y.S.2d 772 (N.Y. Sup. Ct. 1989); see 2 McCormick on Evidence § 271, at 251 (Kenneth S. Broun et al. eds., 6th ed. 2006). At least three of the four factors are absent in the present case.26

Foremost, with a narrative phone call, such as that admitted into evidence today, there is no guarantee of contemporaneousness. Here, the declarant made numerous phone calls on November 25, 2003. According to cell phone records, Karla spoke with her mother for approximately thirty-seven minutes. Her mother described her as a “long talker.” After discussing unrelated things, Billie Ferris asked her daughter if she was in the car. The declarant allegedly happened to respond, “I’m following Rick and the guy that bought the truck. He knows where to get the paperwork done tonight.” The conversation went on to discuss other subjects. This conversation is not even remotely similar to Florida decisions in which statements were admitted under the spontaneous statement exception. Though Deparvine’s challenge specifically relates to the admission of Karla’s mother’s statements regarding where Karla was and who she was with, in essence, any statement in that conversation is admissible under the majority’s reasoning.

The majority accepts these statements on the theory that Karla was describing a continuing present condition, yet nothing in the majority’s analysis refutes the circumstance that she had time to contemplate and think about what response to make before engaging in this conversation. The definition of an “event” under the majority’s interpretation is infinitely elastic because any statement made during a phone conversation that casually describes what the declarant may be doing falls under the exception, thereby allowing the spontaneous statement exception to consume the hearsay rule. The only guarantee that Karla made her statement contemporaneous to viewing the car in front of her depends on collateral evidence from the cell phone records. A common example of how simple it would be to fabricate one’s location or activity over a cell phone is that of a driver running late for a meeting. It is very easy for a driver to state that he or she is passing a building a block away from where the meeting is located when in actuality the driver is miles away. Nothing protects or guarantees the reliability and veracity of this type of statement.

The last two guarantees of trustworthiness also do not apply to these facts. Karla’s mother was not observing the situation, and thus cannot provide a check on the accuracy of Karla’s statements. The declarant is also not available for cross-examination.

Without a single Florida case for support, the majority discards one hundred years of precedent to the contrary and simply follows the recommendation of legal commentators. The states independently formulate their respective rules of evidence, and Florida has created a more narrow exception than the federal standard. The Florida statutes are entirely devoid of any reference to the present sense impression. This absence clearly demonstrates that to disregard the requirement that a spontaneous statement be triggered by the event is to rewrite the Florida Evidence Code. Thus, I must respectfully decline to join the majority’s analysis.

QUINCE, C.J., concurs.

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Notes:

25. Though the majority claims that the federal courts have applied a broader version of this exception without radical affect, as discussed at the beginning of the previous paragraph, the effect of the exception is difficult to gauge because it is used rarely. A broad search of federal court case law for the past 30 years reveals a mere 506 cases discussing the present sense impression from all the federal courts. See generally McFarland, 28 Fla. St. U. L. Rev. at 913 (stating that as of 2001, an averaging of the reported decisions discussing the present sense impression equaled less than one case per court per twenty-five years). However, as the majority refuses to acknowledge, a majority of these cases analyze the exception in conjunction with the excited utterance exception. Thus, a startling event is generally the impetus for the statement. The United States Supreme Court has only touched on the present sense impression twice, with neither opinion directly analyzing the exception. See Giles v. California, 128 S. Ct. 2678, 2699-2700 (2008) (Breyer, J., dissenting) (in a hypothetical, analyzing the present sense impression in conjunction with the excited utterance exception); Davis v. Washington, 547 U.S. 813, 820 (2006) (discussing a case not before the court, where the affidavit admitted as a present sense impression stemmed from an interview about a domestic disturbance, in which the husband continued the startling nature of the event by continually and angrily interrupting the police interview of the wife).

26. The majority correctly notes that these factors of reliability are not required by the evidence code. However, the theorists relied upon by the majority based their reasoning on these reliability factors. As discussed previously, hearsay becomes admissible when certain conditions eliminate some testimonial dangers. Because unexcited statements of present sense impression lack the assurance of reliability produced by the effect of a startling event, Professor Morgan’s arguments for recognizing a nonexciting event exception were premised on the above factors of reliability. McCormick, supra, § 271, at 251. The majority ignores these factors, which were the foundation of the argument for the exception they choose to adopt. It is obvious these reliability factors would not be discussed in the Florida rules because the Legislature never intended for statements from a nonexciting event to be admissible.

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Inquiry Concerning a Judge Maxwell, No. SC08-1285 (Fla. 9/29/2008) (Fla., 2008)

Monday, September 29th, 2008

INQUIRY CONCERNING A JUDGE, NO. 07-540 RE: GEORGE W. MAXWELL, III.
No. SC08-1285.

Supreme Court of Florida.

September 29, 2008.

Original Proceedings — Judicial Qualifications Commission.

Michael Louis Schneider, Associate General Counsel, and Brooke S. Kennerly, Executive Director, Tallahassee, Florida, for Florida Judicial Qualifications Commission, Petitioner

Richard C. McFarlain of Carr Allison, Tallahassee, Florida, for Respondent

PER CURIAM.

This matter is before the Court for review of the recommendation of the Florida Judicial Qualifications Commission (JQC) that Judge George W. Maxwell, III, be publicly reprimanded. We have jurisdiction. See art. V, § 12, Fla. Const. We approve the JQC’s findings and recommended sanction.

I. FACTS
The JQC formally charged Judge Maxwell with conduct alleged to violate Canons 11, 2A2, 3B(4)3, and 3B(7)4 of the Code of Judicial Conduct. The charges against Judge Maxwell stem from his actions on October 28, 2007.

On the morning of October 28, 2007, the Brevard County Sheriff’s Office responded to a battery complaint at a private residence. The officers determined that the wife had committed domestic violence battery against her husband, and she was charged, arrested, and transported to the Brevard County Jail. Later that day, the wife’s brother, Jack Platt, who is an attorney with whom Judge Maxwell was previously affiliated in private practice and with whom Judge Maxwell appeared on the firm’s letterhead, called Judge Maxwell at his residence and requested his assistance in securing the release of his sister. Even though the matter was not assigned to him, Judge Maxwell thereafter contacted the Brevard County Sheriff’s Office and authorized her release to the Pretrial Release Program without the benefit of a first appearance. Judge Maxwell authorized the defendant’s release notwithstanding the fact that she was currently serving a sentence of five years probation for obtaining controlled substances by fraud, thus making her ineligible for the Pretrial Release Program.

In its Notice of Formal Charges, the JQC concluded that Judge Maxwell’s conduct, if it occurred as alleged, violated Canons 1, 2A, 3B(4), and 3B(7). However, the JQC and Judge Maxwell reached an agreement and entered into a stipulation in which Judge Maxwell acknowledged that he violated Canons 1, 2A, and 2B of the Code of Judicial Conduct.5 According to the stipulation, Judge Maxwell accepted full responsibility for the conduct, admitted that it should not have occurred, expressed his regret and apologies for such conduct, and noted that he had undertaken steps to prevent reoccurrence of the conduct.6 Judge Maxwell also denied that he intended to violate the applicable Canons, and contended that he acted with a good faith belief that such conduct was appropriate. Because the JQC concluded that the actions were misguided but not ill-intentioned, it recommended a public reprimand.

II. ANALYSIS
In re Maloney, 916 So. 2d 786 (Fla. 2005), we explained:

When the JQC presents a case for our review, we are authorized under the Florida Constitution to “accept, reject, or modify in whole or in part the findings, conclusions, and recommendations of the commission” and to “order that the justice or judge be subjected to appropriate discipline.” Art. V, § 12(c)(1), Fla. Const. “This Court reviews the findings of the JQC to determine if they are supported by clear and convincing evidence and reviews the recommendation of discipline to determine whether it should be approved.” In re Pando, 903 So. 2d 902, 903 (Fla. 2005). While the Court gives the JQC’s findings and recommendations great weight, “the ultimate power and responsibility in making a determination rests with this Court.” In re Davey, 645 So. 2d 398, 404 (Fla. 1994). Thus,” we review the findings to ensure that there is `clear and convincing evidence’ to support the alleged ethical violations” and determine whether to approve the recommendation of discipline. In re Andrews, 875 So. 2d 441, 442 (Fla. 2004) (quoting In re Kinsey, 842 So. 2d 77, 85 (Fla. 2003)). Additionally, where the findings of the JQC are supported by clear and convincing evidence, the Court gives the findings persuasive force and great weight in considering the JQC’s recommendation of discipline. See In re Holloway, 832 So. 2d 716, 726 (Fla. 2002) (finding clear and convincing evidence to support finding that judge used the prestige of judicial office to request a scheduling favor for a family member from another judge, but insufficient evidence to support conclusion that judge abused her office based on single telephone call to a detective handling a criminal investigation involving a friend).

In re Maloney, 916 So. 2d at 787-88.

In recommending that Judge Maxwell receive a public reprimand, the JQC stated that it was guided by this Court’s decision in In re Maloney. There, Judge Maloney had a close friend whose son was arrested for driving under the influence (“DUI”). Id. at 786. Judge Maloney’s son was a passenger in the car, but was not charged with any violations. Id. Although the law prohibits the immediate release of persons arrested for DUI, Judge Maloney nevertheless contacted the Lakeland Police Department after picking up his own son on the morning in question and demanded the release of his friend’s son. Id. at 786-87. The police department objected, but released the son to the custody of his father based on the judge’s demand. Id. The JQC found that the judge’s actions violated Canons 1, 2A and 2B, but agreed to a public reprimand after the judge admitted the allegations, acknowledged the violations of the Code of Judicial Conduct, and agreed to the stipulated penalty. Id. at 787. On appeal, this Court approved the stipulation because “[a] public reprimand, as disciplinary action, is consistent with governing precedent regarding sanctions for judicial misconduct where a judge uses the prestige of judicial office to obtain favorable treatment for himself or another individual.” Id. at 788. This Court noted that in recommending a public reprimand, the JQC considered various mitigating circumstances, including Judge Maloney’s lack of disciplinary history, reputation as a fair, impartial, and competent jurist, candor before the JQC Investigative Panel, and testimony that he was unaware his conduct constituted a violation of state law. Id. at 788-89.

This case does bear some similarity to In re Maloney. In the instant case, Judge Maxwell contacted the Brevard County Sheriff’s Office and sought the release of a former colleague’s sister to the Pretrial Release Program, despite the fact that the law prohibited such a release because she was already on probation for a controlled substance offense. However, we also note that this case could be viewed as more serious than In re Maloney because Judge Maxwell accepted an ex parte communication from an attorney without input from the prosecutor or any other interested party.7 In addition, he relied on this ex parte communication in ordering the defendant’s release, even though it appears that Judge Maxwell may not have had the complete picture of the exact details of the crime or the defendant’s prior record.8

As we have tried to make clear in our opinions on judicial discipline, and as evidenced by the Code of Judicial Conduct, a judge has an absolute obligation to “act at all times in a manner that promotes public confidence in the integrity and impartiality of the judiciary.” Fla. Code of Jud. Conduct, Canon 2A. This provision is not an aspirational principle but a clear and unequivocal mandate. At each turn, from the oath of office to the New Judges College to ongoing judicial education, we instill this ultimate responsibility in our judges. Judge Maxwell clearly violated this canon and admitted to so doing. In addition, it is clear and unambiguous that the communication from the attorney was an absolute violation of Canon 3B(7) that prohibits ex parte communications except under certain limited circumstances not present in this case. Moreover, by his stipulation, Judge Maxwell also admitted to this violation.

As one of the long-serving JQC lay members observed in his questioning of Judge Maxwell at the investigative hearing that forms part of this record presented to the Court:

Your actions brought, in my opinion, a major problem to the perception of fairness, a major problem of the person who is on the street who comes before and doesn’t know a judge and can’t have his brother call him up.

Judge Maxwell’s improper conduct of calling the police to secure the defendant’s release was exacerbated by the fact that he was prompted to intervene by a phone call from the defendant’s brother, with whom he previously had practiced law. This special consideration would not be available to the general public. Such misuse of judicial office tarnishes the public’s perception of the integrity, impartiality, and independence of the judiciary. The respect for, and adherence to, the law and the rules governing judicial conduct are the cornerstones for the public’s trust and confidence in the judicial branch of government.

Because we find that a public reprimand in this case is consistent with our precedent concerning sanctions for similar judicial misconduct, and we conclude that the findings of the JQC are supported by clear and convincing evidence, we approve the JQC’s recommendation of discipline. We accept the sanction of a public reprimand because our review of the entire record reveals that it is consistent with our precedent. The JQC’s Findings and Recommendations determined that “while the judge’s conduct was misguided, it was not ill intentioned.” The JQC recommended a public reprimand because it found that it was in the “interests of justice, the public welfare and sound judicial administration.” Further, the JQC advised us that before making this recommendation, it engaged in an “extensive review of the documents associated with this inquiry, the relevant decisional law, and Judge Maxwell’s responses to the Panel’s inquiries.”

We, however, add several caveats to our acceptance of the stipulation so that the public and the judiciary are on notice of our deep concerns raised by Judge Maxwell’s conduct. If we were to reject the stipulation, this matter would be returned to the JQC for a full trial. In other words, because this is a stipulation, at this point in time we do not have the option to recommend a harsher sanction.9 The prerogative given to us by the Constitution to modify the discipline is thus not an option for us at this time.10

As to whether a public reprimand is “serious” enough, we emphasize that the public reprimand will be administered before the entire Supreme Court in a solemn proceeding. Although we have considered alternatives, we conclude based on our precedent that acceptance of the stipulation in this case will in fact further justice and in some small way restore any public confidence that was diminished by Judge Maxwell’s actions. In the end, Judge Maxwell ultimately accepted responsibility for his actions and agreed that his actions cast a “negative light on the judiciary.”

The final caveat is one we issue to the JQC, the judiciary, and the public. Because of the potential for conduct like Judge Maxwell’s to seriously undermine public trust in the judicial office, we caution that in the event this type of conduct occurs in the future, we will consider harsher sanctions, including but not limited to removal from office.

III. CONCLUSION
Based on the foregoing, we approve of the stipulation and the JQC’s recommendation that Judge Maxwell receive a public reprimand. Accordingly, we hereby command Judge Maxwell to appear before this Court for administration of a public reprimand at a time to be established by the Clerk of this Court.

It is so ordered.

QUINCE, C.J., and WELLS, ANSTEAD, PARIENTE, LEWIS, and BELL, JJ., concur.

NOT FINAL UNTIL TIME EXPIRES TO FILE REHEARING MOTION, AND IF FILED, DETERMINED.

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Notes:

1. Canon 1 is titled, “A Judge Shall Uphold the Integrity and Independence of the Judiciary,” and provides:

An independent and honorable judiciary is indispensable to justice in our society. A judge should participate in establishing, maintaining, and enforcing high standards of conduct, and shall personally observe those standards so that the integrity and independence of the judiciary may be preserved. The provisions of this Code should be construed and applied to further that objective.

Fla. Code of Jud. Conduct, Canon 1.

2. Canon 2 is titled, “A Judge Shall Avoid Impropriety and the Appearance of Impropriety in all of the Judge’s Activities.” Subsection A provides: “A judge shall respect and comply with the law and shall act at all times in a manner that promotes public confidence in the integrity and impartiality of the judiciary.” Fla. Code of Jud. Conduct, Canon 2A.

3. Canon 3 is titled, “A Judge Shall Perform the Duties of Judicial Office Impartially and Diligently.” Subsection B(4) provides: “A judge shall be patient, dignified, and courteous to litigants, jurors, witnesses, lawyers, and others with whom the judge deals in an official capacity, and shall require similar conduct of lawyers, and of staff, court officials, and others subject to the judge’s direction and control.” Fla. Code of Jud. Conduct, Canon 3B(4).

4. Canon 3B(7) provides:

(7) A judge shall accord to every person who has a legal interest in a proceeding, or that person’s lawyer, the right to be heard according to law. A judge shall not initiate, permit, or consider ex parte communications, or consider other communications made to the judge outside the presence of the parties concerning a pending or impending proceeding except that:

(a) Where circumstances require, ex parte communications for scheduling, administrative purposes, or emergencies that do not deal with substantive matters or issues on the merits are authorized, provided:

(i) the judge reasonably believes that no party will gain a procedural or tactical advantage as a result of the ex parte communication, and

(ii) the judge makes provision promptly to notify all other parties of the substance of the ex parte communication and allows an opportunity to respond.

(b) A judge may obtain the advice of a disinterested expert on the law applicable to a proceeding before the judge if the judge gives notice to the parties of the person consulted and the substance of the advice and affords the parties reasonable opportunity to respond.

(c) A judge may consult with other judges or with court personnel whose function is to aid the judge in carrying out the judge’s adjudicative responsibilities.

(d) A judge may, with the consent of the parties, confer separately with the parties and their lawyers in an effort to mediate or settle matters pending before the judge.

(e) A judge may initiate or consider any ex parte communications when expressly authorized by law to do so.

Fla. Code of Jud. Conduct, Canon 3B(7).

5. The stipulation does not address Canons 3B(4) and 3B(7), which were included in the Notice of Formal Charges. Moreover, Canon 2B was not included in the Notice of Formal Charges. Canon 2B provides:

A judge shall not allow family, social, political or other relationships to influence the judge’s judicial conduct or judgment. A judge shall not lend the prestige of judicial office to advance the private interests of the judge or others; nor shall a judge convey or permit others to convey the impression that they are in a special position to influence the judge. A judge shall not testify voluntarily as a character witness.

Fla. Code of Jud. Conduct, Canon 2B.

6. At the JQC hearing, Judge Maxwell testified: “Since that time, I have taken some corrective action. I now carry with me, 24 hours a day, telephone numbers for assistant state attorneys so that I may reach an assistant state attorney and, if necessary, if this ever arises again, hold a full hearing and make a record.” Judge Maxwell also testified that he had contacted the chief judge and the criminal administrative judge in his circuit to “try to figure out something” so that there will be more on-call or duty judges available. As to the situation at the time, both the Chief Judge of the Eighteenth Judicial Circuit and the assistant state attorney serving as the Felony Intake Division Chief for Brevard County submitted affidavits to the JQC in support of Judge Maxwell averring that at the time of the defendant’s arrest, there was no established formal policy for releasing a defendant from custody outside normal office hours, when the assigned duty judge is unavailable.

7. Although Judge Maxwell minimizes his relationship with the attorney, it is undeniable that he practiced law with this attorney in the same firm prior to taking the bench.

8. For example, Judge Maxwell was not aware that the victim had a very deep cut that ran six or seven inches, but rather was told by the attorney that “it was a scratch.” He also was apparently not aware of the defendant’s criminal history, including a failure to appear, that likely would not have supported a release on her own recognizance. Although Judge Maxwell acknowledged at the hearing that he was aware the defendant was on felony probation at the time she was alleged to have committed the new criminal offense of domestic violence battery, he attempted to justify his actions by testifying that when he called the sheriff’s office to secure the defendant’s release, he was unable to locate any law indicating that she could not be released on her own recognizance, and she met all of the statutory pre-requisites for early release. Judge Maxwell also testified that the attorney advised him that he had spoken to his sister’s probation officer, who informed him that she would not be in violation of her probation as a result of her arrest. Judge Maxwell asserted that these are “technical defenses” that justify his conduct, stating, “I, to this day, believe that it would been [sic] inequitable to keep her around or unjust and not violative of the law to release her.” It was this attempt at the hearing to minimize the extent of his misconduct that caused the commission members to become concerned that Judge Maxwell was not in fact accepting full responsibility for his actions.

9. The stipulation expressly provides that in the event it is rejected by this Court, the case is returned to the JQC for a final plenary hearing at which time “none of the statements in the [s]tipulation (or the attached Findings and Recommendations of Discipline) are admissible in that hearing for any purpose.”

10. The Florida Constitution provides:

(1) The supreme court may accept, reject, or modify in whole or in part the findings, conclusions, and recommendations of the [judicial qualifications] commission and it may order that the justice or judge be subjected to appropriate discipline, or be removed from office with termination of compensation for willful or persistent failure to perform judicial duties or for other conduct unbecoming a member of the judiciary demonstrating a present unfitness to hold office, or be involuntarily retired for any permanent disability that seriously interferes with the performance of judicial duties. Malafides, scienter or moral turpitude on the part of a justice or judge shall not be required for removal from office of a justice or judge whose conduct demonstrates a present unfitness to hold office. After the filing of a formal proceeding and upon request of the investigative panel, the supreme court may suspend the justice or judge from office, with or without compensation, pending final determination of the inquiry.

Art. V, § 12(c)(1), Fla. Const.

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State v. Powell, No. SC07-2295 (Fla. 9/29/2008) (Fla., 2008)

Monday, September 29th, 2008

STATE OF FLORIDA, Petitioner,
v.
KEVIN DEWAYNE POWELL, Respondent.
No. SC07-2295.

Supreme Court of Florida.

September 29, 2008.

Application for Review of the Decision of the District Court of Appeal — Certified Great Public Importance, Second District — Case No. 2D05-646, Hillsborough County.

Bill McCollum, Attorney General, Tallahassee, Florida, and Robert J. Krauss, Senior Assistant Attorney General, Bureau Chief, and Susan M. Shanahan, Assistant Attorney General, Tampa, Florida, for Petitioner.

James Marion Moorman, Public Defender, and Cynthia J. Dodge, Assistant Public Defender, Tenth Judicial Circuit, Bartow, Florida, for Respondent.

QUINCE, C.J.

This case is before the Court for review of the decision of the Second District Court of Appeal Powell v. State, 969 So. 2d 1060 (Fla. 2d DCA 2007). In its decision the district court ruled upon the following question, which the court certified to be of great public importance:

DOES THE FAILURE TO PROVIDE EXPRESS ADVICE OF THE RIGHT TO THE PRESENCE OF COUNSEL DURING QUESTIONING VITIATE MIRANDA1 WARNINGS WHICH ADVISE OF BOTH (A) THE RIGHT TO TALK TO A LAWYER “BEFORE QUESTIONING” AND (B) THE “RIGHT TO USE” THE RIGHT TO CONSULT A LAWYER “AT ANY TIME” DURING QUESTIONING?

Id. at 1067-68. We have jurisdiction. See art. V, § 3(b)(4), Fla. Const. For the reasons explained below, we answer the question in the affirmative and approve the decision below.

FACTS AND PROCEDURAL HISTORY
In Powell, 969 So. 2d 1060, the Second District Court of Appeal summarized the facts as follows:

On August 10, 2004, Tampa Detectives Salvatore Augeri, Randy Estevez and other officers went to a residence in Tampa to investigate Mr. Powell. Shazeena West, Mr. Powell’s girlfriend, allowed the officers to enter her apartment. Mr. Powell was one of at least four adults present in the apartment when police arrived. He was in the upstairs hallway coming from near the southeast corner bedroom. The officers searched that bedroom and under the bed found a loaded nine-millimeter handgun. Mr. Powell was arrested and transported to Tampa Police headquarters where he was questioned after being advised of his rights under Miranda. According to police, Mr. Powell agreed to talk.

During the direct examination of Detective Augeri, prior to his testimony concerning statements that Mr. Powell allegedly made, defense counsel objected on the ground that the Miranda warning was invalid. The trial court allowed defense counsel to voir dire the witness. The subsequent testimony revealed that the standard police department Form 310 used during the interrogation of Mr. Powell did not explicitly indicate that he had the right to have an attorney present during questioning. Detective Augeri testified that he witnessed another officer read Form 310 verbatim to Mr. Powell. The written warning, which was introduced at trial as an exhibit, states as follows:

You have the right to remain silent. If you give up the right to remain silent, anything you say can be used against you in court. You have the right to talk to a lawyer before answering any of our questions. If you cannot afford to hire a lawyer, one will be appointed for you without cost and before any questioning. You have the right to use any of these rights at any time you want during this interview.

A bench conference was held, and the court ruled that the recitation concerning the right to an attorney before questioning was adequate. The detective then testified that Mr. Powell said the firearm was his and that he had purchased it on the street and carried it for protection, even though he was a convicted felon. Defense counsel renewed her objection to admitting Mr. Powell’s custodial statement. The trial court overruled this objection. Mr. Powell then testified in his own defense. He said that he did not live at the apartment on August 10, 2004, but he heard a commotion when the officers entered. He said he was handcuffed and taken into custody. He testified he did not know the gun was present under the bed because he only stayed at that address every once in a while. Mr. Powell was convicted and sentenced to ten years in prison.

Powell, 969 So. 2d at 1063-64 (footnotes omitted).

On appeal, the Second District reversed Powell’s conviction. See Powell, 969 So. 2d at 1068. The court held that the Miranda warnings that were given to Powell were deficient under the Fifth Amendment of the United States Constitution and article I, section 9 of the Florida Constitution. See Powell, 969 So. 2d at 1061. The warning did not comply with the dictates of Miranda and its progeny. See Powell, 969 So. 2d at 1064. The court reasoned that to advise a suspect that he “has the right `to talk to a lawyer before answering . . . any of our questions’ constitutes a narrower and less functional warning than that required by Miranda.” Powell, 969 So. 2d at 1064. The court further noted that Miranda requires that a suspect be “clearly informed” of his right to have a lawyer with him during questioning. See Powell, 969 So. 2d at 1067 (citing Miranda, 384 U.S. at 471). The court further reasoned that the warning given to Powell was constitutionally flawed because “the right to talk to or consult with an attorney before questioning is not identical to the right to the presence of an attorney during questioning.” Id. The court further reasoned that the language, “right to use any of these rights at any time . . . during this interview,” cannot cure the deficiency because Powell was never unequivocally informed that he had the right to have an attorney present at all times during his custodial interrogation. Id. Moreover, concerning the language used in the warning, the court focused on whether at the moment given the language clearly communicated the right to have an attorney present during questioning and not how the words might be analyzed afterwards. See id.

Pursuant to article V, section 3, subsection (b)(4) of the Florida Constitution and Florida Rule of Appellate Procedure 9.030(a)(2)(A)(v), the Second District certified the question as one of great public importance. See Powell, 969 So. 2d at 1067-68. We granted review to answer the certified question.

TC “SUMMARY OF ARGUMENTS” “SUMMARY OF ARGUMENTS” l 2 ANALYSIS
The issue before this Court is whether the failure to provide express advice of the right to the presence of counsel during custodial interrogation violates the principles espoused Miranda v. Arizona, 384 U.S. 436 (1966). Powell argues that the trial court erred in failing to grant his motion to suppress because the Miranda warnings that were given were inadequate. In reviewing a motion to suppress, this Court has explained:

An appellate court reviewing a ruling on a motion to suppress presumes that a trial court’s findings of fact are correct and reverses those findings only if they are not supported by competent, substantial evidence. Appellate review of the trial court’s application of the law to the historical facts is de novo. Accordingly, “appellate courts must independently review mixed questions of law and fact that ultimately determine constitutional issues arising in the context of the . . . Fifth Amendment and, by extension, article I, section 9 of the Florida Constitution.”

Cuervo v. State, 967 So. 2d 155, 160 (Fla. 2007) (citations omitted) (quoting Fitzpatrick v. State, 900 So. 2d 495, 510 (Fla. 2005)).

The Fifth Amendment to the United States Constitution provides that no person “shall be compelled in any criminal case to be a witness against himself.” To ensure compliance with the privilege against self-incrimination, the United States Supreme Court outlined in Miranda v. Arizona four procedural safeguards that must be employed to protect the privilege when an individual has been deprived of freedom during a custodial interrogation:

He must be warned prior to any questioning that [1] he has the right to remain silent, [2] that anything he says can be used against him in a court of law, [3] that he has the right to the presence of an attorney, and [4] that if he cannot afford an attorney one will be appointed for him prior to any questioning if he so desires.

384 U.S. at 479 (emphasis added). In explaining the reasons for an expansive reading of the Fifth Amendment, the Supreme Court said:

The circumstances surrounding in-custody interrogation can operate very quickly to overbear the will of one merely made aware of his privilege by his interrogators. Therefore, the right to have counsel present at the interrogation is indispensable to the protection of the Fifth Amendment privilege under the system we delineate today. Our aim is to assure that the individual’s right to choose between silence and speech remains unfettered throughout the interrogation process. . . . Thus, the need for counsel to protect the Fifth Amendment privilege comprehends not merely a right to consult with counsel prior to questioning, but also to have counsel present during any questioning if the defendant so desires.

Id. at 469-70 (emphasis added). The Court unequivocally said that “an individual held for interrogation must be clearly informed that he has the right to consult with a lawyer and to have the lawyer with him during interrogation.” Id. at 471.

The Court noted that the individual’s opportunity to exercise these rights must be afforded throughout the interrogation. See id.

1. The General Scope of the Miranda Warnings
In applying the Miranda principles, the Supreme Court has said that Miranda does not mandate that the warnings be a “virtual incantation of the precise language contained in the Miranda opinion.” California v. Prysock, 453 U.S. 355, 355 (1981). Moreover, Duckworth v. Eagan, 492 U.S. 195 (1989), the Supreme Court further said that “[r]eviewing courts . . . need not examine Miranda warnings as if construing a will or defining the terms of an easement. The inquiry is simply whether the warnings reasonably `conve[y] to [a suspect] his rights as required by Miranda.’” Id. at 203 (quoting Prysock, 453 U.S. at 361).

Similarly, to ensure the voluntariness of confessions as required by article I, section 9 of the Florida Constitution, this Court Traylor v. State, 596 So. 2d 957 (Fla. 1992), outlined the following rights Florida suspects must be told of prior to custodial interrogation:

[1] they have a right to remain silent, [2] that anything they say will be used against them in court, [3] that they have a right to a lawyer’s help,2 and [4] that if they cannot pay for a lawyer one will be appointed to help them.

Id. at 966 (footnote omitted); see also Cuervo, 967 So. 2d at 160 (reiterating the Miranda warnings). Anderson v. State, 863 So. 2d 169 (Fla. 2003), we further noted, “Although Miranda warnings must be given to suspects before custodial interrogation can begin, there is no talismanic fashion in which they must be read or a prescribed formula that they must follow, as long as the warnings are not misleading.” Id. at 182. However, we also unequivocally said that the help of an attorney includes both the right to consult with an attorney before questioning and the right to have an attorney present during questioning. See Traylor, 596 So. 2d at 966 n.13.

2. Express Mention of the Presence of Counsel
In Miranda, the Supreme Court discussed with apparent approval the FBI’s standard warning form. See 384 U.S. at 484-85. The standard warning did not expressly advise a suspect of the right to the presence of counsel during questioning. See id. The Court found that the warnings advised the suspects of their constitutional rights. See id. However, the Court additionally noted that “[i]f the interrogation continues without the presence of an attorney and a statement is taken, a heavy burden rests on the government to demonstrate that the defendant knowingly and intelligently waived his privilege against self-incrimination and his right to retained or appointed counsel.” Id. at 475 (citing Escobedo v. Illinois, 378 U.S. 478, 490 n.14 (1964)). Despite this seeming approval of the FBI warnings, the Court suppressed all of the confessions or statements that were given in the four cases before the Court in Miranda. For example, in the case involving the defendant Miranda, the Supreme Court reversed his conviction and said, “[I]t is clear that Miranda was not in any way apprised of his right to consult with an attorney and to have one present during the interrogation, nor was his right not to be compelled to incriminate himself effectively protected in any other manner.” Id. at 492 (emphasis added).3

In reversing the defendant’s conviction in the Vignera v. New York case, the Court said, “Vignera was not warned of any of his rights before the questioning by the detective and by the assistant district attorney. No other steps were taken to protect these rights. Thus he was not effectively apprised of his Fifth Amendment privilege or of his right to have counsel present . . . .” 384 U.S. at 494 (emphasis added). At the trial the defense had attempted to question the police officer concerning whether Vignera had been informed of his right to counsel prior to interrogation. The trial judge sustained the State’s objection to the question, thus precluding the defense from showing that the proper warnings had not been given. See id. at 493. In addition, the verbatim transcription of the questioning of the defendant did not demonstrate that warnings had been given. See id.

The third case in the Miranda grouping, Westover v. United States, involved a situation where the Kansas City police questioned the defendant for a number of hours. See 384 U.S. at 494-95. There was no indication that the local police had given the defendant any Fifth Amendment warnings. See id. at 495. After the police concluded their interrogation, Westover was immediately turned over to the FBI for questioning. See id. The questioning took place at the same police station where the local police had questioned the defendant. See id. At trial one of the FBI agents testified that the defendant was told he did not have to make a statement, any statement made could be used against him, and he had the right to see an attorney. See id. The Supreme Court reversed the conviction despite the testimony of the agent and in doing so the Court said, “There is no evidence of any warning given prior to the FBI interrogation nor is there any evidence of an articulated waiver of rights after the FBI commenced its interrogation.” Id. at 496. In the final Miranda case, California v. Stewart, the Supreme Court affirmed the California Supreme Court’s determination that the defendant’s confession should have been suppressed because the record did not state whether the defendant had been advised of his right to remain silent or his right to counsel. See id. at 497-98.

While the four cases that were the subject of the Miranda decision did not present the type of factual scenario or the exact question we address today, some state and federal courts have addressed the exact issue of whether a suspect must be informed of the right to the presence of counsel during questioning with differing results. The principles espoused in the Miranda decision formed the basis of how these courts have treated the warnings.

A. Federal Courts
The federal courts are split regarding the necessity for express warnings of the right to have counsel present during interrogation. Several of the federal circuits have held that a suspect is entitled to be expressly informed of the right to have counsel present during questioning. United States v. Tillman, 963 F.2d 137 (6th Cir. 1992), the defendant was informed: “[You have] the right to remain silent, the right to the presence of an attorney if [you] so wish, [you] are not required to answer any questions and if [you] decide to answer questions [you] can stop and do so . . . .” Id. at 140. The defendant argued that the Miranda warnings read to him were inadequate because he was never told that any statements he might make could be used against him, and that he was not informed he was entitled to an attorney during questioning in addition to before questioning. Tillman, 963 F.2d at 140. The Sixth Circuit agreed and held that the statements made by the defendant subsequent to his arrest should be suppressed. See id. at 142. The court found a Miranda violation because the police failed to inform the defendant that he had the right to an attorney before, during, and after questioning. See Tillman, 963 F.2d at 141.

Additionally, Montoya v. United States, 392 F.2d 731 (5th Cir. 1968), the Fifth Circuit found the warnings insufficient. Id. at 732. The customs agent testified that he informed the defendant as follows:

[S]he had the right to remain silent, that anything she might say could be used against her if she was tried. [S]he had a right to an attorney, and, if she could not afford an attorney, one would be provided for her. [S]he could terminate the interview at any time she so desired.

Id. at 733. The court held that the defendant’s confession was fatally defective under Miranda because “an individual held for interrogation must be clearly informed that he has the right to consult with a lawyer and to have the lawyer with him during interrogation.” Montoya, 392 F.2d at 734 (quoting Miranda, 384 U.S. at 471). The court reasoned that this warning is an absolute prerequisite to interrogation. See id. at 735; see also United States v. Noti, 731 F.2d 610, 615 (9th Cir. 1984) (holding that the right of the accused to be told that he can have counsel present during questioning is meaningful and mandated by the United States Constitution); Windsor v. United States, 389 F.2d 530, 533 (5th Cir. 1968) (noting that merely telling an individual that he could speak with an attorney before he said anything at all is not the same as informing him that he is entitled to the presence of an attorney during interrogation).

In contrast, several other circuits have found warnings adequate that did not expressly inform the defendant of the right to have counsel present during questioning. For example, United States v. Frankson, 83 F.3d 79 (4th Cir. 1996), the defendant was informed: “[Y]ou have the right to an attorney.” Id. at 81. The officer told the defendant that “while he was talking to [the officer], he was free to stop talking to [the officer] at any time.” Id. Frankson contended that the officer’s warning failed to satisfy Miranda because it did not convey that he had the right to talk with counsel prior to the interrogation or the right to have counsel present during the interrogation. See Frankson, 83 F.3d at 81. The court held that the defendant’s Miranda warnings were not erroneous because the warnings “communicated to [the defendant] that his right to an attorney began immediately and continued forward in time without qualification.” Frankson, 83 F.3d at 82.

More recent, Bridgers v. Dretke, 431 F.3d 853 (5th Cir. 2005), cert. denied, 548 U.S. 909 (2006), the defendant was informed of his right to the presence of an attorney prior to any questioning. See id. at 856. Bridgers contended that the warnings he received were inadequate under Miranda because the warnings did not also explicitly state that he had a right to consult an attorney during questioning. See Dretke, 431 F.3d at 857. The court found the state appellate court’s decision upholding the warning was adequate because it was a reasonable application of clearly established federal law. See id. at 858-60.4

B. Florida Courts
After our holding in Traylor, we reiterated the principles espoused in Traylor and the Miranda decision in several other decisions from this Court. In both Ramirez v. State, 739 So. 2d 568 (Fla. 1999), and Sapp v. State, 690 So. 2d 581 (Fla. 1997), neither of which presented the exact issue involved in the case that is presently before us, we noted the requirements of both the Fifth Amendment, as explained in Miranda, and the Florida Constitution, as explained in Traylor. Our explanation of the federal and state requirements included the requirement that a suspect be informed of the right to have counsel present during questioning. See Ramirez, 739 So. 2d at 573 (quoting from Miranda that suspects must be informed that they have a right to an attorney during questioning); Sapp, 690 So. 2d at 583-84 (citing to Miranda for the proposition that an individual has the right to have counsel present during custodial interrogation).

More recently, the issue of whether Miranda requires that an individual be expressly informed of his right to the presence of counsel during custodial interrogation has been addressed by several of the Florida district courts of appeal. In addition to the Powell case, the Second District addressed this issue M.A.B. v. State, 957 So. 2d 1219 (Fla. 2d DCA 2007) (en banc); Mitchell v. State, 32 Fla. L. Weekly D2958 (Fla. 2d DCA Dec. 14, 2007), notice invoking discretionary jurisdiction filed, No. SC07-2429 (Fla. Dec. 28, 2007); and Seward v. State, 973 So. 2d 578 (Fla. 2d DCA 2008). As in this case, the defendants in these three cases argued that the Miranda warnings given to them were inadequate because the warnings did not specifically inform them of the right to have counsel present during police questioning. In M.A.B., considering the case en banc, the Second District was evenly divided seven-to-seven; thus, a majority of the court did not reach a decision on the adequacy of the Miranda warnings.5

Subsequent to M.A.B., the Second District decided Powell and applied Powell when it decided in Mitchell and Seward that the Miranda warnings were deficient because the warnings did not specifically inform the defendants of their right to have counsel present during questioning. Later, however, Graham v. State, 974 So. 2d 440 (Fla. 2d DCA 2007), the Second District distinguished Powell because the police in Graham advised the defendant that he had the right to the presence of an attorney and did not include any timeframe limitation. See Graham, 974 So. 2d at 440.

In multiple cases the Fourth District Court of Appeal has addressed the issue of whether an individual must be expressly informed of his right to the presence of counsel during custodial interrogation. Roberts v. State, 874 So. 2d 1225 (Fla. 4th DCA 2004), the police advised the defendant: “You have the right to talk with a lawyer and have a lawyer present before any questioning. If you cannot afford a lawyer, one will be appointed to represent you before any questioning if you wish.” Id. at 1226. The defendant contended that he did not knowingly and intelligently waive his constitutional rights under Miranda because the Miranda warning he received failed to inform him that he had a right to have an attorney present during questioning. See Roberts, 874 So. 2d at 1226. The district court agreed and reversed his conviction. See id.6 The court reasoned that nowhere does the Miranda form advise the defendant of his right to have a lawyer present during questioning. See Roberts, 874 So. 2d at 1226. The use of the “before questioning” warning alone suggests that the suspect was misled into believing that the attorney could not be present during questioning itself. See id. at 1228 (citing Caldwell, 954 F.2d at 504). Moreover, the court rejected the State’s argument that the defendant understood his rights because he also signed a “waiver of rights” Miranda form. See Roberts, 874 So. 2d at 1229.7

Thereafter, the court, Franklin v. State, 876 So. 2d 607 (Fla. 4th DCA 2004), and West v. State, 876 So. 2d 614 (Fla. 4th DCA 2004), relied on Roberts and reversed the convictions where the same deficient warnings were given. The defendant in Franklin presented to the trial court ninety forms used by both state and federal law enforcement agencies. Eighty-nine of the forms advised the defendant that he or she could consult with an attorney during questioning. Only the form that was used in Franklin’s case did not contain that advice. Additionally, in support of its finding that the omitted warning was critical, the court cited language from Duckworth v. Eagan, 492 U.S. 195 (1989), indicating that Miranda does not require law enforcement to produce attorneys as if on call, but Miranda does require that a suspect be informed that he has the right to an attorney before and during questioning. See Franklin, 876 So. 2d at 608.8

The Fifth District also addressed a similar issue Maxwell v. State, 917 So. 2d 404 (Fla. 5th DCA 2006), and Octave v. State, 925 So. 2d 1128 (Fla. 5th DCA 2006). In Maxwell, the police officer failed to advise the defendant that “he had a right to have an attorney present during questioning and that an attorney would be appointed to represent him if he could not afford one.” 917 So. 2d at 406. Accordingly, the district court held that the trial court erred in failing to grant the motion to suppress. The district court noted:

We do not believe that even the most erudite or mature individual could reasonably discern with the level of understanding required by Miranda that the warning given to Jonathan—that he “had the right to an attorney”—encompasses the right to have an attorney present during questioning and the right to have one appointed in the event the individual could not afford to hire one. Failure to provide these warnings to Jonathan renders the statements he made inadmissible.

See id. at 409. Similarly, in Octave, the police only explained to the defendant that she had a right to counsel. See 925 So. 2d at 1129. Citing Maxwell, the court reversed the trial court’s denial of the motion to suppress, finding the warnings given did not apprise the defendant of her right to have a lawyer present during questioning.

3. Warnings Given to Powell
The Miranda warnings given to Powell were:

You have the right to remain silent. If you give up the right to remain silent, anything you say can be used against you in court. You have the right to talk to a lawyer before answering any of our questions. If you cannot afford to hire a lawyer, one will be appointed for you without cost and before any questioning. You have the right to use any of these rights at any time you want during this interview.

Powell, 969 So. 2d at 1064 (emphasis added). The inquiry is whether the failure to clearly inform the defendant of the right to the presence of counsel during custodial interrogation violates the principles espoused in Miranda. The warnings given must be sufficient to convey the rights to a person of ordinary intelligence and common understanding. See Missouri v. Seibert, 542 U.S. 600, 615-16 (2004) (noting that a reasonable person in the suspect’s shoes could have seen the questioning as a new and distinct experience). The State contends that the totality of the Miranda warnings read to Powell touched the bases required by Miranda and did not deprive him of any information essential to his ability to knowingly waive his privilege against self-incrimination. In contrast, Powell contends that the warnings place a limit on an unlimited right to consult counsel before, during, and after interrogation. We hold that Powell was not clearly informed of his right to have counsel present during questioning.

Under article I, section 9 of the Florida Constitution, as interpreted in Traylor v. State, a defendant has a right to lawyer’s help, that is, the right to consult with a lawyer before being interrogated and to have the lawyer present during interrogation. Accord Ramirez, 739 So. 2d at 573 (finding suspects must be informed that they have a right to an attorney during questioning); Sapp, 690 So. 2d at 583-84 (same). The standard police department Miranda form used during the interrogation of Powell did not expressly indicate that he had the right to have an attorney present during questioning. Powell was told he had the right to talk with a lawyer before questioning and that he could use that right at any time during the interview. The right he could use during the interview was the right he was told he had—to talk with a lawyer before answering questions. This is not the functional equivalent of having the lawyer present with you during questioning. As stated in Miranda, “the right to have counsel present at the interrogation is indispensable to the protection of the Fifth Amendment privilege.” Thus, “the need for counsel to protect the Fifth Amendment privilege comprehends not merely a right to consult with counsel prior to questioning, but also to have counsel present during any questioning.” Miranda, 384 U.S. at 469-470.

The State contends that since the Miranda decision, the United States Supreme Court has held that Miranda did not require of or impose upon law enforcement a rigid and precise formulation of the warnings to be given to a criminal defendant. In Anderson, we also noted that “there is no talismanic fashion in which they must be read or a prescribed formula that they must follow, as long as the warnings are not misleading.” 863 So. 2d at 182 (emphasis added). In this case the warning was misleading. The warning said “before answering any questions.” The “before questioning” warning suggests to a reasonable person in the suspect’s shoes that he or she can only consult with an attorney before questioning; there is nothing in that statement that suggests the attorney can be present during the actual questioning.

The State further contends that the final warning, “You have the right to use any of these rights at any time you want during this interview,” reasonably informed Powell of the right to have an attorney present during the interrogation. The Second District disagreed and found that language could not cure the deficiency because Powell was never unequivocally informed that he had the right to have an attorney present at all times during his custodial interrogation. See Powell, 969 So. 2d at 1067. We agree with the Second District and hold that Powell should have been clearly informed of his right to the presence of counsel during the custodial interrogation. The catch-all language did not effectively convey to Powell his right to the presence of counsel before and during police questioning. This last sentence could not effectively convey a right the defendant was never told he had. In other words, how can a defendant exercise at any time during an interrogation a right he did not know existed? The catch-all phrase did not supply the missing warning of the right to have counsel present during police questioning because a right that has never been expressed cannot be reiterated.

Lastly the State argues that Powell had actual knowledge of his rights based on his prior dealings with law enforcement. However, in Miranda the Court disapproved of a case-by-case inquiry into whether or not a suspect was aware of the unarticulated right. The Court said:

The Fifth Amendment privilege is so fundamental to our system of constitutional rule and the expedient of giving an adequate warning as to the availability of the privilege so simple, we will not pause to inquire in individual cases whether the defendant was aware of his rights without a warning being given. Assessments of the knowledge the defendant possessed, based on information as to his age, education, intelligence, or prior contact with authorities, can never be more than speculation; a warning is a clearcut fact. More important, whatever the background of the person interrogated, a warning at the time of the interrogation is indispensable to overcome its pressures and to insure that the individual knows he is free to exercise the privilege at that point in time.

384 U.S. at 468-69 (footnote omitted). Powell’s prior dealings with law enforcement cannot substitute for adequate Miranda warnings.

4. Harmless Error
Because the erroneous admission of statements obtained in violation of Miranda is subject to harmless error analysis, we next consider whether the error in this case was harmless beyond a reasonable doubt. See Chapman v. California, 386 U.S. 18, 24 (1967); Caso v. State, 524 So. 2d 422, 425-26 (Fla. 1988). In order to find the error harmless, we must find that beyond a reasonable doubt the admission of the confession did not affect the jury’s verdict. See Thompson v. State, 595 So. 2d 16, 18 (Fla. 1992) (citing Caso, 524 So. 2d at 425-26); State v. DiGuilio, 491 So. 2d 1129, 1138 (Fla. 1986)).

The evidence, absent the statement, tending to connect Powell to this crime consists of the following: (1) Powell was one of at least four adults present in the apartment where the handgun was found, and (2) Powell was in the upstairs hallway coming from near the southeast corner bedroom where the loaded nine-millimeter handgun was found under a bed. The firearm was not found on Powell or within close proximity to him. There was no forensic evidence introduced about the gun or any testimony elicited from witnesses that would place the firearm in Powell’s possession. Therefore, with the exception of Powell’s unwarned statements, the evidence does not establish that Powell committed the crime of possession of a firearm. Therefore, we find the error is not harmless beyond a reasonable doubt.

Our decision today is not to be applied retroactively to cases that are already final on the date of this opinion. The decision made today is not new law and is not entitled to retroactive application.

CONCLUSION
Because Powell was not clearly informed of his right to the presence of counsel during the custodial interrogation, we agree with the Second District and answer the certified question in the affirmative. Thus, we also agree with the Second District that to advise a suspect that he has the right “to talk to a lawyer before answering any of our questions” constitutes a narrower and less functional warning than that required by Miranda. Both Miranda and article I, section 9 of the Florida Constitution require that a suspect be clearly informed of the right to have a lawyer present during questioning. Based on this conclusion, we approve the Second District’s decision in Powell to the extent the decision is consistent with this opinion.

It is so ordered.

ANSTEAD, PARIENTE, LEWIS, and BELL, JJ., concur.

PARIENTE, J., concurs with an opinion, in which ANSTEAD and LEWIS, JJ., concur.

WELLS, J., dissents with an opinion.

NOT FINAL UNTIL TIME EXPIRES TO FILE REHEARING MOTION, AND IF FILED, DETERMINED.

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Notes:

1. Miranda v. Arizona, 384 U.S. 436 (1966).

2. This Court explained that “help” means “the suspect has the right to consult with a lawyer before being interrogated and to have the lawyer present during interrogation.” Traylor, 596 So. 2d at 966 n.13.

3. One of the police officers involved in the Miranda case testified at trial that he did not tell the defendant that anything he said could be used against him or that he had the right to consult with a lawyer. See 384 U.S. at 492 n.66.

4. Under similar circumstances other federal circuits have held the warnings adequate. See, e.g., United States v. Caldwell, 954 F.2d 496, 504 (8th Cir. 1992) (noting that the general warning could not have misled the defendant into believing that an attorney could not be present during questioning); United States v. Anthon, 648 F.2d 669, 674 (10th Cir. 1981) (holding that the warnings were adequate even though defendant “was not advised of the right to have counsel present during questioning and the right to stop the questioning at any time”); United States v. Adams, 484 F.2d 357, 361-62 (7th Cir. 1973) (holding that the Miranda warnings were satisfactory even though the warnings did not inform the suspect specifically of his right to have an attorney present during questioning).

5. Judge Canady’s concurring opinion sets forth some case law from other courts that address this issue and that are consistent with the court’s ultimate affirmance of the trial court’s denial of the motion to suppress. See United States v. Vanterpool, 394 F.2d 697, 699 (2d Cir. 1968); United States v. Anderson, 394 F.2d 743, 746-47 (2d Cir. 1968); State v. Arnold, 496 P.2d 919, 922-23 (Or. Ct. App. 1972).

6. The Fourth District held similarly Martin v. State, 921 So. 2d 697 (Fla. 4th DCA 2006) (holding warning constitutionally defective because it did not advise the defendant of the right to counsel during questioning); Ripley v. State, 898 So. 2d 1078 (Fla. 4th DCA 2005) (finding at that time Broward County Sheriff’s Office standard warnings defective because warnings did not advise of right to have counsel present during questioning); Bross v. State, 898 So. 2d 1027 (Fla. 4th DCA 2005) (reversing conviction because Miranda warnings did not inform the defendant of the right to have counsel present during questioning); Cook v. State, 896 So. 2d 885 (Fla. 4th DCA 2005) (warning that advises the defendant of the right to talk to an attorney and have an attorney present before any questioning did not advise defendant of the right to have counsel present during questioning); Dendy v. State, 896 So. 2d 800 (Fla. 4th DCA 2005) (finding at that time Broward County Sheriff’s Office standard warnings did not advise the defendant of the right to have counsel present during questioning).

7. The court, after finding the motion to suppress should have been granted, engaged in a harmless error analysis and found the error was not harmless beyond a reasonable doubt.

8. We note that the Fourth District Canete v. State, 921 So. 2d 687 (Fla. 4th DCA 2006) (en banc), distinguished the warnings given in that case from the warnings given in Roberts by opining that the defendant was not misled by the warnings.

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PARIENTE, J., concurring.

Justice Wells expressed concerns in his dissent that our decision will “unduly and unnecessarily burden the proper investigation of crimes without meaningfully increasing a suspect’s understanding of the right to counsel.” The answer to these concerns is straightforward. Indeed, in this case, it is difficult to understand how informing Powell that he had a right to an attorney both before and during questioning would have impeded the investigation of the officers questioning Powell.9

I have every faith that law enforcement agencies have the ability to administer Miranda warnings that accurately reflect the law, and most of the agencies throughout the State already have adequate warnings. The widespread use of Miranda warnings that fully inform a person of his or her right to an attorney during questioning demonstrates that this Court’s decision to mandate such a warning does not “unnecessarily burden” the proper investigation of crimes, but is a minimal obligation on the part of law enforcement that ensures that the purposes of Miranda and the Fifth Amendment rights protected by Miranda are fulfilled. As for those law enforcement agencies that create new versions of the warning that might misstate the law, I would urge that the Attorney General or some other statewide law enforcement organization work to create standard Miranda forms for use by police departments throughout the state that will withstand legal scrutiny.

Also, Justice Wells concludes that the Court’s holding “is at most an extreme technical adherence to language and … has no connection with whether the person who confessed understood his or her rights.” However, the adequacy of the language in a Miranda warning is directly related to an accused’s awareness of his or her rights, and necessarily, his or her ability to fully understand them. In Miranda, the Supreme Court held “that an individual held for interrogation must be clearly informed that he has the right to consult with a lawyer and to have the lawyer with him during interrogation,” and “[o]nly through such a warning is there ascertainable assurance that the accused was aware of this right.” 384 U.S. at 471-72.

Many outside the judiciary might call the requirements of the Constitution, especially the Fourth and Fifth Amendments, merely “technical.” But the rights guaranteed in the Bill of Rights were deemed necessary at the founding of this country to ensure the rights of all individuals. Because Fourth and Fifth Amendment issues are most often raised by a defendant in a criminal proceeding, these opinions are never “popular.” However, all of us in the justice system must be ever vigilant to never sacrifice the basic values in the Constitution for the sake of expediency; otherwise, we run the risk of slowly but surely eroding the very principles that have been the foundation of this democracy. As Justice Lewis expressed in a recent opinion from this Court:

The concept that the Bill of Rights and other constitutional protections against arbitrary government are inoperative when they become inconvenient, or when expediency dictates otherwise, is a very dangerous doctrine and, if allowed to flourish, would destroy the benefit of a written Constitution and undermine the basis of our government.

Baptiste v. State, 33 Fla. L. Weekly S662, S668 (Fla. Sept. 18, 2008) (quoting Reid v. Covert, 354 U.S. 1, 14 (1957)). For all these reasons, I fully concur in the majority opinion.

ANSTEAD and LEWIS, JJ., concur.

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Notes:

9. A proper Miranda warning in this case could have been as simple as the following:

You have the right to remain silent. If you give up the right to remain silent, anything you say can be used against you in court. You have the right to talk to a lawyer before answering any of our questions and at any time during questioning. If you cannot afford to hire a lawyer, one will be appointed for you without cost and before any questioning. You have the right to use any of these rights at any time you want during this interview.

(Additions in bold.)

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WELLS, J., dissenting.

I dissent from the decision of the majority. I would quash the decision of the Second District Court of Appeal Powell v. State, 969 So. 2d 1060 (Fla. 2d DCA 2007), and adopt the view of the seven members of the Second District M.A.B. v. State, 957 So. 2d 1219 (Fla. 2d DCA 2007), who would hold that the warnings given in these cases adequately advise defendants of their Miranda10 rights.

I believe that the majority stretches the plain language of the warning given in this case and ignores the simple, straight-forward requirements for a warning set out in Miranda. The majority needlessly complicates the Miranda warning requirements to reach its conclusion that the warning read to Powell was inadequate.

The consent form used in this case specifically and plainly advised, “You have the right to talk to a lawyer before answering any of our questions.” (Emphasis added.) I agree with the majority that the sufficiency of Miranda warnings must be reviewed from the perspective of “a person of ordinary intelligence and common understanding.” Majority op. at 18 (citing Missouri v. Seibert, 542 U.S. 600, 615-14 (2004) (“[S]ince a reasonable person in the suspect’s shoes could have seen the station house questioning as a new and distinct experience, the Miranda warnings could have made sense as presenting a genuine choice whether to follow up on the earlier admission.”)). However, contrary to the majority, I find that it is patently unreasonable to construe the statement at issue as conveying a meaning other than: you can talk to a lawyer before answering any of law enforcement’s questions. To hold this warning inadequate under Miranda is to give only lip service to the United State Supreme Court’s repeated statement that the relevant “inquiry is simply whether the warnings reasonably `conve[y] to [a suspect] his rights as required by Miranda.’” Duckworth v. Eagan, 492 U.S. 195, 203 (1981) (quoting California v. Prysock, 453 U.S. 355, 361 (1981)). The warning in this case stated that a suspect has a right to talk to an attorney before answering any question. I would find that the use of the phrase “any of our questions” was sufficient to “reasonably convey” to a person of ordinary intelligence that he or she had a right to talk to an attorney at any point during the interrogation. It is unreasonable to conclude that the broad, unqualified language read to Powell would lead a person of ordinary intelligence to believe that he or she had a limited right to consult with an attorney that could only be exercised before answering the first question posed by law enforcement.

In addition, I agree with the plurality from M.A.B. that the final sentence of the warnings used in these cases ensures that the Miranda warning “avoids the implication—unreasonable as it may be—that advice concerning the right of access to counsel before questioning conveys the message that access to counsel is foreclosed during questioning.” M.A.B., 957 So. 2d at 1227. This final sentence informs suspects, “You have the right to use any of these rights at any time you want during this interview.” The previously listed rights consist of the right to remain silent, the right to talk to a lawyer before answering any questions, and the right to have an attorney appointed without cost before any questioning. Again, I find that it is patently unreasonable to conclude that a person of ordinary intelligence would interpret this invitation to use “any of these rights at any time you want during this interview” (emphasis added) to mean that the right to talk with counsel could only be invoked before answering the first question posed by law enforcement. The totality of the warning reasonably conveyed to Powell his continuing right of access to counsel.

Finally, I do not join the majority’s decision because it expands upon the Miranda warning criteria set by the Supreme Court, resulting in an extreme, unworkable application of the Miranda decision. This needless complication is contrary to the spirit of the Supreme Court’s decision, in which it stated that the “limits we have placed on the interrogation process should not constitute an undue interference with a proper system of law enforcement.” 384 U.S. at 481. The majority’s decision to require overly detailed Miranda warnings will unduly and unnecessarily burden the proper investigation of crimes without meaningfully increasing a suspect’s understanding of the right to counsel. Additionally, it will result in reversing the convictions of individuals who have confessed to crimes based upon a holding that is at most an extreme technical adherence to language and that has no connection with whether the person who confessed understood his or her rights.

—————

Notes:

10. Miranda v. Arizona, 384 U.S. 436 (1966).

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Inquiry Concerning a Judge Aleman, No. SC07-198 (Fla. 9/29/2008) (Fla., 2008)

Monday, September 29th, 2008

INQUIRY CONCERNING A JUDGE, NO. 06-52, RE: CHERYL ALEMAN.
No. SC07-198.

Supreme Court of Florida.

September 29, 2008.

Original Proceeding — Judicial Qualifications Commission.

Lansing C. Scriven of Lansing C. Scriven, P.A., Special Counsel, Tampa, Florida, Michael Louis Schneider, General Counsel, Tallahassee, Florida, and Marvin E. Barkin, Special Consulting Counsel, Tampa, Florida, for Judicial Qualifications Commission, Petitioner

J. David Bogenshutz, of Bogenschutz, Dutko, and Kroll, P.A., Fort Lauderdale, Florida, and Perry W. Hodges, Jr. of Rogers, Morris and Ziegler, LLP, Fort Lauderdale, Florida, for Respondent

PER CURIAM.

In this case we review the determination by the Judicial Qualifications Commission (JQC) that Seventeenth Judicial Circuit Judge Cheryl Aleman violated the Code of Judicial Conduct and its recommendation that Judge Aleman be publicly reprimanded and charged the costs of investigation and prosecution. For the reasons discussed below, we approve the JQC’s determination and recommendation.

I. FACTS AND PROCEDURAL HISTORY
The charges stem from Judge Aleman’s behavior in response to three motions to disqualify her made by Assistant Public Defenders Sandra Perlman and Bruce Raticoff on January 24, 2006, the second day of jury selection in State v. Braynen, a first-degree murder case.1 On the morning of January 24, Perlman sought to disqualify Judge Aleman based on what Perlman perceived to be Judge Aleman’s aggressive and intimidating questioning of prospective jurors during voir dire the previous afternoon. Because the motion was oral, Perlman requested a reasonable amount of time to reduce the motion to writing as required by Rogers v. State, 630 So. 2d 513 (Fla. 1993).2 Judge Aleman denied the request for additional time and immediately denied the motion on its merits.

The second motion to disqualify related to Judge Aleman’s allegedly preferential treatment of Assistant State Attorney Peter Holden. Judge Aleman had granted Holden a fifteen-minute delay in the start of the afternoon proceedings while denying a similar request from Perlman. When Perlman requested “at least an hour” to reduce this second oral motion to writing, Judge Aleman responded that the court would be in recess for five minutes. During this time, Judge Aleman conferred with another jurist, who suggested that defense counsel be given a pad of paper and a pen to prepare a written motion. When the proceeding resumed at 2:20 p.m., Judge Aleman did just that; she gave Perlman paper and pen and stated that, if defense counsel subsequently wished to substitute a typed motion, she would allow it. But rather than giving counsel an hour, Judge Aleman gave the defense attorneys fifteen minutes to transcribe the motion, stating that the court would adjourn until 2:35 p.m.

Intending to research and type the motion, Perlman and Raticoff left the courtroom to return to their office. In their haste, they ran past a number of prospective jurors who were sitting and standing in the hallway. At 2:42 p.m., when the proceeding reconvened, neither assistant public defender was in the courtroom. Judge Aleman took a recess until defense counsel returned.

By 2:48 p.m., Raticoff had returned, but Perlman had not. At that point, Judge Aleman mentioned the prospect of holding both public defenders in contempt:

The Court: The Court’s go[ing] to issue a rule to show cause, and we’ll hold this in abeyance until conclusion of the trial. The Court had [given] counsel 15 additional minutes to handwrite a motion, provided a paper and pen for counsel to do so, and when the Court returned back neither Defense Counsel was here, and now it’s 2:49 and we’re still missing one of defense counsel.

Again, good grounds for the rule to show cause is failure to abide by the Court’s order with respect, and we’ll hold that in abeyance until the concluding of the proceeding.

Mr. Raticoff: Judge, just so the record —

The Court: Directly to both Counsel, Mr. Raticoff and Ms. Perlman. And we’ll be in recess until Ms. Perlman arrives.

Upon returning to the courtroom at 2:57 p.m., Perlman inquired into the status of the contempt charge. There was some confusion as to whether Judge Aleman actually issued the order to show cause. At first, Judge Aleman suggested that she did not. Upon further inquiry by defense counsel, however, Judge Aleman indicated that she had, in fact, issued the order.

Raticoff then moved to withdraw from the case, citing the conflict between defending his client on one hand and defending himself on the other. In addition, Raticoff expressed his concern that he would not be able to represent Braynen effectively. Judge Aleman denied the motion, finding no reason to believe that the defendant had not received effective assistance of counsel. Judge Aleman eventually denied the second motion to disqualify, finding it legally insufficient.

Judge Aleman’s order to show cause triggered defense counsel’s third motion to disqualify. Again, Perlman requested a reasonable time to reduce the motion to writing, and again Judge Aleman granted fifteen minutes. When Perlman objected, reminding Judge Aleman that fifteen minutes was previously insufficient, Judge Aleman instead granted twelve minutes. Once again, Perlman objected, and Judge Aleman eventually gave defense counsel twenty-two minutes to prepare the written motion.

This time, when the court reconvened, both Public Defenders were present—but the motion was not. Afraid to violate the court’s order, Perlman had returned to the courtroom without finishing the motion and requested an additional five minutes to do so. Judge Aleman expressed her concern for the jurors who had been sitting in the hallway since 1:30 p.m., but agreed. When presented with this third motion, Judge Aleman denied it as well.

The next day, when Raticoff asked Judge Aleman to reconsider or vacate her order to show cause, Judge Aleman declined to hold a hearing on the matter, stating instead that “I believe everyone is entitled to due process.” Ultimately, Judge Aleman never issued a written order to show cause, and the issue of contempt was never acted upon.

Based on these events, an Investigative Panel of the JQC charged Judge Aleman with violating Canons 1, 2A and 3B(4) of the Code of Judicial Conduct. A Hearing Panel of the JQC heard testimony from several witnesses, including Public Defenders Perlman and Raticoff, Assistant State Attorney Holden, and Judge Aleman. The JQC concluded that:

Judge Aleman’s conduct involving her denial of the motions for disqualifications [sic] without giving counsel a reasonable time to prepare the motions in writing and in threatening contempt by announcing entry of an order to show cause and then refusing to vacate the order to show cause constituted conduct which was arrogant, discourteous, and impatient to the lawyers appearing before her and others appearing in the Braynen case. . . . She acted in a manner that erodes public confidence in the integrity and impartiality of the judiciary.

More specifically, the JQC Hearing Panel found that Judge Aleman “did not give the Public Defender adequate time to prepare [the first] motion in writing before denying it,” “it was . . . improper to have the lawyers in the case run up and down in front of the prospective jurors in order to avoid being held in contempt,” “[t]he order to show cause which was never reduced to writing and which was never acted upon caused conflicts and further delays,” the time limits imposed by Judge Aleman were “unreasonable under all of the circumstances,” and “[f]orcing an attorney to prepare a handwritten motion for disqualification of a judge within 15 minutes or within 22 minutes was improper in the context of this first-degree murder case in which the death penalty was being sought.”

As a result, the JQC Hearing Panel found by a two-thirds vote that Judge Aleman was guilty of misconduct and recommended that Judge Aleman be publicly reprimanded and charged the costs of the investigation.

II. ANALYSIS
Judge Aleman disputes the JQC’s findings, arguing: (a) the JQC’s findings are not supported by clear and convincing evidence; and (b) rather than requiring her to pay the costs of the investigation, the JQC should pay her costs because Judge Aleman was the prevailing party.3 We conclude that each argument lacks merit.

A. Clear and Convincing Evidence
First, Judge Aleman argues that there is no clear and convincing evidence to support the JQC’s conclusion that her conduct was unreasonable or that she threatened the public defenders with contempt. To the contrary, we find that sufficient evidence supports the JQC’s conclusion in both respects.

The Florida Constitution vests this Court with the ultimate decision in determining what constitutes judicial misconduct. Specifically, article V, section 12(c)(1) provides that “[t]he supreme court may accept, reject, or modify in whole or in part the findings, conclusions, and recommendations of the [judicial qualifications] commission and it may order that the justice or judge be subjected to appropriate discipline.” In re Graziano, 696 So. 2d 744, 753 (Fla. 1997), we described how we review the JQC’s findings of fact:

Before reporting findings of fact to this Court, the JQC must conclude that they are established by clear and convincing evidence. In re McAllister, 646 So. 2d 173, 177 (Fla. 1994). This Court must then review the findings and determine whether they meet this quantum of proof, a standard which requires more proof than a “preponderance of the evidence” but the less than “beyond and to the exclusion of a reasonable doubt.” In re Davey, 645 So. 2d 398, 404 (Fla. 1994). If the findings meet this intermediate standard, then they are of persuasive force and are given great weight by this Court. See In re LaMotte, 341 So. 2d 513, 516 (Fla. 1977). This is so because the JQC is in a position to evaluate the testimony and evidence first-hand. See In re Crowell, 379 So. 2d 107 (Fla. 1979). However, the ultimate power and responsibility in making a determination rests with this Court. Id.

Furthermore, this Court has “relied upon the clear and convincing evidence standard without distinguishing findings of fact from whether the facts as found warrant particular discipline.” In re Henson, 913 So. 2d 579, 589 (Fla. 2005) (citing In re Kinsey, 842 So. 2d 77, 85 (Fla. 2003)).

Based on generally undisputed facts, the JQC concluded that Judge Aleman’s conduct violated Canons 1, 2A, and 3B(4) of the Code of Judicial Conduct.4 Judge Aleman admits, and the Braynen transcript reflects, the facts upon which the JQC relied in making its decision.5 Far from patient, dignified, or courteous, the JQC concluded that Judge Aleman’s undisputed conduct was “arrogant, discourteous, and impatient,” as well as “[in]adequate,” “improper,” “unacceptable,” and “unreasonable.”

We find that clear and convincing evidence supports the JQC’s findings of fact as well as its conclusion that Judge Aleman violated Canons 1, 2A, and 3B(4). We agree with the JQC’s conclusion that, with respect to the time limitations, “forcing an attorney to prepare a handwritten motion for disqualification of a judge within 15 minutes or within 22 minutes was improper in the context of this first degree murder case in which the death penalty was being sought.” This is true particularly in light of our decision in Rogers, which entitles counsel to a reasonable amount of time to prepare a written motion. By imposing unreasonably strict time limits, Judge Aleman forced defense counsel to decide between diligently representing their client and abiding by the court’s order. Such conduct is improper.

In addition, Judge Aleman’s use or threat to use her contempt power is even more unsettling. A judge’s power of contempt must be exercised with care. This Court has stated that:

[O]ne of the most important and essential powers of a court is the authority to protect itself against those who disregard its dignity and authority or disobey its orders. This authority is appropriately administered through a court’s power to punish by contempt. South Dade Farms, Inc. v. Peters, 88 So. 2d 891 (Fla. 1956). Nevertheless, although the power of contempt is an extremely important power for the judiciary, it is also a very awesome power and is one that should never be abused.

In re Perry, 641 So. 2d 366, 368 (Fla. 1994). A judge’s abuse of contempt powers has, on several occasions, resulted in discipline. See id. at 366-68 (reprimanding a judge for holding six defendants in contempt for driving away from courthouse with suspended licenses, for which one defendant spent twenty-six days in jail); see also In re Shea, 759 So. 2d 631, 632 (Fla. 2000) (imposing discipline for, among other things, entering an order to show cause after a litigant sent a letter to the Governor complaining of Judge Shea’s handling of a support case); In re Wright, 694 So. 2d 734, 735 (Fla. 1997) (reprimanding a judge for, among other things, threatening a prosecutor by stating “if you talk any more[,] it’s an Order that you don’t open your mouth anymore until I invite you to do so, and if you do I’m gonna hold you in contempt”); In re Muszynski, 471 So. 2d 1284, 1285 (Fla. 1985) (imposing discipline for demanding a police officer to lower the volume on his police radio while dining in a restaurant and, when the officer refused, directing him to appear in court to explain his “contemptuous conduct”); In re Crowell, 379 So. 2d 107, 108 (Fla. 1979) (removing a judge for abusing his contempt powers which demonstrated a “propensity to summarily adjudicate and incarcerate a citizen . . . without according to the accused a right to be heard or any opportunity to defend himself”).

Here, after Judge Aleman announced her intention to issue an order to show cause, the prospect of defense counsel being held in contempt had a palpable impact on the proceeding. Perlman sought to disqualify Judge Aleman for the fifth time, and Raticoff moved to withdraw, citing the conflict between defending his client and defending himself. Raticoff later testified that the order to show cause had a “chilling effect” on his representation. The fear of being held in contempt, Raticoff recalled, limited his ability to zealously represent his client. In sum, Judge Aleman’s threat of contempt was unnecessary and harmful under the circumstances.

Accordingly, we approve the JQC’s findings of fact and its conclusion that Judge Aleman committed misconduct by imposing unreasonable time limits on counsel and then threatening counsel with contempt.

B. Discipline
Having approved the JQC’s conclusion that Judge Aleman committed misconduct, the final matter is the appropriate discipline. The JQC recommends that we issue a public reprimand of Judge Aleman and require her to pay the costs of the investigation and prosecution. We agree.

Judge Aleman does not challenge the propriety of a public reprimand, and we find it to be a suitable punishment considering the nature of her conduct. We have employed a public reprimand to sanction judges for similar misconduct. See Perry, 641 So. 2d at 366-368 (abuse of contempt powers and, to a lesser extent, the admonition of army recruiter for wearing his uniform in court); see also In re Schapiro, 845 So. 2d 170 (Fla. 2003) (intemperate courtroom behavior); In re Schwartz, 755 So. 2d 110 (Fla. 2000) (rude remarks during oral argument). And, because the JQC prevailed in the matter of whether Judge Aleman committed misconduct with respect to her actions in Braynen, we likewise order Judge Aleman to pay the cost of the JQC’s investigation and prosecution relating to that charge. See art. V, § 12(c)(2), Fla. Const.

III. CONCLUSION
For the reasons stated, we approve the JQC’s conclusion that Judge Aleman violated the Code of Judicial Conduct, and we approve the JQC’s recommendation that Judge Aleman be reprimanded and charged the cost of the investigation and prosecution relating to her conduct in State v. Braynen. In accordance with the policy announced In re Frank, 753 So. 2d 1228, 1242 (Fla. 2000), we hereby command Judge Cheryl Aleman to appear before this Court for the administration of a public reprimand at a time to be established by the Clerk of this Court.

It is so ordered.

QUINCE, C.J., and WELLS, ANSTEAD, PARIENTE, LEWIS, and BELL, JJ., concur.

NOT FINAL UNTIL TIME EXPIRES TO FILE REHEARING MOTION, AND IF FILED, DETERMINED.

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Notes:

1. Prior to trial, defense counsel filed two motions to disqualify Judge Aleman. Perlman first moved to disqualify Judge Aleman because Ms. Perlman supported Judge Aleman’s opponent in the 2004 election. Judge Aleman denied the motion, and the Fourth District affirmed this ruling on appeal. See Braynen v. State, 895 So. 2d 1169 (Fla. 4th DCA 2005). The defense then sought review of the Fourth District’s decision in this Court and moved to stay the trial proceedings. Judge Aleman denied the motion to stay and instructed Ms. Perlman to prepare an order reflecting this ruling. When Ms. Perlman handed the proposed order to Judge Aleman, Judge Aleman ripped it up and wrote her own. This led to the second motion to disqualify, which Judge Aleman likewise denied. However, these first two motions to disqualify were not the basis for the JQC investigation.

2. When a motion to disqualify a judge occurs “mid-trial or mid-hearing,” the trial court must give counsel a “reasonable opportunity” to write and file the motion. Rogers, 630 So. 2d at 516.

3. Judge Aleman also argues that the JQC does not have jurisdiction over her conduct in Braynen. We disagree. See art. V, § 12(a)(1), Fla. Const.

4. Canon 1 provides, in pertinent part, that judges “should participate in establishing, maintaining, and enforcing high standards of conduct, and shall personally observe those standards so that the integrity and independence of the judiciary may be preserved.” Canon 2A provides that judges shall “respect and comply with the law and shall act at all times in a manner that promotes public confidence in the integrity and impartiality of the judiciary.” Canon 3B(4) provides that judges shall be “patient, dignified, and courteous to litigants, jurors, witnesses, lawyers, and others with whom the judge deals in an official capacity, and shall require similar conduct of lawyers, and of staff, court officials, and others subject to the judge’s direction and control.”

5. Judge Aleman disputes one aspect of the JQC’s findings: that she threatened contempt by “announcing entry of an order to show cause and then refusing to vacate the order to show cause.” Judge Aleman argues that she never actually entered a written order, but only stated her intention to do so at a later date, and thus there was no order to vacate. Indeed, the JQC’s findings are somewhat unclear on this point. In addition to the language quoted above, the JQC, in a section entitled “The Threat of Contempt,” seemed to espouse Judge Aleman’s version of the events, stating: “The basis for the order to show cause which was never reduced to writing, was that the attorneys were late in returning with the written motion which they had been given 15 minutes to prepare.” (emphasis provided). The difference, though, is largely semantic. The thrust of the JQC’s finding was that the specter of contempt loomed over the public defenders, and this remained true whether Judge Aleman entered a written order or merely stated an intention to do so.

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Beahr v. State, Case No. 1D06-3448 (Fla. App. 9/29/2008) (Fla. App., 2008)

Monday, September 29th, 2008

JAMES RUSSELL BEAHR, Appellant,
v.
STATE OF FLORIDA, Appellee.
Case No. 1D06-3448.

District Court of Appeal of Florida, First District.

Opinion filed September 29, 2008.

An appeal from the Circuit Court for Madison County, James Roy Bean, Judge.

Nancy A. Daniels, Public Defender, and G. Kay Witt, Assistant Public Defender, Tallahassee, for Appellant.

Bill McCollum, Attorney General, and Thomas D. Winokur, Assistant Attorney General, Tallahassee, for Appellee.

LEWIS, J.

In this criminal appeal, appointed counsel filed a brief pursuant to Anders v. California, 386 U.S. 738 (1967). Following receipt of a pro se brief from James Beahr, Appellant, and our independent review of the record, we ordered supplemental briefing on the issue of whether Appellant’s separate convictions for sexual battery upon a person less than twelve years of age and lewd or lascivious molestation violated the Double Jeopardy Clauses of the state and federal constitutions. Having received the supplemental briefs, we hold that Appellant’s right to be free from double jeopardy was violated, as the convictions arose from acts that were perpetrated against the same victim in the same criminal episode. We affirm Appellant’s conviction and sentence for sexual battery, and the conviction for sexual battery will be discussed only as it relates to whether the conviction for lewd or lascivious molestation may be upheld. We reverse the conviction for lewd or lascivious molestation and remand the case to the trial court with directions to vacate that conviction and the sentence imposed for it.1

Appellant was charged with one count of sexual battery on a person less than twelve years of age, contrary to section 794.011(2)(a), Florida Statutes (2004), and one count of lewd or lascivious molestation, contrary to section 800.04(5)(b), Florida Statutes (2004). At trial, the evidence supporting the sexual battery charge was that Appellant placed his penis in a ten-year-old child’s mouth. To support the lewd or lascivious molestation charge, the State produced evidence that, on the same night, Appellant touched the child’s genitals. The jury found Appellant guilty as charged on both counts. The trial court entered judgment against Appellant for both crimes and sentenced him accordingly. We now consider whether Appellant was afforded the protection of the Double Jeopardy Clause.

The Fifth Amendment double jeopardy prohibition protects criminal defendants from receiving multiple punishments for the same offense. State v. Paul, 934 So. 2d 1167, 1171 (Fla. 2006). The first step of double jeopardy analysis is to examine the relevant statutes and determine whether there is a “clear statement of legislative intent” to have the crimes punished separately in all cases. See id. If there is such an explicit statement of legislative intent, then there is no double jeopardy violation, and no further analysis is necessary. Id.

In the absence of such a “clear statement of legislative intent,” courts move to the second step of double jeopardy analysis, which is to determine whether the two crimes occurred in the same criminal episode. See id. at 1172-73. Two crimes cannot be considered the same offense for the purpose of double jeopardy analysis unless they occurred during a single criminal episode. See id. The test for determining whether two crimes occurred in the same criminal episode is whether there was a temporal break between the crimes, such that the defendant had an opportunity to pause, reflect, and form a new criminal intent. Id.; Mijarez v. State, 889 So. 2d 827, 828 (Fla. 4th DCA 2004). If there was such a break, then the crimes occurred in separate criminal episodes and may be punished separately. Paul, 934 So. 2d at 1173.

On the other hand, if the court determines that the two crimes occurred in a single criminal episode, it must proceed to the last step of double jeopardy analysis and determine whether, as a matter of law, the crimes are nonetheless considered separate offenses, separately punishable. See id. at 1171-72. The Blockburger2 test, also known as the “same elements test,”governs this stage of the analysis. See id. The Blockburger test, which is codified in section 775.021, Florida Statutes (2007), “prohibits courts from imposing multiple convictions for an act or acts which occur in one criminal episode if each offense does not contain at least one element distinct from the other offenses.” Paul, 934 So. 2d at 1172. The Blockburger test specifically provides, “[O]ffenses are separate if each offense requires proof of an element that the other does not, without regard to the accusatory pleading or the proof adduced at trial.” § 775.021(4)(a), Fla. Stat. (2004).

Turning to the double jeopardy issue presented in the instant case, we initially note that there is no clear statement of legislative intent to have sexual battery and lewd or lascivious molestation punished separately when the two crimes occur in the course of a single criminal episode. The State has appropriately conceded that there is no dispute in this case as to whether the acts at issue occurred in the course of a single criminal episode. At trial, the State did not produce any evidence of a temporal break between the offenses. Instead, the State’s evidence showed only that the two offenses occurred on the same night; notably, the child victim told his mother “it” had happened “just the one time.” Having found no clear statement of legislative intent to punish sexual battery and lewd or lascivious molestation separately, nor any basis for believing Appellant had the opportunity to form a new criminal intent between the commission of the crimes at issue, we conclude that the Blockburger test applies. Accordingly, the only issue left for our determination is whether each crime contains an element that the other does not, by reference to the statutory definitions only. See Paul, 934 So. 2d at 1173.

The two crimes at issue are sexual battery, as defined in section 794.011(1)(h), and lewd or lascivious molestation, as defined in section 800.04(5)(a). Johnson v. State, 913 So. 2d 1291, 1291 (Fla. 2d DCA 2005), the Second District held that convictions for both sexual battery and lewd or lascivious molestation violated double jeopardy principles because the offenses “were both perpetrated on the same victim, at the same time and place, during the same criminal episode.” The facts of Johnson reveal only one act committed by the defendant. See id. However, for the purpose of double jeopardy analysis, it is immaterial whether two convictions arise from a single act or two discrete acts that occur in the same criminal episode. See Paul, 934 So. 2d at 1172 (summarizing the Blockburger test as prohibiting multiple convictions for “an act or acts which occur in one criminal episode”). In either case, convictions for two separate crimes can be upheld only if each crime contains an element that the other does not. See id. We agree with the Johnson holding and conclude that it supports reversal in this case.

Moreover, our own comparison of sections 794.011(1)(h) and 800.04(5)(a), which is controlled by the supreme court’s analysis in Paul, 934 So. 2d at 1173-74, leads us to the same conclusion. Section 794.011(1)(h) defines sexual battery as “oral, anal, or vaginal penetration by, or union with, the sexual organ of another or the anal or vaginal penetration of another by any other object.” Section 800.04(5)(a) defines lewd or lascivious molestation as “intentionally touch[ing] in a lewd or lascivious manner the breasts, genitals, genital area, or buttocks, or the clothing covering them, of a person less than 16 years of age . . . .”3 Sexual battery includes an element that lewd or lascivious molestation does not: penetration. However, the converse does not hold true. Rather, the elements of lewd or lascivious molestation are subsumed by the elements of the more serious crime of sexual battery. In other words, sexual battery cannot occur without a touching of one of the body parts listed in section 800.04(5). Because sexual battery requires such touching, one cannot commit sexual battery without simultaneously committing the crime described in section 800.04(5). Accord Capron v. State, 948 So. 2d 954, 960 (Fla. 5th DCA 2007) (recognizing that the commission of “any kind of battery” requires “a touching”). Thus, when sexual battery and lewd or lascivious molestation occur in the same criminal episode, they constitute the same offense for double jeopardy purposes and may not be punished separately.

We recognize that our decision today is difficult to reconcile with this Court’s prior opinion Seccia v. State, 720 So. 2d 580, 581-82 (Fla. 1st DCA 1998), where we upheld a defendant’s convictions for sexual battery and a lewd act based on the fact that “the jury could reasonably have concluded . . . that two separate and distinct acts occurred.” Subsequent events have overtaken that decision. Not only has the supreme court decided the Paul case, but the lewd or lascivious offenses on minors statute has also been substantially amended. Ch. 99-201, § 6, at 1187-89, Laws of Fla. In view of the Florida Supreme Court’s opinion in Paul, we conclude that Florida law will not permit convictions for both sexual battery and lewd or lascivious molestation for acts that occur in the same criminal episode. To the extent that Seccia conflicts with this statement of the law, it has been superseded and we can no longer follow it. Thus, because we are bound by the supreme court’s decision in Paul, we reverse Appellant’s conviction and sentence for lewd or lascivious molestation and remand the case with directions that the trial court vacate the conviction and sentence for that charge. Appellant’s conviction and sentence for sexual battery are affirmed.

AFFIRMED in part; REVERSED in part; REMANDED with directions.

BENTON and ROBERTS, JJ., CONCUR.

NOT FINAL UNTIL TIME EXPIRES TO FILE MOTION FOR REHEARING AND DISPOSITION THEREOF IF FILED

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Notes:

1. See Hardy v. State, 705 So. 2d 979, 981 (Fla. 4th DCA 1998) (holding that when multiple convictions violate the double jeopardy prohibition, “[t]he proper remedy is to vacate the conviction for the lesser offense while affirming the conviction for the greater one”).

2. Blockburger v. United States, 284 U.S. 299 (1932).

3. Section 800.04(5)(a) defines specific alternative conduct as lewd or lascivious molestation. It reads, in its entirety, “A person who intentionally touches in a lewd or lascivious manner the breasts, genitals, genital area, or buttocks, or the clothing covering them, of a person less than 16 years of age, or forces or entices a person under the 16 years of age to so touch the perpetrator, commits lewd or lascivious molestation.” § 800.04(5)(a). The portion of the statute recognizing forcing or enticing the victim to touch the perpetrator is not relevant to our analysis because, as the supreme court stated in Paul, “when courts are reviewing whether double jeopardy is violated based on an alternative conduct statute, the court must break the conduct elements into the specific alternative conduct which is in the other statute being compared and cannot consider the entire range of conduct proscribed by the statute.” 934 So. 2d at 1174 n.4.

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Jimenez v. State, No. SC05-2373 (Fla. 9/29/2008) (Fla., 2008)

Monday, September 29th, 2008

JOSE ANTONIO JIMENEZ, Appellant,
v.
STATE OF FLORIDA, Appellee.
No. SC05-2373.

Supreme Court of Florida.

June 19, 2008.

September 29, 2008.

An Appeal from the Circuit Court in and for Dade County, Diane Ward, Judge — Case No. CF92034156, Lower Tribunal No. CF92034156.

Martin J. McClain of McClain and McDermott, P.A., Wilton Manors, Florida, for Appellant.

Bill McCollum, Attorney General, Tallahassee, Florida, and Sandra S. Jaggard, Assistant Attorney General, Miami, Florida, for Appellee.

REVISED OPINION
PER CURIAM.

Jose Antonio Jimenez seeks review of the denial of his successive motion for postconviction relief under Florida Rule of Criminal Procedure 3.851. We have jurisdiction. See art. V, § 3(b)(1), Fla. Const.

FACTUAL AND PROCEDURAL HISTORY
Jimenez was convicted of both first-degree murder and burglary with an assault and battery in an occupied dwelling, and he was subsequently sentenced to death. See Jimenez v. State, 703 So. 2d 437, 438 (Fla. 1997).1 On direct appeal, this Court concisely detailed the facts surrounding the incident:

On October 2, 1992, Jimenez beat and stabbed to death sixty-three-year-old Phyllis Minas in her home. During the attack her neighbors heard her cry, “Oh God! Oh my God!” and tried to enter her apartment through the unlocked front door. Jimenez slammed the door shut, locked the locks on the door, and fled the apartment by exiting onto the bedroom balcony, crossing over to a neighbor’s balcony and then dropping to the ground. Rescue workers arrived several minutes after Jimenez inflicted the wounds, and Minas was still alive. After changing his clothes and cleaning himself up, Jimenez spoke to neighbors in the hallway and asked one of them if he could use her telephone to call a cab.

Jimenez’s fingerprint matched the one lifted from the interior surface of the front door to Minas’s apartment, and the police arrested him three days later at his parents’ home in Miami Beach.

Id. at 438.

After this Court affirmed the convictions and sentence of death, Jimenez filed an original rule 3.850 motion for postconviction relief on January 31, 2000. On March 10, 2000, Jimenez filed an amended rule 3.850 motion, which contained one additional claim—i.e., he was entitled to relief under Delgado v. State, 776 So. 2d 233 (Fla. 2000). On June 8, 2000, the trial court summarily denied the amended rule 3.850 motion. Jimenez then filed a pro se petition for writ of habeas corpus in which he sought the appointment of new counsel. The trial court summarily denied this petition. On September 26, 2001, this Court affirmed the summary denial of the amended rule 3.850 motion. See Jimenez v. State, 810 So. 2d 511 (Fla. 2001). On November 13, 2001, this Court dismissed an appeal filed by Jimenez with regard to the trial court’s denial of his pro se petition for writ of habeas corpus. See Jimenez v. State, 800 So. 2d 614 (Fla. 2001) (table). On June 12, 2002, the trial court discharged postconviction counsel Casuso and appointed new counsel McClain to represent Jimenez in any further postconviction proceedings.

On April 28, 2005, Jimenez filed a successive rule 3.851 motion. On July 25, 2005, the trial court held a Huff2 hearing for the motion. On September 9, 2005, the trial court held a hearing to enter an order denying the rule 3.851 motion. Only the State was present at this hearing. On October 5, 2005, Jimenez moved to disqualify the trial judge, Judge Ward. On November 1, 2005, Judge Ward denied the motion for disqualification. On November 30, 2005, Jimenez filed a Notice of Appeal for the denial of the successive rule 3.851 motion. On January 5, 2006, Jimenez filed a “Petition for Extraordinary Relief, for a Writ of Prohibition, and/or for a Writ of Mandamus.” This Court treated the filing as a petition for writ of mandamus and denied the petition on May 4, 2006. See Jimenez v. State, 931 So. 2d 900 (Fla. 2006) (table). This appeal followed.3

ANALYSIS
I. Summary Denial of Successive Motion for Postconviction Relief
Introduction

Jimenez asserts that the trial court erred when it summarily denied various subclaims of the successive rule 3.851 motion. In Florida, a rule 3.851 motion for postconviction relief must generally be filed within one year after the judgment and sentence are finalized. See Fla. R. Crim. P. 3.851(d)(1). If this time period expires, a motion filed thereafter is procedurally barred unless certain circumstances exist:

No motion shall be filed or considered pursuant to this rule if filed beyond the time limitation provided in subdivision (d)(1) unless it alleges:

(A) the facts on which the claim is predicated were unknown to the movant or the movant’s attorney and could not have been ascertained by the exercise of due diligence, or

(B) the fundamental constitutional right asserted was not established within the period provided for in subdivision (d)(1) and has been held to apply retroactively, or

(C) postconviction counsel, through neglect, failed to file the motion.

Fla. R. Crim. P. 3.851(d)(2). Additionally, a “motion filed under this rule is successive if a state court has previously ruled on a postconviction motion challenging the same judgment and sentence.” Fla. R. Crim. P. 3.851(e)(2). A successive rule 3.851 motion may be summarily denied on the merits “[i]f the motion, files, and records in the case conclusively show that the movant is entitled to no relief.” Fla. R. Crim. P. 3.851(f)(5)(B). When reviewing a summary denial, this Court must accept the defendant’s allegations as true “to the extent they are not refuted by the record.” Green v. State, 975 So. 2d 1090, 1108 (Fla. 2008) (quoting Peede v. State, 748 So. 2d 253, 257 (Fla. 1999)).

Here, Jimenez filed the rule 3.851 motion presently under review after his previously amended rule 3.850 motion for postconviction relief had been denied. This successive rule 3.851 motion was filed on April 28, 2005, which is well beyond the one-year time period limitation after the judgment and sentence were finalized—on October 30, 1997, when this Court affirmed the convictions and sentence on direct appeal. Thus, to be reviewed on the merits, each of Jimenez’s subclaims must either be based on (A) new evidence that would have been unknowable through the exercise of due diligence or (B) a fundamental constitutional right that should receive retroactive application and that was not established before October 30, 1998. See Fla. R. Crim. P. 3.851(d)(2)(A)-(B). To be considered timely filed as newly discovered evidence, the successive rule 3.851 motion was required to have been filed within one year of the date upon which the claim became discoverable through due diligence. Cf. Mills v. State, 684 So. 2d 801, 804-05 (Fla. 1996) (establishing such an interpretation for rule 3.850(b)(1), which has language identical to rule 3.851(d)(2)(A)).

Information With Regard To Ali

Jimenez asserts that (1) the State committed a Brady4 violation when it failed to disclose information with regard to the cab driver Ali or, alternatively, (2) trial counsel was ineffective due to the failure to discover this information. The State allegedly failed to properly advise Jimenez that Ali had given statements to law enforcement that Jimenez was not the man that he had picked up in his cab on the day of the murder. The State also allegedly harassed Ali on multiple occasions to identify this passenger as Jimenez. Further, Jimenez asserts that this information only became available in April 2005 when postconviction counsel McClain interviewed Ali. Between October 1992 and April 2005, Jimenez alleges that Ali was unavailable because he did not respond to the multiple subpoenas that had been issued by defense counsel to interrogate him in deposition. Defense counsel wished to question Ali with regard to statements he had allegedly made to the public defender and handwritten notes of that public defender, who had been assigned as Jimenez’s original trial counsel but was later replaced by new counsel.

This subclaim is procedurally barred. The record establishes that Jimenez was aware of this information as early as December 11, 2002, when he filed a petition for writ of habeas corpus with this Court. In that petition, Jimenez stated that

[a]ccording to Mr. Ali, the fare that he picked up at the apartment complex shortly after 8:00 p.m. was bleeding from the face. Mr. Ali was unable to identify Mr. Jimenez as this fare who was bleeding from his face.

(Emphasis supplied.) Whether this information was gathered from either the notes of the public defender or some other source, Jimenez was already aware of this information as early as December 11, 2002. The successive rule 3.851 motion was not filed within one year of this date; thus, this evidence is not newly discovered and does not provide a basis to review the merits of this subclaim.5 Additionally, Jimenez has not established that a fundamental constitutional right, which provides a basis for relief under this subclaim (or any other subclaim discussed below), was formulated sometime after the convictions and sentence became final and should receive retroactive application.

Even if there were no procedural bar, the subclaim with regard to Ali would be without merit. To establish a Brady claim, the defendant must demonstrate that (1) favorable evidence, which is either exculpatory or impeaching, (2) was willfully or inadvertently suppressed by the State, and (3) the defendant was prejudiced because the evidence was material. See Strickler v. Greene, 527 U.S. 263, 281-82 (1999); Way v. State, 760 So. 2d 903, 910 (Fla. 2000). Here, the trial court correctly found that the first prong under Brady was not satisfied because this allegedly suppressed information was neither exculpatory nor impeaching. Ali would have merely testified that he picked up a person, who stated that he had been mugged and was bleeding from the face, approximately sixteen blocks from the crime scene and approximately thirty minutes after the murder of Minas. This testimony from Ali would not have logically connected the person that he picked up in his cab to the murder. Also, Jimenez has failed to allege how this testimony from Ali would impeach any of the evidence presented by the State during the trial. Thus, the record conclusively refutes this subclaim.

Additionally, Jimenez’s assertion that trial counsel was ineffective due to the failure to discover this information with regard to Ali is without merit. Following the High Court’s decision Strickland v. Washington, 466 U.S. 668 (1984), this Court has held that for ineffective assistance of counsel claims to be successful, two requirements must be satisfied:

First, the claimant must identify particular acts or omissions of the lawyer that are shown to be outside the broad range of reasonably competent performance under prevailing professional standards. Second, the clear, substantial deficiency shown must further be demonstrated to have so affected the fairness and reliability of the proceeding that confidence in the outcome is undermined. A court considering a claim of ineffectiveness of counsel need not make a specific ruling on the performance component of the test when it is clear that the prejudice component is not satisfied.

Maxwell v. Wainwright, 490 So. 2d 927, 932 (Fla. 1986) (citations omitted). Here, trial counsel was clearly not deficient for the failure to discover information that was neither exculpatory nor impeaching.

Failure to Present Brandt as a Witness

Next, Jimenez asserts that trial counsel was ineffective due to the failure to utilize Brandt as a witness during the trial. Specifically, Jimenez contends that Brandt would have testified that she saw him exit the elevator on the third floor of the apartment complex immediately prior to the other neighbors hearing the noises from Minas’s unit; thus, it would have been impossible for Jimenez to commit the murder.

This subclaim is procedurally barred. Jimenez already asserted this subclaim in the amended rule 3.850 motion, and the trial court summarily denied the claim on the merits. Thus, this subclaim is based on evidence that was available when Jimenez filed the amended rule 3.850 motion.

Even without this procedural bar, this subclaim is without merit because it is conclusively refuted by the record. Notwithstanding that Detective Ojeda did state in a police report dated October 9, 1992, that Brandt had indicated that she observed Jimenez exit the elevator less than five minutes prior to the neighbors hearing the noises from Minas’s unit, Brandt herself stated under oath during a later deposition (on March 23, 1993) that she saw Jimenez exit the elevator after the noises. If Brandt had been presented as a witness during the trial, she likely would have provided testimony similar to that of the sworn deposition (rather than the unsworn, double-hearsay statement that was reflected in the police report). A decision by trial counsel that the sworn testimony was more reliable than the hearsay statement was clearly reasonable. If trial counsel had called Brandt and her testimony had corresponded to her deposition, this would have completely corroborated the testimony presented by other witnesses during the trial that there was time for Jimenez to commit the murder. Thus, we conclude that trial counsel made a reasonable strategic decision not to call Brandt as a witness.

Failure to Investigate and Present Evidence That It Was Common Knowledge in the Apartment Complex That Minas Had Been Stabbed

Next, Jimenez asserts that trial counsel was ineffective due to the failure to investigate and subsequently present evidence that on the day of the murder it was common knowledge in the apartment complex that Minas had been stabbed. Jimenez contends that this would have negated one of the three factors that supported the convictions: his statement to Probation Officer Baron that intimated his knowledge that Minas had been stabbed even though the police had not disclosed that the cause of Minas’s death was a stabbing.

We conclude that this subclaim is procedurally barred. During the pretrial deposition of Brandt, she stated that she was aware on the day of the murder that Minas had been “stabbed.” She acquired this knowledge from another neighbor (i.e., Griminger). Thus, this subclaim is not based on newly discovered evidence, but instead, the information was available to Jimenez’s postconviction counsel prior to the filing of the amended rule 3.850 motion. Further, Jimenez cannot assert in this successive rule 3.851 motion that postconviction counsel was ineffective due to the failure to assert this subclaim (or any of the other subclaims discussed below) in the amended rule 3.850 motion. See Kokal v. State, 901 So. 2d 766, 777 (Fla. 2005) (“We have repeatedly held that claims of ineffective assistance of postconviction counsel are not cognizable.”).

Even without the procedural bar, this subclaim is without merit because it is conclusively refuted by the record. Unlike Brandt, other neighbors (e.g., Taranco) did not become aware of the cause of death until many days after the murder of Minas:

Q At that point when you say Phyllis’ body, were you able to see what kind of injury she had?

A No. I only saw that there was blood on her.

Q At some point did you learn that she had been stabbed?

A When I went to do my deposition [at] the police station.

. . . .

Q Do you know what the date of the formal statement was that you gave to the police?

A October 7th, if I remember correctly.

(Emphasis supplied.) This testimony from Taranco refutes that it was common knowledge on the day of the murder (among those who lived at the apartment complex) that Minas had been stabbed. Jimenez stated to Baron on October 5 that “police wanted to talk to him about a stabbing,” whereas Taranco did not become aware of the cause of death until October 7. (Emphasis supplied.) Thus, this attempt to explain Jimenez’s knowledge of the stabbing was tenuous at best, and we conclude that trial counsel was not deficient for the failure to present this evidence during the trial.

Failure to Present Evidence With Regard to Baron

Jimenez also asserts that trial counsel was ineffective due to the failure to present evidence that the note in Baron’s desk calendar with regard to a conversation with Jimenez—i.e., the statement of Jimenez that the police wanted to talk to him concerning a “stabbing”—appeared to correspond to October 9. This would contradict the claim of Baron that this conversation occurred on October 5. If the conversation instead occurred on October 9, this would support the conclusion that Jimenez could have learned of the “stabbing” from another source as more neighbors had learned of the cause of death by October 9 (e.g., Taranco learned that Minas’s murder was by “stabbing” on October 7).

This subclaim is procedurally barred because it is not based on newly discovered evidence. Instead, on March 23, 1993, Baron was deposed by Jimenez’s counsel, and she stated that the note in her calendar accidentally appeared to correspond with October 9, rather than the correct date of October 5. Jimenez’s postconviction counsel had access to this evidence prior to filing the amended rule 3.850 motion.

Even without this procedural bar, the subclaim is without merit. In a pretrial deposition, Baron stated that her case notes accurately reflected that she had this conversation with Jimenez on October 5 at 1:30 p.m. Again, the conversation appeared to correspond to October 9 because she had just written her notes where her hand fell on the desk calendar during the conversation. Thus, trial counsel was not deficient for the failure to impeach Baron with the desk calendar because there was direct testimony which addressed why the note of the conversation appeared to correspond with October 9.

The Presence of Jimenez’s Fingerprint Inside the Front Door of Victim’s Unit

Next, Jimenez asserts that (1) the State committed a Brady violation when it failed to disclose information with regard to the true explanation for the presence of Jimenez’s fingerprint inside the front door of Minas’s unit or, alternatively, (2) trial counsel was ineffective due to the failure to discover this information. Jimenez was allegedly inside Minas’s unit on multiple occasions around the time of Hurricane Andrew to assist in preparations and cleanup, which occurred before the date of the murder.

This subclaim is also procedurally barred. The presence of Jimenez inside Minas’s unit on other occasions is necessarily based on his own personal knowledge of his actions. Thus, the facts on which this subclaim is predicated were known to Jimenez well in advance of the filing of the amended rule 3.850 motion. The subclaim is not based on newly discovered evidence.

Even without this procedural bar, the subclaim is without merit because it is conclusively refuted by the record. First, Jimenez’s fingerprint was found on the inside of the front door. The fingerprint was located where the perpetrator would have pushed on the inside of Minas’s door when the neighbors attempted to enter her unit. Second, fingerprint evidence degrades over time (the length of time for such evidence to become undetectable depends on the surface, time, temperature, and humidity). Here, the murder of Minas occurred approximately five weeks after Hurricane Andrew. Thus, it is reasonable to conclude that sufficient time had passed during the warm summer months of 1992 for any previous fingerprints left by Jimenez to degrade to the point of being undetectable. Third, this was the only fingerprint (from someone other than Minas) found in Minas’s unit. When he assisted her on prior occasions, Jimenez would have touched something and left other multiple fingerprints in the unit. If these fingerprints had not yet degraded by the day of the murder, there would have been multiple fingerprints from Jimenez discovered through the investigation in Minas’s unit. Thus, the fact that only one fingerprint was discovered on the front door and this fingerprint matched Jimenez further supports the conclusion that any fingerprints he allegedly left after he had previously assisted Minas had degraded and only the fresh fingerprint that he left on the day of the murder was detectable. Accordingly, there was neither a Brady violation—the information was neither exculpatory nor impeaching—nor a Strickland violation—trial counsel was not deficient for the failure to discover this information that was neither exculpatory nor impeaching.

Failure to Question the General Reliability of Fingerprint Evidence

Additionally, Jimenez asserts that trial counsel was ineffective due to the failure to question the general reliability of fingerprint evidence. A federal district court in Pennsylvania has issued an order in an unrelated case—i.e., United States v. Llera Plaza, Nos. Cr. 98-362-10, 98-362-11, & 98-362-12 (E.D. Pa. Jan. 7, 2002)—supposedly establishing a basis for trial counsel to attack the reliability of fingerprint evidence here.

This subclaim is procedurally barred. First, the fingerprint-evidence order did not establish a fundamental constitutional right that should receive retroactive application. This order was subsequently vacated by the same federal district court. See United States v. Llera Plaza, 188 F. Supp. 2d 549, 576 (E.D. Pa. 2002). Second, this subclaim is not based on newly discovered evidence. For the motion to be considered timely, Jimenez was required to have filed the successive rule 3.851 motion within one year of when the subclaim became discoverable through due diligence. Here, the order from the federal district court upon which Jimenez relies was dated January 7, 2002. Thus, more than one year elapsed between that date and when Jimenez filed his successive rule 3.851 motion on April 28, 2005.

Even without this procedural bar, the claim is without merit. Again, the fingerprint-evidence order that Jimenez advances was subsequently vacated by the same federal district court. We conclude that trial counsel was not deficient for the failure to pursue a theory that is based upon a now-vacated order.6

Influence Of Calderon

Jimenez also asserts that the State committed (1) a Brady violation when it failed to disclose information with regard to the influence of Calderon and (2) a Giglio7 violation when it presented false evidence with regard to the influence of Calderon. Jimenez contends that he was the victim of a tainted and biased investigation orchestrated by Calderon, who was supposedly a known member of a drug cartel. Calderon allegedly wished to retaliate against Jimenez because Jimenez had an affair with his girlfriend, Debas, who was subsequently also murdered. After the Miami Beach Police Department failed to initially charge Jimenez for the death of Debas, Calderon decided to conduct his own investigation of Jimenez and employed the services of a private investigator named Sessler. When Minas was subsequently murdered in North Miami, Sessler provided the North Miami Police Department with the findings from the investigation concerning Jimenez that he had already conducted for Calderon. This allegedly caused the North Miami Police Department, which was neither neutral nor detached, to target Jimenez unfairly for the murder of Minas.

This subclaim is procedurally barred because it is not based on newly discovered evidence. Instead, it had long been common knowledge that the North Miami Police Department was given information that originated from the investigation orchestrated by Calderon. Jimenez’s counsel deposed Sessler on July 11, 1996. During this deposition, Sessler acknowledged that he had been retained by Calderon for the purposes of investigating Debas’s death. Additionally, Sessler stated that he had investigated whether Jimenez had been involved in the death of Debas and the file from this investigation may have been given to the North Miami Police Department. Finally, Sessler testified that he had prepared reports from this investigation and those reports had been disclosed to the State. Further, when Jimenez’s trial counsel deposed Detective Diecidue on December 13, 1995, he confirmed that Sessler had provided him with information concerning Jimenez’s possible involvement in the death of Debas while the investigation for the murder of Minas was ongoing. Thus, Jimenez possessed the necessary information to assert this subclaim in the amended rule 3.850 motion years ago.

Even without this procedural bar, the subclaim is without merit. First, the Brady claim is without merit because there could be no prejudice to Jimenez. Jimenez has not established a reasonable probability—i.e., a probability sufficient to undermine confidence in the outcome—that the jury would have reached an alternative verdict had the suppressed evidence been disclosed. See Strickler, 527 U.S. at 289. If evidence of Calderon’s influence had been presented during the trial, this would have opened the door to potentially damaging evidence concerning Jimenez’s involvement in the death of Debas. Thus, there is not a reasonable probability that if this information with regard to the influence of Calderon had been disclosed to Jimenez, the jury would have reached an alternative verdict.

Additionally, we conclude that the Giglio claim concerning the influence of Calderon is without merit. “To establish a Giglio violation, it must be shown that: (1) the testimony given was false; (2) the prosecutor knew the testimony was false; and (3) the statement was material.” Guzman v. State, 868 So. 2d 498, 505 (Fla. 2003). Jimenez has not asserted that any false testimony with regard to the influence of Calderon was presented during the trial. Instead, Jimenez merely contends that the State colluded with Sessler in his assertion of a privilege during a deposition to prevent disclosure of the reports that he had prepared. However, this supposed false testimony was not presented during the trial, so it cannot form the basis for a Giglio claim.

Officer Cardona

Additionally, Jimenez asserts that (1) counsel was ineffective due to the failure to present Officer Cardona as a witness during the trial and (2) the State presented false evidence that Officer Cardona had identified Jimenez as a known burglar in violation of Giglio. Trial counsel failed to call Officer Cardona, who allegedly would have restated the following testimony that she had previously given during a deposition: (1) she did not recognize Jimenez on the night of the murder as a known burglar and did not make such a statement to other police officers; (2) a white van was parked adjacent to the apartment building when she arrived at the crime scene on the night of the murder; (3) Merriweather, who was a janitor for the apartment complex, failed to notify her that Jimenez was the man that he allegedly saw descend from the second-floor balcony despite the fact that Jimenez, Merriweather, and she were all in the same vicinity at the apartment complex after she finished interviewing the occupants of the white van; and (4) the clothing worn by Jimenez when she observed him at the apartment complex immediately after the murder of Minas was different than the clothing described by the other witnesses. This testimony allegedly would have supported the deposition testimony of Officer Corland that Merriweather stated to him that, at approximately 8:15 p.m. on the night of the murder, he had observed a male drop from a second-floor balcony at the apartment complex onto a van and subsequently onto the ground.

This subclaim is procedurally barred because it is based entirely upon the pretrial deposition of Officer Cardona, not newly discovered evidence. Therefore, Jimenez could have asserted this subclaim during the amended rule 3.850 proceeding.

Even without this procedural bar, the subclaim is without merit. Trial counsel was not deficient for the failure to present Officer Cardona as a witness. First, Officer Cardona would have merely testified that there was a white van in the parking lot when she arrived at approximately 8:27 p.m. The record conclusively establishes that she would not have been able to provide any testimony with regard to whether the van was present when the male dropped from the second-floor balcony. This was the crucial time, rather than when the police arrived, to possibly impeach Merriweather’s testimony during the trial that no van was present to aid the male when he dropped from the second-floor balcony. Moreover, during the trial, both Officer Sidd and Officer Corland testified that the van was there when the police arrived. Thus, the testimony of Officer Cardona with regard to the white van would have been merely cumulative, and trial counsel was not deficient for the failure to present cumulative evidence.

Second, trial counsel was not deficient for the failure to present the testimony of Officer Cardona that she did not recognize Jimenez on the night of the murder as a known burglar and that she never made such a statement to other officers. Jimenez asserts that this would establish that police fabricated this statement from Officer Cardona to conceal the fact that it was the influence of Calderon which led to the investigation being focused on Jimenez for the murder of Minas. However, presentation of this testimony would have opened the door to evidence with regard to Jimenez’s involvement in the death of Debas. Thus, trial counsel was not ineffective for the failure to offer this testimony.

Third, trial counsel was not ineffective for the failure to present the testimony of Officer Cardona that Merriweather failed to notify her that Jimenez was the man that he allegedly saw descend from the second-floor balcony. This testimony from Officer Cardona would not have impeached Merriweather. During the trial, Merriweather acknowledged that he saw a uniformed officer walk past him at the apartment complex after the murder but he did not speak to any uniformed officer at that time. Thus, counsel was not deficient for the failure to present this cumulative evidence from Officer Cardona.

Jimenez also asserts that the State committed a Giglio violation when evidence was presented that Officer Cardona knew Jimenez as a burglar. Even without the previously discussed procedural bar, this alleged Giglio violation is without merit. Here, the record conclusively refutes that there was any testimony presented during the trial that Officer Cardona knew Jimenez as a burglar. Thus, the first prong of Giglio is not met because the State did not present false testimony on this matter.

Failure to Disclose Manipulations With Regard to the Jailhouse Informant Jeffrey Allen

Jimenez asserts that the State committed a Brady violation through the failure to disclose the manipulations of the jailhouse informant Jeffrey Allen. The State allegedly planted Allen in the jail to acquire evidence and implicate Jimenez in the murder of Minas. Additionally, Jimenez alleges that despite the fact that the State knew that Allen could not be used as a witness during the trial, the State utilized Allen before the trial to force the public defender’s office to withdraw from representing Jimenez due to a conflict of interest (Allen was also previously represented by the public defender’s office in an unrelated case).

This subclaim is procedurally barred. There is no new evidence that was unavailable to Jimenez when he filed the amended rule 3.850 motion. Instead, when Jimenez’s trial counsel deposed Detective Diecidue on December 13, 1995, he stated that Allen had provided him with the confession of Jimenez that he had murdered two females which matched the description of the Minas and Debas murders.

Even without this procedural bar, this subclaim is without merit. The fact that the public defender’s office was forced to withdraw from representing Jimenez is irrelevant with regard to this Brady claim. While Jimenez had a constitutional right to counsel during the trial, he did not have the right to representation from a particular attorney. Thus, Jimenez has not established a basis for relief.

Cumulative Analysis

Jimenez also asserts that the trial court erroneously addressed each subclaim separately. He contends that the subclaims should have been considered cumulatively to determine whether relief was warranted. We have reviewed each of the sublaims asserted by Jimenez and conclude that he is also not entitled to relief under a cumulative analysis.

II. Claim of Factual Innocence
Additionally, Jimenez asserts that he is factually innocent; thus, the convictions and death sentence violate due process. We conclude that this factual-innocence claim is unpreserved because Jimenez did not present this specific claim to the trial court during the successive rule 3.851 proceeding. See Steinhorst v. State, 412 So. 2d 332, 338 (Fla. 1982) (“[F]or an argument to be cognizable on appeal, it must be the specific contention asserted as legal ground for the objection, exception, or motion below.” (emphasis supplied)).

Even if this claim had been properly presented to the trial court, it would be without merit. On direct appeal, this Court concluded that the evidence did not support the claim that Jimenez was innocent:

Jimenez next asserts that the evidence was circumstantial and did not exclude a reasonable hypothesis of innocence. We disagree. Jimenez’s fingerprints were found on the inside of the front door. This is consistent with the neighbors’ testimony that the door was pushed shut when they tried to get in to help Minas. Further, while the neighbors were blocking the front door, Jimenez was seen jumping from the rear balcony next to Minas’s, and the sliding glass doors leading to her balcony were open. Finally, Jimenez told . . . Baron that the police wanted to talk to him about a stabbing when the police never mentioned a stabbing. They told Jimenez they wanted to talk to him about some burglaries. We find that the evidence excludes any reasonable hypothesis of innocence.

Jimenez, 703 So. 2d at 441 (emphasis supplied). We similarly conclude that the evidence currently before us does not support the claim that Jimenez is innocent.

III. Alleged Failures of Defense Counsel and the State
Jimenez also asserts that his rights to both due process and a fair trial were violated due to multiple failures of trial counsel and the State and due to the fact that these failures involve newly discovered evidence of innocence that undermines confidence in the convictions. We disagree. As discussed above, the trial court properly denied this same claim which was asserted in Jimenez’s successive rule 3.851 motion. Specifically, Jimenez was not entitled to an evidentiary hearing because all the subclaims asserted in the successive rule 3.851 motion were conclusively refuted by the record.

IV. Motion to Disqualify
Finally, Jimenez asserts that Judge Ward erroneously denied the motion to disqualify after she had allegedly engaged in an improper ex parte communication with the State. We disagree. The motion to disqualify was not legally sufficient because the ex parte communication with Judge Ward was not improper. See Fla. R. Jud. Admin. 2.330(d)(1) (establishing that a motion to disqualify is legally sufficient if the facts alleged, which are assumed to be true, would cause the movant to have a well-founded fear that he or she will not receive a fair trial from that judge). On September 9, 2005, Judge Ward engaged in a communication with the State. However, the record establishes that Judge Ward engaged in this communication for a strictly administrative reason—i.e., the purpose was to enter the order denying the successive rule 3.851 motion in open court. Contrary to Jimenez’s assertion, the fact that the State informed Judge Ward that no evidentiary hearing occurred for this successive rule 3.851 motion does not constitute a substantive discussion concerning the merits of the case. Thus, the alleged ex parte communication was not improper, and the trial court did not erroneously deny the motion to disqualify.

CONCLUSION
For the foregoing reasons, we affirm the trial court’s denial of Jimenez’s successive rule 3.851 motion for postconviction relief.

It is so ordered.

LEWIS, C.J., and WELLS, ANSTEAD, PARIENTE, QUINCE, CANTERO, and BELL, JJ., concurring.

NOT FINAL UNTIL TIME EXPIRES TO FILE REHEARING MOTION, AND IF FILED, DETERMINED.

—————

Notes:

1. After the jury unanimously recommended that Jimenez be sentenced to death, the trial court followed this recommendation and imposed a death sentence. See Jimenez v. State, 703 So. 2d 437, 438-39 (Fla. 1997). The trial court found four aggravating circumstances: (1) “[Jimenez] was previously convicted of another capital felony or felony involving the use or threat of violence to the person; (2) the capital felony was committed while Jimenez was engaged in the commission of or an attempt to commit or in flight after committing or attempting to commit a burglary of an occupied dwelling; (3) the capital felony was committed while Jimenez was on community control; (4) the capital felony committed by Jimenez was especially heinous, atrocious, or cruel (HAC).” Id. at 439 n.1. The trial court found one statutory mitigating circumstance: “The capacity of [Jimenez] to appreciate the criminality of his conduct or to conform his conduct to the requirements of the law was substantially impaired.” Id. at 439 n.2. The trial court further found two nonstatutory mitigating circumstances: (1) Jimenez’s potential for rehabilitation (assigned very little weight); and (2) Jimenez’s potential sentence of imprisonment—as an alternative to the death sentence—which would result in confinement until age eighty-one (great weight). See id. at 439 n.3.

2. Huff v. State, 622 So. 2d 982 (Fla. 1993).

3. Jimenez has also filed multiple habeas petitions with both this Court and the federal courts and multiple certiorari petitions with the United States Supreme Court, but all these petitions were denied. See Jimenez v. Fla. Dep’t of Corrs., 481 F.3d 1337 (11th Cir. 2007) (denying the certificate of appealability to appeal the federal district court’s denial of the habeas petition); Jimenez v. Crosby, 905 So. 2d 125 (Fla. 2005) (table) (denying successive habeas petition); Jimenez v. Crosby, 861 So. 2d 429 (Fla. 2003) (table) (denying habeas petition that also sought to invoke “All Writs Jurisdiction”); Jimenez v. Florida, 535 U.S. 1064 (2002) (denying certiorari petition concerning the affirmance of the denial of the amended rule 3.850 motion); Jimenez v. Florida, 523 U.S. 1123 (1998) (denying certiorari petition concerning the convictions and death sentence).

4. Brady v. Maryland, 373 U.S. 83 (1963).

5. Jimenez asserts that the diligence of postconviction counsel was adversely affected by the lack of adequate funding. We disagree. As discussed in this opinion, all of Jimenez’s various subclaims are procedurally barred because either he or postconviction counsel was already sufficiently aware of all relevant information to be able to include the subclaims in either the amended rule 3.850 motion or a successive rule 3.851 motion that should have been filed no later than January 2003. Instead, the successive rule 3.851 motion was not filed until April 2005, which is well beyond the one-year time constraint. See Fla. R. Crim. P. 3.851(d)(1). Thus, we conclude that the trial court properly denied the assertion that Jimenez was not provided with the resources to investigate possible sources of error. See Remeta v. State, 710 So. 2d 543, 546 (Fla. 1998) (denying claim that defendant’s right to effective representation was violated due to the lack of funding available for postconviction counsel where defendant failed to establish that the relevant information could not have been ascertained through due diligence within the time constraints for postconviction relief).

6. It should be noted that Jimenez also asserts that trial counsel was ineffective due to the failure to investigate and present evidence with regard to the “shoddy” investigation techniques utilized by the North Miami Police Department in the instant case. Specifically, Jimenez asserts that, despite the fact that the latent fingerprint on the front door was identified during the early morning hours of October 3, 1992, police did not attempt to arrest him until October 5, 1992. This allegedly establishes that the police engaged in “shoddy” investigative practices.

This subclaim is procedurally barred. Jimenez does not allege that this subclaim is based upon newly discovered evidence. Instead, this subclaim could have been pursued through the amended rule 3.850 motion.

Even without this procedural bar, we conclude that the subclaim is without merit. The fact that the police arrested Jimenez approximately two days after the fingerprint was identified does not establish that the investigation was “shoddy.”

7. Giglio v. United States, 405 U.S. 150 (1972).

—————

Maldonado v. State, Case No. 2D06-5276 (Fla. App. 9/26/2008) (Fla. App., 2008)

Friday, September 26th, 2008

ALAN SCOTT MALDONADO, Appellant,
v.
STATE OF FLORIDA, Appellee.
Case No. 2D06-5276

District Court of Appeal of Florida, Second District.

Opinion filed September 26, 2008.

Appeal from the Circuit Court for Sarasota County, Charles E. Roberts, Judge, and Harry M. Rapkin, Senior Judge.

James Marion Moorman, Public Defender, and Jean Marie Henne, Special Assistant Public Defender, Bartow, for Appellant.

Bill McCollum, Attorney General, Tallahassee, and Susan M. Shanahan, Assistant Attorney General, Tampa, for Appellee.

WALLACE, Judge.

Alan Scott Maldonado appeals his judgments and sentences for possession of a controlled substance, resisting an officer without violence, and failure of a defendant on bail for a felony charge to appear. We affirm Mr. Maldonado’s judgment and sentence for failure to appear. However, because the trial court erred in denying Mr. Maldonado’s motion to suppress the cocaine found in his possession after a traffic stop, we reverse his judgment and sentence for possession of a controlled substance.1 The logic of our analysis of the suppression issue requires that we also reverse Mr. Maldonado’s judgment and sentence for resisting an officer without violence.

I. THE FACTS
The only witness to testify at the hearing on Mr. Maldonado’s motion to suppress was the arresting officer, Deputy Steve Hall of the Sarasota County Sheriff’s Department. Deputy Hall testified that in the early morning hours of November 4, 2003, he was on patrol on Interstate 75 in southern Sarasota County. Deputy Hall had parked his patrol car facing south so that he could observe the northbound traffic on the highway. At approximately 3 a.m., Deputy Hall stopped a northbound car because the vehicle’s brake lights were malfunctioning and its tag light was out. Deputy Hall asked the driver, Mr. Maldonado, to step out of the vehicle. Two passengers remained in the vehicle.

After Mr. Maldonado had stepped away from his vehicle, Deputy Hall asked him where he had begun his journey. Mr. Maldonado responded that he was traveling from Panther Ridge and Laurel Road. Deputy Hall concluded that Mr. Maldonado was lying to him because Mr. Maldonado had been traveling north on Interstate 75 and the location of the traffic stop was south of Panther Ridge and Laurel Road. Deputy Hall also noticed that Mr. Maldonado was “nervous” and seemed to be experiencing difficulty in speaking. Accordingly, Deputy Hall called for a K-9 unit to be dispatched to the scene of the traffic stop.

After Mr. Maldonado’s untruthful response, Deputy Hall remained unsure whether Mr. Maldonado was involved in any criminal activity. The deputy decided to investigate further by asking the passengers where they had begun their trip. The passenger in the front seat of the car told Deputy Hall that they were traveling from Miami. Based on Mr. Maldonado’s behavior and the contradictory statements given by him and his passenger concerning the starting point of their journey, Deputy Hall thought that Mr. Maldonado was “hiding something maybe involved with drugs.” At this point, the deputy ran a computer check on Mr. Maldonado’s driver’s license but found nothing amiss.

Next, Deputy Hall told Mr. Maldonado that his story was not making sense and that he thought Mr. Maldonado was lying. The deputy told Mr. Maldonado that he would be issued a written warning for the traffic violations and then he could be on his way. However, Deputy Hall also told Mr. Maldonado that a K-9 unit was on its way to the scene and asked if that was “okay” with Mr. Maldonado. Mr. Maldonado replied, “No problem.”

While he was waiting for the K-9 unit to arrive, Deputy Hall noticed a bulge in Mr. Maldonado’s pocket, felt it, and noticed that the bulging item was hard. The deputy asked what the bulge was, and Mr. Maldonado answered that it was money. Deputy Hall replied by asking Mr. Maldonado to display the object in his pocket. Mr. Maldonado removed from his pocket a paper towel that Deputy Hall thought contained “dope.” Mr. Maldonado then put his hand back in his pocket and kept it there. Next, Deputy Hall reached down, grabbed Mr. Maldonado’s hand, and ordered him to take his hand out of his pocket. Mr. Maldonado “swat[ted] at” the deputy, turned around, and ran away.

By this time, the K-9 unit and another deputy had arrived. The deputies eventually apprehended Mr. Maldonado and—after a brief struggle—subdued him. Deputy Hall was kicked in the face and sustained a “busted lip.” On the ground near where Mr. Maldonado was apprehended, Deputy Hall found cocaine next to the paper towel.

At the hearing on the motion to suppress, the defense argued that Deputy Hall had unreasonably prolonged the traffic stop to allow additional time for the K-9 unit to arrive. The State conceded that Deputy Hall had detained Mr. Maldonado for longer than was necessary to write the warning for the tag light and the malfunctioning brake lights. The prosecutor framed the issue for the trial court as follows:

[THE PROSECUTOR]: . . . [I]n order to justify any detention at a traffic stop longer than the amount of time it takes to write a ticket, then an officer must have a reasonable suspicion based on articulable facts that criminal activity may be afoot. It’s the Terry standard at the point. So the only thing for Your Honor to decide is whether or not the testimony you heard from Deputy Hall justifies a longer detention than that which is necessary to write a traffic ticket, which we concede there was in this case, a longer detention than that which is necessary to write a traffic ticket.

THE COURT: You concede that there was?

[THE PROSECUTOR]: Oh, absolutely. It’s clear.

Thus, in light of the State’s concession concerning the unreasonable prolongation of the traffic stop, the only issue for the trial court was whether Deputy Hall had reasonable suspicion that criminal activity was afoot to justify the detention of Mr. Maldonado for a longer period of time than was necessary to write the warning for the traffic violations. See Cresswell v. State, 564 So. 2d 480, 481 (Fla. 1990); Summerall v. State, 777 So. 2d 1060, 1061 (Fla. 2d DCA 2001) (citing Cresswell, 564 So. 2d at 481).

The State relied on three factors to establish the requisite reasonable suspicion: (1) Mr. Maldonado’s untruthful statement concerning the starting point of his trip, (2) his nervous and evasive behavior, and (3) his travel from Miami on Interstate 75 in the early hours of the morning. In response, Mr. Maldonado argued that Deputy Hall lacked any articulable suspicion of criminal activity and had abandoned writing the warning to conduct an unauthorized “fishing expedition.” The trial court agreed with defense counsel’s assertion that Deputy Hall had been on a “fishing expedition” and acknowledged that the parties had presented “a very, very, very close issue.” However, without making any findings of fact, the trial court denied the motion to suppress.

II. THE STANDARD OF REVIEW
A trial court’s “ruling on a motion to suppress is presumptively correct and will be upheld if supported by the record.” State v. Shuttleworth, 927 So. 2d 975, 978 (Fla. 2d DCA 2006). The reviewing court must interpret the evidence and reasonable inferences and deductions derived therefrom in a manner most favorable to sustaining the trial court’s ruling. Doorbal v. State, 837 So. 2d 940, 952 (Fla. 2003) (quoting Terry v. State, 668 So. 2d 954, 958 (Fla. 1996)). An appellate court is bound by the trial court’s factual findings if they are supported by competent, substantial evidence. E.B. v. State, 866 So. 2d 200, 202 (Fla. 2d DCA 2004). However, the trial court’s determination of the issues of reasonable suspicion and probable cause are subject to de novo review. See id.

III. DISCUSSION
A. The Possession Charge

1. Prolonging the Stop

On appeal, Mr. Maldonado argues that Deputy Hall “impermissibly prolonged [the] traffic stop . . . to stall until the K-9 unit could arrive.” A traffic “stop must last no longer than the time it takes to write the traffic citation,” unless the officer has “a reasonable suspicion based on articulable facts that criminal activity `may be afoot.’ ” Cresswell, 564 So. 2d at 481.

Ignoring its concession made in the trial court, the State claims that “there was no unreasonable delay in detaining [Mr. Maldonado] or in writing the citation prior to the arrival of the K-9 officer.” The evidence presented at the suppression hearing— when considered in a manner most favorably to sustaining the trial court’s ruling— supports the State’s claim. Deputy Hall testified that the K-9 unit arrived while the deputy was still writing the warning, about ten minutes after the stop had begun. It was at that point that Deputy Hall noticed the bulge and asked Mr. Maldonado what was in his pocket. The trial court could have reasonably concluded that conducting a traffic stop and writing a warning would have taken at least ten minutes. See Sanchez v. State, 847 So. 2d 1043, 1046 (Fla. 4th DCA 2003) (holding that the detention of a speeding motorist for five to ten minutes was not unreasonable where the officer was still writing the citation when a K-9 unit arrived); Sands v. State, 753 So. 2d 630, 632 (Fla. 5th DCA 2000) (sustaining a trial court’s finding that a fifteen-minute detention of a motorist for a traffic violation was not unreasonably prolonged where the officer was still writing the ticket when the K-9 unit arrived).

Nevertheless, the State’s argument is not well taken. At the hearing on the motion to suppress in the trial court, the State conceded that Mr. Maldonado’s detention was unreasonably prolonged. On appeal, the State cannot avoid the effect of its concession in the trial court of a fact material to the disposition of Mr. Maldonado’s motion. See Duan v. State, 970 So. 2d 903, 906 (Fla. 1st DCA 2007); see also Burnsed v. State, 743 So. 2d 139, 139-40 (Fla. 2d DCA 1999) (“`Where appropriately made, stipulations are binding not only upon the parties but also upon the trial and appellate courts.’ ” (quoting McGoey v. State, 736 So. 2d 31, 34 (Fla. 3d DCA 1999))). Based on the State’s concession made in the trial court, we must assume—without deciding—that Deputy Hall prolonged the detention of Mr. Maldonado for a period of time longer than was necessary to issue the warning. Accordingly, we turn to the issue of whether the deputy had a reasonable suspicion based on articulable facts that criminal activity was occurring to justify the continued detention of Mr. Maldonado.

2. Reasonable Suspicion

A court must look at the totality of the circumstances when determining whether a reasonable suspicion exists. Cresswell, 564 So. 2d at 482 (quoting United States v. Cortez, 449 U.S. 411, 417-18 (1981)). Reasonable suspicion is something less than probable cause, but “an officer needs more than a mere hunch before he can detain a suspect past the time reasonably required to write a citation.” Eldridge v. State, 817 So. 2d 884, 888 (Fla. 5th DCA 2002) (citing Cresswell, 564 So. 2d 480).

At the suppression hearing, the State argued that the articulable facts establishing reasonable suspicion were Mr. Maldonado’s lying, his nervous behavior after the traffic stop, and his presence on Interstate 75—a “known drug corridor”—in the early hours of the morning. However, this evidence does not establish reasonable suspicion. See id. (finding that nervousness, failure to give a specific street address, and possession of large amounts of money did not establish reasonable suspicion); Sims v. State, 622 So. 2d 180, 181-82 (Fla. 1st DCA 1993) (holding that driving in a high drug area and nervous behavior after a traffic stop did not justify a detention lasting beyond the issuance of a traffic citation). In addition, Deputy Hall admitted that he was uncertain that Mr. Maldonado was involved in any criminal activity. The deputy merely thought that Mr. Maldonado was “hiding something maybe involved with drugs.” Here, the deputy’s suspicion was nothing more than a hunch. See Eldridge, 817 So. 2d at 888-89 (holding that officer’s testimony that he felt the defendant was lying and had something to hide demonstrated that the officer just had a hunch).

B. The Resisting Charge

The State charged Mr. Maldonado with resisting an officer with violence. See § 843.01, Fla. Stat. (2003). However, the jury found him guilty of the lesser included offense of resisting an officer without violence. See § 843.02.

Mr. Maldonado could not properly be convicted of resisting an officer without violence unless Deputy Hall and the other deputies who assisted him in subduing Mr. Maldonado were engaged in the lawful execution of their duties at the time of the alleged resisting. See E.A.B. v. State, 964 So. 2d 877, 878 (Fla. 2d DCA 2007); I.Y.D. v. State, 711 So. 2d 202, 203 (Fla. 2d DCA 1998). Our holding that Deputy Hall did not have reasonable suspicion to detain Mr. Maldonado beyond the time necessary to write the traffic warning leads to the conclusion that Deputy Hall and the other deputies were not engaged in the lawful execution of their duties when Mr. Maldonado resisted them. Accordingly, we reverse Mr. Maldonado’s judgment and sentence for resisting an officer without violence. See McGowan v. State, 778 So. 2d 354, 358 (Fla. 2d DCA 2001) (citing McNeil v. State, 746 So. 2d 547, 550 (Fla. 5th DCA 1999)).

IV. CONCLUSION
For these reasons, we conclude that the State failed to demonstrate that based on articulable facts indicating that criminal activity was afoot, Deputy Hall had the required level of reasonable suspicion to justify prolonging the detention of Mr. Maldonado beyond the time necessary to write the warning. Accordingly, the trial court erred in denying Mr. Maldonado’s motion to suppress the cocaine. At the hearing on the motion to suppress, the prosecutor stipulated that the trial court’s ruling on the motion to suppress was dispositive of the charge based on the cocaine, and the trial court agreed. Accordingly, we reverse Mr. Maldonado’s judgment and sentence for possession of cocaine and remand with directions that he be discharged for that offense. This result requires that we also reverse Mr. Maldonado’s judgment and sentence for resisting an officer without violence. However, we affirm his judgment and sentence for failure of a defendant on bail to appear.

Affirmed in part, reversed in part, and remanded with directions.

WHATLEY and STRINGER, JJ., Concur.

NOT FINAL UNTIL TIME EXPIRES TO FILE REHEARING MOTION AND, IF FILED, DETERMINED.

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Notes:

1. We have considered Mr. Maldonado’s argument concerning a claimed discovery violation and find it to be without merit.

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Stabler v. State, Case No. 1D06-4555 (Fla. App. 9/26/2008) (Fla. App., 2008)

Friday, September 26th, 2008

TYWAN D. STABLER, Appellant,
v.
STATE OF FLORIDA, Appellee.
Case No. 1D06-4555.

District Court of Appeal of Florida, First District.

Opinion filed September 26, 2008.

An appeal from the Circuit Court for Escambia County. Nickolas P. Geeker, Judge.

Nancy A. Daniels, Public Defender; David P. Gauldin and David A. Davis, Assistant Public Defenders, Tallahassee, for Appellant.

Bill McCollum, Attorney General; Trisha Meggs Pate, Christine Ann Guard, and Charmaine M. Millsaps, Assistant Attorneys General, Tallahassee, for Appellee.

ROBERTS, J.

The appellant, Tywan Stabler, appeals the trial court’s denial of his motion to suppress cocaine found by police pursuant to a search warrant. The appellant argues that the Fourth Amendment to the United States Constitution does not permit a warrantless dog sniff of the exterior door of an apartment. We disagree and affirm.

FACTS
Officers received information that several people, including the appellant and his girlfriend, were trafficking cocaine and liquid codeine. Based upon this information, officers initiated surveillance of the appellant’s residence and his girlfriend’s apartment. During the surveillance of the appellant’s residence, officers observed the appellant leave in a vehicle driven by another subject. The officers followed the vehicle and conducted a stop.1 During the stop, a police drug dog alerted to the odor of drugs in the vehicle. A search of the vehicle revealed a baby bottle of what appeared to be liquid codeine. With his consent, officers subsequently searched the appellant’s residence but found no evidence of drug trafficking.

During this time, officers continued surveillance of the appellant’s girlfriend’s apartment. During the surveillance, officers interviewed the manager and other residents of the apartment complex. The manager and the other residents reported that the appellant’s girlfriend lived in the complex and that the appellant was often present. They also reported that the appellant and other suspicious subjects often came and went late at night, staying only a short time and sometimes switching vehicles.

The front door of the apartment was open to public access and to a common area. Officers brought a police drug dog to the front door of the apartment and it alerted to drugs. Officers also took the dog to the front door of another apartment in the complex where it did not alert to drugs.

Based upon the information they had gathered during their surveillance of the apartment, officers prepared a probable cause affidavit and subsequently received a search warrant for the apartment. During the search, cocaine was found. The appellant was arrested and charged with trafficking in 400 grams or more, but less than 150 kilograms, of cocaine in violation of section 893.03(2)(a)4, Florida Statutes (2005). Prior to trial, the appellant filed a motion to suppress the cocaine, arguing that the search warrant was issued without probable cause. At the hearing on the motion, the trial court ruled that the dog sniff did not violate the Fourth Amendment and that, without considering the dog sniff, the other information presented in the probable cause affidavit would not support the issuance of a search warrant. The appellant subsequently pled no contest, reserving the right to appeal the trial court’s denial of his motion.

ANALYSIS
This Court has explained the standard of review applicable to a trial court’s ruling on a motion to suppress: A trial court’s ruling on a motion to suppress is a mixed question of fact and law. The standard of review of the findings of fact is whether competent, substantial evidence supports the findings. Findings of historical fact should be reviewed only for “clear error,” with “due weight to be accorded to inferences drawn from those facts” by the lower tribunal. We must construe all the evidence, and reasonable inferences therefrom, in a manner most favorable to sustaining the trial court’s ruling.

Hines v. State, 737 So. 2d 1182, 1184 (Fla. 1st DCA 1999) (citations omitted). Furthermore, when the trial court

[b]ase[s] its decision to grant the motion to suppress solely on an examination of the affidavit, and without an evidentiary hearing, the issue of whether the State established probable cause sufficient to obtain a search warrant presents a question of law that is reviewable using a de novo standard . . . . [W]e must [give] “great deference” to the issuing judge’s determination that probable cause existed (provided there is a substantial basis for the determination) . . . .

State v. Felix, 942 So. 2d 5, 8 (Fla. 5th DCA 2006) (citing Pagan v. State, 830 So. 2d 792 (Fla. 2002); United States v. Leon, 468 U.S. 897, 914 (1984)). Significantly, this Court is constitutionally required to interpret search and seizure issues in conformity with the Fourth Amendment of the United States Constitution, as construed by the United States Supreme Court. See Art. I, § 12, Fla. Const.; Perez v. State, 620 So. 2d 1256 (Fla. 1993).

THE FOURTH AMENDMENT AND POLICE DRUG DOG SEARCHES

The appellant argues that the trial court erred in denying his motion to suppress because the dog sniff at the front door of the apartment constituted an illegal search under the Fourth Amendment and, thus, could not be used as evidence of probable cause for the search warrant. This contention, however, lacks merit.

As pointed out by the State, the United States Supreme Court recently addressed the issue of whether a dog sniff constitutes a search. Illinois v. Caballes, 543 U.S. 405, 410 (2005), the Court held that “[a] dog sniff conducted during a concededly lawful traffic stop that reveals no information other than the location of a substance that no individual has any right to possess does not violate the Fourth Amendment.” Explicitly reaffirming its prior reasoning that the unique nature of a dog sniff renders it distinguishable from a traditional search, the Court stated:

[T]he use of a well-trained narcotics-detection dog—one that “does not expose noncontraband items that otherwise would remain hidden from public view”—during a lawful traffic stop, generally does not implicate legitimate privacy interests. In this case, the dog sniff was performed on the exterior of respondent’s car while he was lawfully seized for a traffic violation. Any intrusion on respondent’s privacy expectations does not rise to the level of a constitutionally cognizable infringement.

Id. at 409 (quoting United States v. Place, 462 U.S. 696, 707 (1983) (holding that “the particular course of investigation that the agents intended to pursue here — exposure of respondent’s luggage, which was located in a public place [airport], to a trained canine—did not constitute a `search’ within the meaning of the Fourth Amendment”)). Considering that Caballes and Place represent the only two cases in which the Court has endeavored to address the dog sniff issue, the reasoning espoused therein is controlling and must guide this Court’s ruling in the instant case.

In support of his contention that a dog sniff is a search, the appellant cites Rabb v. State, 920 So. 2d 1175 (Fla. 4th DCA 2006), review denied, 933 So.2d 522 (Fla.2006), cert. denied, ___ U.S. ___, 127 S.Ct. 665, 166 L.Ed.2d 513 (2006), in whichthe Fourth District held that a dog sniff at the front door of a house violated the Fourth Amendment. Such reliance, however, is misplaced as the court’s holding is contrary to United States Supreme Court precedent. The court’s inconsistencies stem from its decision to base its Fourth Amendment analysis on the location of the search rather than the target of the search. Applying this questionable logic, the Fourth District found Place and Caballes distinguishable because the dog sniffs in those cases occurred at public locations (a public airport and a public road), rather than a private residence as it did in Rabb. Rabb, 920 So. 2d at 1183, 1188-89, 1192.

Relying on United States v. Thomas, 757 F.2d 1359 (2d Cir.1985), for the proposition that individuals have a legitimate expectation that even contraband items hidden in their dwelling will not be revealed, the Fourth District concluded that Kyllo v. United States, 533 U.S. 27 (2001), was controlling because it held that the use of thermal imaging technology to detect heat emanating from a private house constituted a search. Rabb, 920 So. 2d at 1182-83. According to the court, using a thermal imager to discern the relative warmth of a house is analogous to using a dog sniff to detect the essence of marijuana in a house since “the smell of marijuana had its source in Rabb’s house, it was an `intimate detail’ of that house, no less so than the ambient temperature inside Kyllo’s house.” Id. at 1184. Further justifying its reliance on Kyllo, the court specifically stated that “it is of no importance that a dog sniff provides limited information regarding only the presence or absence of contraband.” Rabb, 920 So. 2d at 1184.

We disagree with the holding in Rabb. Neither Caballes nor Place turned on the location of the dog sniff but rather on the target of the dog sniff and the unique nature of a dog’s nose: “a canine sniff by a well-trained narcotics-detection dog [is] `sui generis‘ because it `discloses only the presence or absence of narcotics, a contraband item.’” Caballes, 543 U.S. at 409 (quoting Place, 462 U.S. at 707). Moreover, Thomas has been rightly criticized as contrary to United States Supreme Court precedent “indicat[ing] that a possessor of contraband can maintain no legitimate expectation that its presence will not be revealed. No legitimate expectation of privacy is impinged by governmental conduct that can reveal nothing about noncontraband items.” Nelson v. State, 867 So. 2d 534, 536 (Fla. 5th DCA 2004) (citing United States v. Jacobsen, 466 U.S. 109, 123 (1984)); see also United States v. Lingenfelter, 997 F.2d 632, 638 (9th Cir. 1993) (“Because Thomas rests on an incorrect statement of the law, we expressly reject its reasoning.”); Caballes, 543 U.S. at 408 (“Official conduct that does not `compromise any legitimate interest in privacy’ is not a search subject to the Fourth Amendment.”). Thus, contrary to the Fourth District’s reasoning, contraband can never be an intimate detail of a house. Furthermore, although a dog’s unique ability to conduct a binary search (one which reveals only the presence or absence of contraband) was deemed insignificant in Rabb, it was essential in Caballes:

[Our holding here] is entirely consistent with our recent decision [in Kyllo] that the use of a thermal-imaging device to detect the growth of marijuana in a home constituted an unlawful search. Critical to that decision was the fact that the device was [also] capable of detecting lawful activity—in that case, intimate details in a home, such as “at what hour each night the lady of the house takes her daily sauna and bath.” The legitimate expectation that information about perfectly lawful activity will remain private is categorically distinguishable from respondent’s hopes or expectations concerning the nondetection of contraband in the trunk of his car.

Caballes, 543 U.S. at 409-10 (quoting Kyllo, 533 U.S. at 38).

Thus, in departing from our sister court’s reasoning in Rabb, we find persuasive the Fourth Amendment analysis conducted by the Seventh Circuit United States v. Brock, 417 F.3d 692 (7th Cir. 2005). In Brock, the defendant and two other individuals each rented a separate room in a three-bedroom house. In the defendant’s absence, one of his roommates consented to a search of the house’s common areas. Subsequently, a police drug dog alerted to the presence of narcotics while standing in a common hallway just outside the defendant’s locked bedroom door. Based upon the information they had received, officers sought and received a search warrant for the entire residence. Id. at 693-94.

On appeal, the defendant asserted that the trial court erred in denying his motion to suppress, arguing that the dog sniff outside his locked bedroom door constituted an illegal warrantless search and that, as a result, the warrant to search his residence violated the Fourth Amendment. Id. at 695. Upon analyzing the United States Supreme Court’s Fourth Amendment jurisprudence, the Seventh Circuit reiterated the reasoning in Caballes that, since there is no legitimate privacy interest in possessing contraband, the use of a well-trained drug dog that reveals only the possession of narcotics does not violate the Fourth Amendment. Brock, 417 F.3d at 695. The court explained that Caballes relied upon Place for the proposition that a canine sniff is sui generis because the information obtained through this investigative technique simply reveals the presence or absence of narcotics. Brock, 417 F.3d at 695. Finally, the court found that Jacobsen explicitly reaffirmed Caballes in holding that a chemical field test “was not a Fourth Amendment search because the test `merely discloses whether or not a particular substance is cocaine.’ As there is no legitimate interest in possessing cocaine, the field test did not compromise any legitimate privacy interest.” Brock, 417 F.3d at 695 (quoting Jacobsen, 466 U.S. at 123).

Similar to the appellant’s argument in the instant case, the defendant in Brock attempted to distinguish these cases by relying on Kyllo for the proposition that an individual has a far greater privacy interest inside a home, particularly inside a bedroom, than one has in a car or public place. Brock, 417 F.3d at 695. However, the court explicitly rejected this assertion, stating that Kyllo did not support the defendant’s position. Brock, 417 F.3d at 696. Although Kyllo did reaffirm the importance of the privacy interest in one’s home, the Seventh Circuit was primarily influenced by the subsequent clarification of Kyllo in Caballes: “[I]t was essential to Kyllo‘s holding that the imaging device was capable of detecting not only illegal activity inside the home, but also lawful activity . . . . As the Court emphasized, an expectation of privacy regarding lawful activity is `categorically distinguishable’ from one’s `hopes or expectations concerning the nondetection of contraband . . . .’” Brock, 417 F.3d at 696 (quoting Caballes, 543 U.S. at 409-10).

Consistent with its sister courts, the Seventh Circuit also criticized Thomas by concluding that “[w]hatever subjective expectation [the defendant] . . . had that his possession of narcotics would remain private, that expectation is not one `that society is prepared to consider reasonable.’” Brock, 417 F.3d at 697 (quoting Jacobsen, 466 U.S. at 113). In accord with this reasoning, the Seventh Circuit held that a dog sniff inside the defendant’s residence did not constitute a Fourth Amendment search because it merely detected the presence of contraband and “did not provide any information about lawful activity over which [the defendant] had a legitimate expectation of privacy.” Brock, 417 F.3d at 696. Significantly, the fact that the officers were lawfully present in the common hallway when they conducted the dog sniff was critical to the court’s holding. Id. at 697.

Based on the foregoing, we find that the appellant had neither a legitimate interest in possessing the cocaine, nor a legitimate expectation that the cocaine hidden in the apartment would not be revealed. Moreover, the binary nature of a dog sniff renders it unique in that it is distinguishable from traditional search methods. Thus, we conclude that the dog sniff at the front door of the apartment did not constitute a Fourth Amendment search because it did not violate a legitimate privacy interest. Paramount to this conclusion is the fact that the dog was located on a common walkway within the apartment complex when the sniff occurred.

Adhering to this reasoning, we find that it was proper for the trial court to consider evidence of the dog sniff in determining that probable cause existed to support the search warrant. Therefore, we hold that the trial court did not err in denying the appellant’s motion to suppress.

Additionally, we certify that this opinion directly and expressly conflicts with the Fourth District’s decision State v. Rabb, 920 So. 2d 1175 (Fla. 4th DCA 2006).

AFFIRMED.

KAHN and WEBSTER, JJ., CONCUR.

NOT FINAL UNTIL TIME EXPIRES TO FILE MOTION FOR REHEARING AND DISPOSITION THEREOF IF FILED.

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Notes:

1. The reason for the stop is not in the record, nor was the legality of the stop challenged in this case.

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Daniel v. State, Case No. 5D08-87 (Fla. App. 9/26/2008) (Fla. App., 2008)

Friday, September 26th, 2008

ANTHONY DERRICK DANIEL, Appellant,
v.
STATE OF FLORIDA, Appellee.
Case No. 5D08-87.

District Court of Appeal of Florida, Fifth District.

Opinion filed September 26, 2008

Appeal from the Circuit Court for Hernando County, Jack Springstead, Judge.

James S. Purdy, Public Defender, and Dee Ball, Assistant Public Defender, Daytona Beach, for Appellant.

Bill McCollum, Attorney General, Tallahassee, and Allison Leigh Morris, Assistant Attorney General, Daytona Beach, for Appellee.

MONACO, J.

The appellant, Anthony Derrick Daniel, appeals the order of the trial court denying his motion to recover $586.00 confiscated from him by the Brooksville Police Department upon his arrest. The Police Department refused to return the money to Mr. Daniel because it claimed to have entered into a valid contract with him whereby it would retain the money in exchange for its agreement not to seek forfeiture of a car that had also been confiscated from him. Mr. Daniel asserted that the agreement was coerced and invalid. Because the trial court declined to resolve whether the agreement was coerced, we reverse.

Mr. Daniel was charged with two drug related charges, as well as felony fleeing or attempting to elude, and resisting law enforcement without violence. He moved to suppress the drugs and money seized at the time of his arrest, asserting that they were taken from him during an unlawful stop and search. After the trial court granted the motion to suppress, the State announced a nolle prosequi of the charges.

The trial court initially ordered that the money taken from Mr. Daniel at the time of his arrest be returned to him. When Mr. Daniel unsuccessfully attempted to recover the $586.00 from the Brooksville Police Department, his defense counsel moved the court to enforce its order that the money be returned. The trial court denied the motion, however, after learning from the attorney for the Police Department that Mr. Daniel had signed a document turning over the $586.00 to it.

During the hearing to enforce the trial court’s order directing the Police Department to return the money in question to him, Mr. Daniel’s defense counsel related to the court that when his client went to the Police Department to retrieve the money, the police refused to return it. The Police Department took the position that Mr. Daniel had forfeited his claim to the $586.00 in exchange for an agreement that the police would not commence a formal forfeiture proceeding against a vehicle that had also been seized in connection with the incident associated with his arrest. Defense counsel advised the court that he had not received a copy of the document until after Mr. Daniel went to the police to retrieve his money. Alluding to the forfeiture procedures1 outlined in Florida Statutes, the defense claimed that there was no legal authority for the Police Department to do what it had done. Mr. Daniel acknowledged signing the document forfeiting the $586.00, but asserted that it was not signed voluntarily. His attorney argued that the criminal court did not lose jurisdiction to return property to the defendant once the case was dismissed, and asked for a hearing to obtain a determination regarding the voluntariness of the contract.

The trial court noted that although it had issued the order requiring the money to be returned to Mr. Daniel, it had done so before it was made aware that the property had already been voluntarily conveyed to the Police Department. The court reasoned that the conveyance document was a contract between Mr. Daniel and the police, and whether or not it was signed voluntarily by Mr. Daniel was for a civil court to decide. The court then held that Mr. Daniel had to file a complaint in civil court seeking the return of the property in order to contest the validity of the agreement. It explained that if an individual can waive his constitutional and statutory rights voluntarily, then he can waive a formal forfeiture proceeding. As the court concluded that the issue was civil in nature and not part of the criminal proceeding at hand, it determined not to conduct a hearing on voluntariness. Mr. Daniel filed this appeal, essentially seeking a hearing.

A trial court’s jurisdiction over a criminal proceeding includes the inherent authority over property seized or obtained in connection with the proceeding, and thus held by it in custodia legis. Stevens v. State, 929 So. 2d 1197, 1198 (Fla. 2d DCA 2006) (citing White v. State, 926 So. 2d 473 (Fla. 2d DCA 2006), and Eight Hundred, Inc. v. State, 781 So. 2d 1187, 1191-92 (Fla. 5th DCA 2001)). Property is held in custodia legis when, among other things, it is obtained by law enforcement for use as evidence in criminal proceedings. Eight Hundred, 781 So. 2d at 1190-91. “This authority continues beyond the termination of the prosecution, thus enabling the court to direct the return of the property to its rightful owner.” Stevens, 925 So. 2d at 1198. Accordingly, a trial court that has jurisdiction over criminal proceedings has priority jurisdiction over other courts to determine whether property seized for use in the criminal proceedings is to be retained or returned to the owner. Eight Hundred, 781 So. 2d at 1190-91. In fact, our Supreme Court has held in a somewhat different context that to allow parties to file civil claims on evidence held in custodia legis “would seriously conflict with and hamper criminal processes if evidence or contraband seized for criminal trials or purposes could be made the subject of recovery proceedings in the civil courts through procedures bypassing the criminal courts.” Garmire v. Red Lake, 265 So. 2d 2, 4-5 (Fla. 1972).

It is quite clear in the present case that the money in question would have been used as evidence against Mr. Daniel on the drug charges had the State elected to pursue them. Thus, the money was in custodia legis and the criminal court had the inherent authority to order the return of it. Stevens; Eight Hundred. Although in the present case the State acknowledges that a trial court presiding over criminal charges has the inherent authority beyond the close of the criminal prosecution to compel the return to the rightful owner of any property seized from a criminal defendant, it contends that the trial court here no longer retained any authority over the money seized once Mr. Daniel transferred ownership of it by signing the release to the Police Department. That posture might ultimately prove to be correct. It is, however, prematurely argued in the context of the present case.

We have little doubt that a forfeiture contract may indeed remove property from the jurisdiction of a criminal court, but only if the contract itself is valid. Here, the voluntariness of the contract has been disputed by Mr. Daniel. Because the forfeiture contract governs the ownership of the property seized by the Police Department in connection with the arrest of Mr. Daniel, the criminal court not only has the authority as part of its criminal law function, but also the duty to conduct an evidentiary hearing to resolve the factual dispute concerning the voluntariness of the contract. See Helmy v. Swigert, 662 So. 2d 395 (Fla. 5th DCA 1995) (explaining that the trial court is obligated to exercise its jurisdiction in order to determine whether property was in fact seized by the State, and whether there exists a valid basis to retain the property); Oleandi v. State, 731 So. 2d 4 (Fla. 4th DCA 1999) (directing the trial court to conduct an evidentiary hearing to determine if Oleandi’s property confiscated in a burglary investigation, but not used in the charging affidavit, was properly retained). If the trial court finds that the contract was voluntarily entered into by Mr. Daniel, then the State may have a valid claim to the property, and it may proceed accordingly. See Helmy. If, however, the court finds that Mr. Daniel signed the forfeiture contract involuntarily, then it must order the Police Department either to return the money to Mr. Daniel, or proceed with formal forfeiture proceedings. Kern v. State, 706 So. 2d 1366 (Fla. 5th DCA 1998).

It is not enough to say that a contract is a civil matter and that the present case must be resolved in a civil court. We acknowledge that a circuit court dealing with civil matters may have concurrent jurisdiction to decide the present issue. As we have earlier related, however, the “trial court that has jurisdiction over the criminal proceedings has priority jurisdiction over other courts to determine whether property seized for use in the criminal proceedings is to be retained or returned to the owner.” Eight Hundred, 781 So. 2d at 1190-91 (citing Sawyer v. Gable, 400 So. 2d 992, 995 (Fla. 3d DCA 1981)). Once Mr. Daniel moved to have the seized money returned to him, the trial court having jurisdiction over the criminal proceedings “is laden with the responsibility to determine whether a proper basis exists to return the property to the owner.” Eight Hundred, 781 So. 2d at 1192. Both Mr. Daniel and the State must be given the opportunity to present evidence and argument on this issue to the trial court. See Eight Hundred; Oleandi; Kern; Helmy.

Accordingly we reverse and remand for the trial court to conduct an evidentiary hearing on the motion to enforce filed by Mr. Daniel.

REVERSED and REMANDED with INSTRUCTIONS.

SAWAYA, J., concurs.

GRIFFIN, J., dissents with opinion.

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Notes:

1. §§ 932.701-707, Fla. Stat. (2006).

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GRIFFIN, J., dissenting.

I recognize that the conclusion reached by the majority is a practical one and there may be several policy reasons why it is the best solution, but I think there was some sense to the trial court’s conclusion that the question whether Mr. Daniel had entered into a valid contract with the Brooksville Police Department was not a matter for the criminal court to determine.

We know that after the State nol prossed the charges against Mr. Daniel, he filed a motion requesting the Brooksville Police Department to return the cash that had been seized from him, representing to the court that the State asserted no claim to the property in light of the dismissal of the charges. Consistent with that representation, the trial court entered an order that the money be returned to Mr. Daniel. When the police department refused to do so, based on its agreement with Mr. Daniel, Mr. Daniel, through counsel, soug ht to have the trial court enter an order enforcing its earlier order. At the hearing on this defense motion, all parties agreed, and so advised the court, that Mr. Daniel had, indeed, executed a document turning over his cash to the Brooksville Police Department and that the consideration for this relinquishment of the cash was the agreement of the Brooksville Police not to seek a forfeiture of his vehicle. This agreement was apparently executed after his arrest, but before the charges were nol prossed. Mr. Daniel does not dispute that he entered into this agreement; rather, he contends non-specifically that it was “coerced.”

When the trial court was made aware that there was no dispute that this agreement had been entered into, only a dispute about whether the agreement was enforceable by the Brooksville Police Department, he concluded that this was a matter for the civil courts, not the criminal court. The trial court said that if Mr. Daniel wished to undo the contract he admitted he made with the City of Brooksville Police Department, he would have to do it in small claims court. In effect, the trial court concluded that, because of the existence of the undisputed agreement entered into between Mr. Daniel and the Police Department prior to the case being nol prossed, the property was no longer in custodia legis.

Suppose that instead of the agreement having been made with the Brooksville Police Department, Mr. Daniel had entered into an agreement with his cousin Vinny to release his cash to cousin Vinny in exchange for cousin Vinny feeding his cat while he was incarcerated. If the State later nol prossed the charges and both cousin Vinny and Mr. Daniel claimed the money, would we expect the criminal court to determine whether Mr. Daniel’s contract with his cousin Vinny had been coerced and therefore was not enforceable? Would it be the criminal court that determined which of the two claimants, Mr. Daniel or Vinny, was entitled to the money? I suggest not. Here, the only difference is that the other claimant originally took control of the funds based on Mr. Daniel’s arrest. It is not, however, the basis of their claim of right.

Power v. State, No. SC07-1139 (Fla. 9/25/2008) (Fla., 2008)

Thursday, September 25th, 2008

ROBERT BEELER POWER, Appellant,
v.
STATE OF FLORIDA, Appellee.
No. SC07-1139.

Supreme Court of Florida.

September 25, 2008.

An Appeal from the Circuit Court in and for Orange County, Alice Blackwell White, Judge — Case No. CR89-1798

Neal A. Dupree, Capital Collateral Regional Counsel, Rachel Day, and Paul E. Kalil, Assistant CCR Counsel, and Anna-Liisa Nixon, Staff Attorney, CCRC — Southern Region, Fort Lauderdale, Florida, for Appellant

Bill McCollum, Attorney General, Tallahassee, Florida, and Barbara C. Davis, Assistant Attorney General, Daytona Beach, Florida, for Appellee

PER CURIAM.

Robert Beeler Power appeals an order of the circuit court denying his motion for postconviction relief under Florida Rule of Criminal Procedure 3.851. We have jurisdiction. See art. V, § 3(b)(1), Fla. Const. For the reasons explained below, we affirm the circuit court’s decision summarily denying relief.

PROCEEDINGS TO DATE
On June 2, 1990, Power was convicted of first-degree murder, sexual battery, kidnapping of a child under the age of thirteen, armed burglary of a dwelling, and armed robbery. Power v. State (Power I), 605 So. 2d 856, 860 (Fla. 1992). On November 8, 1990, the circuit court followed the jury’s unanimous recommendation and sentenced Power to death finding no mitigating circumstances and four aggravating factors. Id.1 On direct appeal, Power raised claims of error in his guilt and penalty phases, including error in finding that the murder was committed in a CCP manner. Id. at 864. Although we found that the application of the CCP aggravating factor was error, we concluded such error was harmless and affirmed Power’s convictions and sentences. Id. at 864-65.

In November 1998, Power filed a postconviction motion in which he raised numerous claims. Power v. State (Power II ), 886 So. 2d 952, 955 (Fla. 2004). This Court affirmed the denial for postconviction relief and denied his petition for writ of habeas corpus. Id. at 965. In December 2006, Power filed a successive postconviction motion raising four constitutional challenges to Florida’s death penalty scheme, which the circuit court summarily denied in its entirety. Power now appeals the summary denial of postconviction relief to this Court.

ANALYSIS
We have explained that “[c]laims in successive motions may be denied without an evidentiary hearing `[i]f the motion, files, and records in the case conclusively show that the movant is entitled to no relief.’ ” White v. State, 964 So. 2d 1278, 1284 (Fla. 2007) (quoting Fla. R. Crim. P. 3.851(f)(5)(B)). Because a court’s decision whether to grant an evidentiary hearing on a rule 3.851 motion is ultimately based on written materials before the court, its ruling is tantamount to a pure question of law, subject to de novo review. See State v. Coney, 845 So. 2d 120, 137 (Fla. 2003). We address each of Power’s claims in turn.

First, Power argued at the circuit court that section 922.105, Florida Statutes (2006), violates the separation of powers doctrine. Power asserted that the Legislature’s exemption of lethal injection policies and procedures from the Administrative Procedures Act, chapter 120, Florida Statutes (2006), without offering alternative procedures, gives the Department of Corrections (DOC) unfettered discretion to create a lethal injection protocol. Power correctly acknowledges that Diaz v. State, 945 So. 2d 1136 (Fla. 2006), we rejected this argument. Specifically, we held,

Even though the execution procedures may not be challenged through a chapter 120 proceeding, they can and have been challenged through postconviction proceedings under rule 3.851. See, e.g., Hill v. State, 921 So. 2d 579, 582-83 (Fla.), cert. denied, ___ U.S. ___, 126 S.Ct. 1441, 164 L .Ed. 2d 141 (2006). In light of the exigencies inherent in the execution process, judicial review and oversight of the DOC procedures is preferable to chapter 120 administrative proceedings. We conclude that the statutory exemption does not give DOC “unfettered discretion” as to lethal injection procedures.

Diaz, 945 So. 2d 1143-44; see also Sims v. State, 754 So. 2d 657, 668 (Fla. 2000) (“We likewise conclude that [sections 922.10 and 922.105, Florida Statutes (2000),] do[] not improperly delegate legislative authority to an administrative agency.”). We hold, therefore, that the circuit court did not err in summarily denying this claim.2

Second, Power argued at the circuit court that Florida’s lethal injection procedures are unconstitutional because it violates the Eighth Amendment’s prohibition on cruel and unusual punishment. He asserted that the new procedures promulgated by the DOC, effective August 1, 2007 (August 2007 procedures), do not adequately address the deficiencies in the 2006 procedures. Specifically, he argued that provisions for the administration of the drugs, the assessment of consciousness, and the monitoring of consciousness throughout the procedure remain inadequate. We recently addressed and rejected the same constitutional challenge Lightbourne v. McCollum, 969 So. 2d 326 (Fla. 2007), wherein we held that “[i]n light of these additional safeguards [promulgated in the August 2007 procedures,] . . . we conclude that Lightbourne has not shown a substantial, foreseeable or unnecessary risk of pain in the DOC’s procedures for carrying out the death penalty through lethal injection that would violate the Eighth Amendment protections.” Id. at 352-53, cert. denied, 128 S. Ct. 2485 (2008); see also Schwab v. State, 969 So. 2d 318, 325 (Fla. 2007), cert. denied, 128 S. Ct. 2486 (2008).3 Power does not assert that he would have presented any additional testimony or other evidence regarding the lethal injection procedures than those presented in Lightbourne or Schwab. Furthermore, Power relies upon no new evidence as to the chemicals employed since this Court’s previous rulings rejecting this challenge. As this Court stated in Schwab, “Given the record in Lightbourne and our extensive analysis in our opinion in Lightbourne . . . we reject the conclusion that lethal injection as applied in Florida is unconstitutional.” 969 So. 2d at 325. We hold, therefore, that the circuit court did not err in summarily denying this claim.

Third, Power argued at the circuit court that he is exempt from execution under the Eighth Amendment because he suffers from severe mental illness. The circuit court held that this claim was procedurally barred as untimely and successive. Power unsuccessfully attempted to avoid the timeliness bar by citing, as newly discovered evidence, the August 8, 2006, American Bar Association (ABA) Resolution 122A. As to the merits, the circuit court held that neither this Court nor the United States Supreme Court has recognized mental illness as a per se bar to execution.

To vacate a sentence based on newly discovered evidence, a defendant must meet two requirements. See Fla. R. Crim. P. 3.851(d)(2)(A); Jones v. State, 709 So. 2d 512, 521 (Fla. 1998). First, the evidence must not have been known by the circuit court, the party, or counsel, and it must appear that the defendant or defense counsel could not have known of it by the use of due diligence. Jones, 709 So. 2d at 521 (citing Torres-Arboleda v. Dugger, 636 So. 2d 1321, 1324-25 (Fla. 1994)). Second, the evidence must be of such nature that it would probably yield a less severe sentence. See Jones v. State, 591 So. 2d 911, 915 (Fla. 1991).

Initially, we note that we have been reluctant to recognize ABA reports as newly discovered evidence because the reports are “a compilation of previously available information related to Florida’s death penalty system and consist [] of legal analysis and recommendations for reform, many of which are directed to the executive and legislative branches.” Rutherford v. State, 940 So. 2d 1112, 1117 (Fla. 2006), cert. denied, 127 S. Ct. 465 (2006); see Schwab, 969 So. 2d 325-26 (“[T]his Court has not recognized `new opinions’ or `new research studies’ as newly discovered evidence.” (citing Diaz, 945 So. 2d at 1144-45)); Rolling v. State, 944 So. 2d 176, 181 (Fla. 2006) (affirming summary denial of a newly discovered evidence claim based on an ABA report). Nevertheless, as we stated in Rutherford, “even if we were to consider the information contained in the ABA Report, nothing therein would cause this Court to recede from its decisions upholding the facial constitutionality of the death penalty.” 940 So. 2d at 1118. Similarly, Power has failed to demonstrate how ABA Resolution 122A sufficiently undermines this Court’s decisions upholding the facial constitutionality of the death penalty so as to cause this Court to recede from those decisions. Thus, Power has failed to establish how ABA Resolution 122A would probably yield a less severe sentence under Florida law.

Having failed to establish that ABA Resolution 122A constitutes newly discovered evidence, Power has also failed to demonstrate why he could not have timely challenged Florida’s death penalty scheme on the basis of the matters discussed in the ABA resolution in his direct appeal or even in his initial postconviction motion. Muhammad v. State, 603 So. 2d 488, 489 (Fla. 1992) (“Issues which either were or could have been litigated at trial and upon direct appeal are not cognizable through collateral attack.” (citing Smith v. State, 445 So. 2d 323, 325 (Fla. 1983))); Harvey v. Dugger, 656 So. 2d 1253, 1256 (Fla. 1995). Indeed, his allegations refer to testimony regarding his mental illness presented at the 2001 evidentiary hearing for his initial postconviction motion. We hold, therefore, that the circuit court did not err in summarily denying this claim as untimely.

In an abundance of caution, we also note that we have previously determined that Power’s claim has no merit. In Diaz, the defendant cited ABA Resolution 122A, arguing that his personality disorders were sufficiently akin to being mentally retarded so as to exempt him from execution. 945 So. 2d at 1151. We held:

[N]either this Court nor the Supreme Court has recognized mental illness as a per se bar to execution. Instead, mental illness can be considered as either a statutory mental mitigating circumstance if it meets that definition (i.e., the crime was committed while the defendant “was under the influence of extreme mental or emotional disturbance”) or a nonstatutory mitigating circumstance. See § 921.141(6), Fla. Stat. (2006). Such mental mitigation is one of the factors to be considered and weighed by the court in imposing a sentence.

Id. Although Diaz was not able to show that he suffered from mental illness, we held that “even if he could, this would not automatically exempt him from execution as there is currently no per se `mental illness’ bar to execution.” Id. at 1152; see also Connor v. State, 979 So. 2d 852, 867 (Fla. 2007) (“To the extent that Connor is arguing that he cannot be executed because of mental conditions that are not insanity or mental retardation, the issue has been resolved adversely to his position.” (citing Diaz, 945 So. 2d at 1151)). We reaffirm our previous declaration in Diaz and hold that the existence of mental illness standing alone does not automatically exempt Power from execution.4

Finally, Power argued at the circuit court that the ABA report entitled Evaluating Fairness and Accuracy in the State Death Penalty System: The Florida Death Penalty Assessment Report, published September 17, 2006, constitutes newly discovered evidence proving that imposition of the death penalty is cruel and unusual punishment in violation of the Eighth Amendment. Power correctly and candidly acknowledges that we rejected this argument in Rolling and Rutherford. In both cases, we concluded that this very same ABA report did not constitute newly discovered evidence and that “nothing in the report would cause this Court to recede from its past decisions upholding the facial constitutionality of the death penalty.” Rolling, 944 So. 2d at 181 (citing Rutherford, 940 So. 2d at 1118). Furthermore, as in Rolling and Rutherford, Power has “not allege[d] how any of the conclusions in the report would render his individual death sentence unconstitutional.” Rolling, 944 So. 2d at 181; see also Rutherford, 940 So. 2d at 1118. For these same reasons, we affirm the circuit court’s summary denial of Power’s claim.

Accordingly, for the reasons set out above we affirm the trial court’s summary denial of Power’s successive postconviction motion.

It is so ordered.

QUINCE, C.J., WELLS, ANSTEAD, PARIENTE, LEWIS, and BELL, JJ., and CANTERO, Senior Justice, concur.

NOT FINAL UNTIL TIME EXPIRES TO FILE REHEARING MOTION, AND IF FILED, DETERMINED.

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Notes:

1. The court found in aggravation that (1) the defendant was previously convicted of a felony involving the use or threat of violence; (2) the homicide was committed while the defendant was engaged in the commission of the crimes of sexual battery, burglary, and kidnapping; (3) the homicide was especially heinous, atrocious, or cruel (HAC); and (4) the homicide was committed in a cold, calculated, and premeditated (CCP) manner without any pretense of moral or legal justification. Power I, 605 So. 2d at 860.

2. We also note that we have rejected this argument in Smith v. State, No. SC06-1903 (Fla. Sept. 25, 2008).

3. The United States Supreme Court denied certiorari review in these cases following release of Baze v. Rees, 128 S. Ct. 1520 (2008), in which a majority of the Court upheld the constitutionality of Kentucky’s lethal injection protocol against an Eighth Amendment challenge. Id. at 1534.

4. To the extent that Power alleges that his mental illness renders him incompetent to be executed, this claim is not yet ripe, as he was told in his initial postconviction appeal. Power II, 886 So. 2d at 958; see also Barnhill v. State, 971 So. 2d 106, 118 (Fla. 2007); Coney, 845 So. 2d at 137 n.19; Jones v. State, 845 So. 2d 55, 74 (Fla. 2003); Hall v. Moore, 792 So. 2d 447, 450 (Fla. 2001).

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