cone. & dis. opn. of Kennard, J.
How later courts described this case
- cone. & dis. opn. of Kennard, J.
- conc. & dis. opn. of Kennard, J.
Written by the judges who cited it.
Later courts went against this
Disapproved on other grounds by People v. Doolin, 45 Cal. 4th 390 (2009)
41 Cal.4th 1082, 1149 , disapproved on another ground by People v. Doolin (2009) 45 Cal.4th 390, 421, fn. 22
The opinion
Opinion
BAXTER, J.
An information charged defendant with three 1988 crimes, the attempted murders of Robert and Barbara Mishell (Pen. Code, §§ 21a, 187), 1 and the first degree murder of Luis Reyna (§§ 187, 189). As to the attempted murders, it was alleged that defendant inflicted great bodily injury (§§ 1203.075, 12022.7) and used a dangerous and deadly weapon (§ 12022, subd. (b)). As to the murder, the information alleged a special circumstance of witness killing (§ 190.2, subd. (a)(10)) and included further allegations that defendant inflicted great bodily injury (§ 1203.075) and committed the offense while free on bail (§ 12022.1).
The prosecution’s evidence indicated that defendant, a member of the Berkeley Waterfront Commission, bludgeoned the Mishells, a University of California professor and his wife, because he believed they had made anonymous telephone calls exposing his extramarital affair. The evidence further indicated that defendant then fatally shot Reyna, a fellow waterfront commissioner, to prevent Reyna from testifying against him in the Mishell matter.
Defendant admitted attacking the Mishells, but claimed provocation. He asserted that Reyna’s death was an accident. Defendant admitted that, to *1093 cover up the homicide, he decapitated, dismembered, and scattered Reyna’s body, then fled to Mexico with his girlfriend.
The jury convicted defendant of all charges and found true all the additional allegations in the information. After hearing aggravating and mitigating evidence at the penalty phase, the jury returned a death verdict, which the trial court declined to modify. This appeal is automatic. We will affirm the judgment in full.
I. FACTS
A. Guilt evidence
1. The Mishell assaults and their aftermath
On January 31, 1988, Robert Mishell (Robert), an immunology professor at the University of California in Berkeley and his wife Barbara, a high-ranking technician who managed Robert’s laboratory, were brutally bludgeoned in their Berkeley home. Robert sustained two depressed skull fractures and 12 head lacerations. His injuries were life-threatening, but he largely recovered, though he suffered memory problems, could not continue teaching, and took a disability retirement. He suffered from posttraumatic amnesia and did not remember everything that occurred before the assault.
Barbara received six distinct blows to the head, resulting in compound skull fractures and brain damage. Her injuries rendered her severely and permanently disabled. At the time of trial, as a result of the damage to her brain, she remained behaviorally erratic, and she still could not speak.
The trial evidence, including defendant’s own testimony, conclusively established defendant as the perpetrator of the assaults. The prosecution’s evidence was as follows:
Defendant, a contractor, had done remodeling work on the Mishells’ home. Robert and defendant shared an interest in computers, but the Mishells had no other social relationship with defendant. They knew nothing of his personal life.
In July 1987, defendant, a married man, began an affair with Celebration Oberman. In September 1987, defendant, members of his family, and Oberman began receiving anonymous telephone calls that exposed the affair. Defendant was upset by the calls and suspected someone was trying to break up his marriage. Nonetheless, he continued to see Oberman.
Defendant told Luis Reyna, a fellow member of the Berkeley Waterfront Commission, about the calls. Among others, defendant said, he suspected a Berkeley professor’s wife who, he claimed, was in love with him. Ultimately, *1094 defendant indicated that a private investigator had traced the calls to this couple. Reyna advised defendant to take his information to the authorities. More than once, however, defendant said he would handle the matter “his way.”
On Sunday morning, January 31, 1988, around 11:00 a.m., defendant appeared unexpectedly at the Mishell residence. He and Robert chatted on the pool deck, where Barbara joined them. All three then went inside, drank coffee, and talked politics. At some point, Robert took defendant into the dining room to demonstrate his new computer. At trial, Robert recalled that defendant was standing behind him, next to a toolbox he had brought with him.
The next thing Robert remembered was waking up in bed several hours later. His head was bleeding. He looked for his wife. He found her on the kitchen floor, bleeding, unconscious, and unresponsive. He called the police.
Berkeley Police Officer Emberton arrived within minutes after Robert’s call. Robert was dazed and bleeding, but able to speak. Barbara was unconscious on the kitchen floor, with coagulated blood all around. Robert recounted to Emberton his recollection of the events leading to his injuries, but did not mention that defendant had a utility belt or toolbox with him.
The house showed no signs of forced entry. Defendant’s fingerprints were found on a half-full coffee mug in the kitchen, and on a book in the kitchen or dining room. Robert had purchased the book the day before.
Officers went to defendant’s home on the night of January 31. When they told him they were investigating an assault against the Mishells, he left the room to make a telephone call. Upon his return, he said his lawyer had advised him not to speak. He spoke nonetheless, claiming he had not been at the Mishell home in two weeks. Asked to name a possible suspect, defendant mentioned another contractor to whom, defendant said, the Mishells owed a lot of money.
Asked to recount his movements for the day, defendant said that, after dropping off his daughter at 11:00 a.m., he went to the Berkeley Marina around 11:30 and spoke to Dave Shelley, who was working there. Then, defendant said, he went to Reyna’s home to watch the Super Bowl. Defendant described the clothes he was wearing, and specifically mentioned athletic shoes.
Defendant did arrive at the Berkeley Marina sometime between 11:30 a.m. and 12:30 p.m. on January 31. According to Shelley, defendant stayed about *1095 45 minutes. He made a telephone call and wrote a note to Chuck Roberts, the Berkeley Waterfront Commission’s secretary, about an agenda item. The note included a notation of the ostensible time it was written—noon. Defendant later called and asked Shelley to make a copy of the note and send it to him. Shelley did so.
Roberts found the note when he came to work the next day. According to Roberts, defendant had written him notes before, but had never included the time. Given the note’s subject matter, there was no reason to do so in this case.
Defendant arrived at Reyna’s home about 1:00 p.m. on January 31, freshly groomed and wearing boots. Defendant volunteered that he had dropped off his daughter, then gone to his boat at the marina, and to the marina office. Reyna thought it odd that defendant wore boots on his boat. Defendant did not stay to watch the Super Bowl, but left after about 20 minutes.
On February 2, Reyna saw a newspaper article about the Mishell assault. Realizing that defendant had worked on the Mishells’ home, Reyna contacted defendant and told him about the article. Defendant said he did not want to talk, but that his problem was solved.
On February 3, defendant asked Reyna to come to his house. Despite his reservations, Reyna went. Defendant took Reyna onto the deck, saying the police had just been there to search, and he did not want to speak inside. Defendant told Reyna the following: He had gone to the Mishells’ home on January 31 to confront them about the harassing telephone calls. They laughed at his accusations and said he could do nothing about it. He then picked up something and beat the Mishells over the head. He took the unidentified weapon with him and discarded it where it would never be found.
When Reyna said that the Mishells could identify him, defendant responded that they never saw or knew who attacked them. Defendant asked Reyna to falsely tell the police defendant had telephoned him at 9:00 a.m. on January 31. That evening, at a commission meeting, defendant again made this request, explaining that the police believed the assaults had occurred before 11:30 a.m.
To Reyna, defendant never expressed remorse or regret about the Mishell assaults. Defendant said he was only sorry he was caught with another woman, and was just protecting his family.
Reyna did not immediately advise the authorities that defendant had confessed to him. Moreover, he initially did comply with defendant’s request *1096 that he lie to the police about when defendant called him on January 31. Members of Reyna’s family testified that he was fearful, distraught, confused, and in turmoil about whether he should tell what he knew.
Ultimately, on April 5, 1988, Reyna gave a taped statement to the police. Defendant was arrested two days later. Thereafter, defendant wrote Reyna letters from jail, urging Reyna to lie for defendant about the Mishell assaults, and to recant his police statement.
Defendant enlisted Oberman in efforts to persuade his own defense team of his innocence. At defendant’s request, Oberman falsely told a defense investigator she met defendant at the Berkeley Marina at 11:00 a.m. on January 31. She gave the investigator additional false information, supplied by defendant, that Reyna was angry with defendant over a debt, and thus had a motive to fabricate defendant’s confession. Oberman also told the investigator, again falsely, that she was hiding under defendant’s deck on February 3, when defendant supposedly told Reyna he had assaulted the Mishells.
The surgeons who operated, respectively, on Robert and Barbara after the assaults both testified that the victims’ head injuries were inflicted by a blunt instrument like the head of a hammer.
2. The murder of Luis Reyna and its aftermath
On July 15, 1988, defendant made bail in the Mishell assault case, and he was released from custody. On the morning of July 18, Reyna left his home for a meeting with defendant and was never again seen alive. On July 26, Reyna’s decapitated and dismembered body was found in an isolated location near the Lafayette Reservoir.
Overwhelming evidence linked defendant to Reyna’s death. Reyna’s sister Yolanda testified that, on the evening before his disappearance, Reyna received a call from defendant. During the call, she overheard Reyna say he was not afraid of defendant and intended to tell the truth.
The next morning, after calling work to say he would be late, Reyna told his mother he was going to meet defendant around the comer. Reyna, who did not own a gun, then departed, leaving behind his wallet, car keys, and automobile. He never returned. His family contacted the police.
Around 4:00 p.m. on July 19, defendant’s track was found at a Bay Area Rapid Transit station, its interior bloodstained and its bench seat missing. Water residue in the track’s interior indicated it had been hosed or washed out. Oberman had seen the bench seat in the track the previous afternoon.
*1097 On July 20, while they were riding together, defendant handed Oberman a gun and told her to throw it in a sewer. She did so. On July 21, after making financial arrangements for an extended absence, the couple flew to San Diego and entered Mexico.
Meanwhile, on July 19, a hiker in the Lafayette hills came upon a human hand. On July 26, an unclothed human torso, missing head and hands, was found at a separate Lafayette hills location. The torso was positively identified as Reyna’s, and the severed hand perfectly matched the torso’s handless left arm. On July 28, items of clothing, an ax, and a saw were found near where the body had lain. A witness who had done constmction work with defendant identified the ax, a somewhat rare type, as defendant’s.
An autopsy indicated that Reyna had been dead for several days before his body was found. Except for the decapitation and dismemberment, the body showed no external or internal signs of human-inflicted trauma. A cause of death could not be determined. Forensic experts opined that the head and hands had been severed by sharp, incisive blows, and that damage to certain of the severed bones was consistent with the use of a saw.
In March 1989, a skull, positively identified as Reyna’s, was found near where the body had been discovered. Four years later, Dr. Herrmann, a pathologist, examined the skull. He opined that the severed neck vertebrae had been cut either by a sharp object, or more likely, based on small ridges in the bone, by a saw. Though missing its lower jaw, the skull showed no other sign of trauma, such as a gunshot wound.
After July 1988, defendant and Oberman stayed in various locations in Mexico. They obtained false identification papers. In September 1988, they bought a residence in Mexico. Thereafter, Oberman returned to California. She worked in La Jolla and Palm Springs to earn money for their mutual support.
In February 1989, while on a surprise visit to Mexico, Oberman argued with defendant over his affair with another woman. During the argument, defendant confessed he had killed Reyna, and was not sorry. Defendant recounted the following: He picked Reyna up in his truck on the morning of July 18, 1988, and drove Reyna to a park in the hills. Reyna again told defendant he would not recant his police statement in the Mishell case. Reyna also called Oberman a whore. Defendant retrieved a gun from the toolbox in the rear of the vehicle and shot Reyna, who was sitting in the passenger seat, in the temple.
In March 1989, Oberman returned to Palm Springs. At her insistence, defendant followed. On September 11, 1989, FBI agents arrested him there
*1098 while he was driving with Oberman. Upon his arrest, defendant said to Oberman, “don’t tell them anything.”
In a letter to Oberman from jail, postmarked July 6, 1992, defendant said he would tell her, under separate cover, what he “expect[ed] [her] to remember” if she was called as a trial witness. A second letter, postmarked the same date, set forth a version of Reyna’s death in which Reyna pulled a gun, which went off during a struggle, inflicting a fatal head wound on Reyna. The letter recited that defendant had dumped Reyna’s body because both he and Oberman assumed the police would never believe him, and he needed time to consult with his lawyer. According to the letter, defendant fled the country to forestall civil suits and because of death threats from the Reyna family. Defendant wrote further that he hoped to avoid a harsh sentence in the Mishell case by claiming provocation.
At trial, Oberman insisted the letter’s recitations about Reyna’s death were false. She testified she had never discussed this version of events with defendant, or heard of it, until she received the letter.
3. Defense case
Defendant testified in his own behalf. He admitted bludgeoning the Mishells, inflicting multiple blows on each. Defendant stated that he lost control when the Mishells admitted, but laughed at, his accusations that they were behind the anonymous telephone calls exposing his affair. He said he picked up a meat tenderizer in the Mishells’ kitchen, used it as his weapon, then threw it, weighted, into San Francisco Bay. Defendant acknowledged he lied to the police about the incident, sought to construct an alibi, confessed to Reyna, then pressured Reyna to recant the statement Reyna had given to the police.
Defendant further conceded that he called Reyna on the evening of July 17, 1988, that he met with Reyna on the morning of July 18, that Reyna died in his presence that day, and that he then dismembered Reyna’s body. But defendant denied murdering Reyna. Defendant claimed the following: The men drove in defendant’s truck to a waterfront park in Richmond. During a tense conversation, defendant walked around to the passenger door and opened it. Reyna, who seemed somewhat intoxicated, was pointing a gun at him. They struggled, and the weapon discharged.
According to defendant, he checked Reyna for signs of life and found none, though he saw no blood, wound, or visible sign of the bullet’s trajectory. After driving around for several hours, trying to decide what to do, he disposed of Reyna’s gun in Walnut Creek, then drove to the Lafayette *1099 hills, where he dismembered Reyna’s body, using a hacksaw not in evidence, and scattered the remains. He rinsed the truck, inside and out, at a carwash, then discarded other items of evidence, including the truck’s bench seat. He did these things, he said, because he thought nobody would believe him, and he needed time to consult his attorneys.
After meeting with his lawyers on July 20, defendant said, he decided to flee because of death threats from Reyna’s family, potential civil lawsuits, and the fear he would be denied bail on homicide charges. Defendant denied telling Oberman the details of his encounter with Reyna, and he insisted he never told her he murdered Reyna.
Defendant also insisted he had no reason to fear, and thus to kill, Reyna as a potential witness against him in the Mishell assault case. According to defendant, his attorney had advised him that, in an interview with a defense investigator, Reyna had recanted his earlier statement to the police, and his credibility could thus be destroyed on the stand. (See discussion, post.) Also, defendant suggested, Reyna was vulnerable because he had confided to defendant that he was homosexual, a fact he did not wish even his family to know.
The defense presented witnesses to challenge Robert Mishell’s memory, particularly with respect to Robert’s trial recollection that defendant arrived at the Mishell residence carrying a toolbox (and was thus perhaps already armed with the weapon used in the assault). The defense attacked the credibility of Reyna family witnesses, including Reyna’s sister Yolanda, by presenting evidence of their extreme hostility to defendant and their dissatisfaction with police handling of the case. The defense attacked Oberman’s credibility through the testimony of Sue Ann Van Epps, Oberman’s former friend and business partner. Van Epps asserted that Oberman was motivated by money and attention, had engineered the flight to Mexico because of death threats from the Reyna family, and had suggested she and Van Epps collaborate on a book about Oberman’s experiences in Mexico.
Finally, the defense sought to undermine Reyna’s credibility and importance as a witness in the Mishell case, in order to suggest defendant had no motive to kill Reyna. Detective Gustafson testified that, although Reyna was a confidential informant in two earlier search warrants for defendant’s property, Reyna’s April 5, 1988, revelation that defendant had confessed to him added only details to what the police already knew about the Mishell assaults. Gustafson also said Reyna was reluctant to come forward because he doubted the veracity of defendant’s claim and was wrestling with his loyalty to defendant.
*1100 Chuck Roberts testified that Reyna had also revealed defendant’s confession to him, but was reluctant to go to the police because of his friendship for defendant and because defendant had told him things in the past that were not true.
Defense investigator George Cramer testified that, in an April 13, 1988, interview, which occurred subsequent to Reyna’s taped police statement, Reyna recanted, saying that the police had taken his statement out of context, and that he did not believe defendant’s confession was serious. According to Cramer, Reyna wanted to help defendant by telling the police everything he knew. Cramer said that he, defense counsel, and Reyna tried to speak with the prosecutor after April 13, but she refused to see them.
B. Penalty evidence
1. Prosecution evidence
The prosecution presented three penalty phase witnesses. Yolanda Reyna, the murder victim’s sister, and Helen Reyna, his mother, testified about the effect of his death on them. Alexandra M., defendant’s niece by marriage, recounted defendant’s sexual assault on her.
Alexandra testified as follows:
She spent the summer of 1982, when she was 15 years old, with defendant’s family. He contrived to drive her to the airport alone for her flight home. On the way, he asked her personal questions of a sexual nature. He parked in a deserted airport lot and enticed her into the rear of his van, where he kissed her and forced her head down onto his penis. When she bit him, he slapped her and stuffed a bandanna into her mouth. Restraining her arms, he then raped and sodomized her, ejaculating in her anus. He threatened to kill her and her family if she told anyone. He also told her she had enjoyed the experience. Though hysterical, she accepted the comment, because she knew no better.
On the flight home, she wrote a letter, never mailed, to her friend Margaret Yen, in which she said she enjoyed the encounter and mentioned no force or threats, but expressed shame that the incident had occurred. She did not tell her mother until, three months later, she discovered she was pregnant. She did not report the incident to police because she was afraid of the effect on her grandparents. By 1988, she had still told only Yen, her therapist, and other close friends and family members. In 1988, she told FBI agents who came to her home in connection with defendant’s status as a wanted fugitive.
*1101 2. Defense evidence
Margaret Yen testified that when Alexandra M. returned home from California in 1982, she told Yen she had consensual sex with her uncle in a car at the airport. On the other hand, Yen stated that several months later, when Alexandra was upset over her parents’ breakup, she told Yen she felt unloved and worthless, and had even been forced by her uncle to have oral sex.
A number of witnesses testified to defendant’s positive qualities and contributions, including his involvement in community affairs, charm, sense of humor, diligence, intelligence, computer knowledge, helpfulness, concern for family, trustworthiness, and concern for human equality. His efforts to tutor fellow inmates while he was in jail awaiting trial were noted. But some witnesses admitted he had a temper, could be hard on others, and was capable of anything. And some conceded there was much about defendant they did not know, and that the trial had altered their opinions of his honesty. There was evidence that defendant held a contractor’s license with no record of disciplinary action.
No member of defendant’s family testified in his behalf. The defense presented evidence that his parents were deceased, and that he had asked that his children not be involved in the trial so as to spare them further pain.
Based solely on his review of defendant’s jail records, Jiro Enomoto, a former Director of the Department of Corrections, testified that, if incarcerated, defendant would be assigned to high-security housing, and could be a constructive person. Enomoto conceded the security level of defendant’s housing could change in the future. He insisted that defendant’s numerous county jail incident reports were minor and not a cause for serious concern, though he admitted they were troubling.
II. DISCUSSION
A. Jury selection issues
1. Wheeler/Batson claim
Sixty-eight members of the venire, including nine members who identified themselves as African-Americans, survived challenges for cause. Thirty-nine of these qualified prospective jurors were called into the jury box to face peremptory challenges.
Selection of both regular and alternate jurors was completed on Thursday, March 11, 1993. The remaining venire was excused, but the empaneled jurors *1102 were not formally sworn. They were instructed to return for trial the following Monday morning, March 15, 1993. On that morning, defendant filed a written “Motion to Reinstate Improperly Challenged Jurors, Or, Alternatively, to Dismiss Empaneled Jurors and Quash Remaining Venire.” The motion alleged violations of People v. Wheeler (1978) 22 Cal.3d 258 [ 148 Cal.Rptr. 890 , 583 P.2d 748 ] (Wheeler) and Batson v. Kentucky (1986) 476 U.S. 79 [ 90 L.Ed.2d 69 , 106 S.Ct. 1712 ] (Batson), in that the prosecutor had employed peremptory challenges for the purpose of excluding African-Americans from the petit jury.
Specifically, the motion asserted, the prosecutor had used five of the 15 peremptory challenges he exercised to excuse Prospective Jurors Altie T, Gregory S., James B., Debria W., and June W.—every one of the identified African-Americans called into the jury box—such that the regular jury as empaneled had no African-American members. The motion conceded that the four alternate jurors included an African-American.
Opening statements were deferred, the jurors were sent home, and the motion was argued on March 15 and 16, 1993. Defense counsel insisted, as in the written motion, that the prosecutor’s use of five of 15 peremptory challenges to excuse all African-Americans from the final jury established a prima facie case of discriminatory intent. Observing that the prosecutor’s voir dire had centered around death qualification, counsel argued that the disputed prospective jurors had expressed no extreme views on that issue, either orally or in their questionnaires.
The prosecutor responded that the defense’s statistical argument was misleading because of the small sample size, and that his questioning of the disputed prospective jurors demonstrated no intent to exclude them on the basis of their race. He indicated that this was all he had to say on “the prima facie issue,” but if the court wished, he would discuss his individual reasons for excusing each disputed juror. Without ruling on whether a prima facie case had been made, the court said, “I think you might as well.”
The prosecutor first conceded that all the excused jurors were theoretically death-qualified, but pointed out that he had to make a “more subtle judgment” whether these individuals could actually impose the death penalty. As to Altie T., the prosecutor observed that he “does not believe in the death penalty. Yes, he said he could work with it, but in my judgment someone that does not believe in the death penalty will not give it the same consideration and is not as likely to vote for the death penalty as someone who is in favor of it or is at least neutral.”
The prosecutor said he excused Gregory S., not because of his death penalty views, but because he indicated in voir dire that he “had been the *1103 victim of circumstantial evidence in a case when it seemed that he was guilty but, in fact he was not.” Because the instant case was largely based on circumstantial evidence, the prosecutor explained, Gregory S. did not seem a suitable prosecution juror.
James B., the prosecutor noted, would probably be a suitable juror in a noncapital case. However, the prosecutor observed, “my notes indicate [James B.] said that he would have a difficult time voting for the death penalty because of religious convictions,” and “that his wife was extremely opposed to the death penalty.”
Debria W. had been excused, the prosecutor explained, because she said that “maybe” she could impose the death penalty, but it should not be used “except as a last resort and unless she was absolutely sure.” This persuaded the prosecutor she would not evaluate death “even-handed[ly]” against life without parole, and thus was not a suitable juror.
June W., said the prosecutor, had “repeated many, many times that she could be fair,” but he could not get a sense, from her answers, about her death penalty attitudes. Moreover, he indicated, “there was also a question or two that was asked that she did not understand, and she answered incorrectly based on her understanding, and it was my feeling [that] while she was a very nice woman, an older lady, that I did not believe that she would in the end be able to vote for the death penalty.”
Ruling on the motion, the trial court first stated it “[did] not feel the manner in which the peremptory challenges were used created an inference that the prosecutor had a discriminatory motive. Therefore, I do not think there has been made a prima facie case.”
The court further indicated that “I remember these particular people. I reviewed my notes; and, frankly, I feel that [the prosecutor] has given a satisfactory reason with reference to these particular people. They were— They were at best neutral to the death penalty. And if I were a prosecutor, I’d want people more in favor of it. [j[] Many of them did say only in the last resort could they do it or if they’re absolutely sure, which is not the burden of proof. [j[] One juror, [Altie T.], said he did not believe in it. [f] [Gregory S.] again is worried about circumstantial evidence, [f] [Debria W.j is concerned about the absolute certainty, which kind of bothered me. [§] [James B.] indicated it would be difficult to apply. H] Now, forgetting their color for a moment, any prosecutor would knock those people off. [<J[] [June W.] was rather equivocal. I’m not so sure whether that’s her personality or that is in response to the questions. [][] But in my opinion, there’s a valid basis for . . . the exercise of a peremptory, and I don’t feel it was based on any type of discriminatory motive. [][] So, ... I will deny your motion.”
*1104 On appeal, defendant renews his Wheeler/Batson challenge. The applicable law is well settled. “[Under Wheeler,] [a] prosecutor’s use of peremptory challenges to strike prospective jurors on the basis of group bias—that is, bias against ‘members of an identifiable group distinguished on racial, religious, ethnic, or similar grounds’—violates the right of a criminal defendant to trial by a jury drawn from a representative cross-section of the community under article I, section 16 of the state Constitution. [Citations.] [Under Batson,] [s]uch a practice also violates the defendant’s right to equal protection under the Fourteenth Amendment. [Citations.]
“The United States Supreme Court has recently reaffirmed that Batson states the procedure and standard trial courts should use when handling motions challenging peremptory strikes. ‘First, the defendant must make out a prima facie case “by showing that the totality of the relevant facts gives rise to an inference of discriminatory purpose.” [Citations.] Second, once the defendant has made out a prima facie case, the “burden shifts to the State to explain adequately the racial exclusion” by offering permissible race-neutral justifications for the strikes. [Citations.] Third, “[i]f a race-neutral explanation is tendered, the trial court must then decide . . . whether the opponent of the strike has proved purposeful racial discrimination.” [Citation.]’ ” (People v. Lewis and Oliver (2006) 39 Cal.4th 970, 1008-1009 [ 47 Cal.Rptr.3d 467 , 140 P.3d 775 ] (Lewis and Oliver), quoting Johnson v. California (2005) 545 U.S. 162, 168 [ 162 L.Ed.2d 129 , 125 S.Ct. 2410 ].)
“We review the trial court’s ruling on purposeful racial discrimination for substantial evidence. [Citation.] It is presumed that the prosecutor uses peremptory challenges in a constitutional manner. We defer to the court’s ability to distinguish ‘bona fide reasons from sham excuses.’ [Citation.] As long as the court makes ‘a sincere and reasoned effort to evaluate the nondiscriminatory justifications offered, its conclusions are entitled to deference on appeal.’ ” {Lewis and Oliver, supra, 39 Cal.4th 970, 1009 .) 2
As noted above, the trial court, after expressly reserving its decision whether a prima facie case had been established, accepted the prosecutor’s offer to state his reasons for excusing individual prospective jurors. Having heard the prosecutor’s justifications, the court ruled that his actions gave rise to no “inference” of discriminatory motive, and that a prima facie case had *1105 thus not been established. After comparing its own recollections with the prosecutor’s stated grounds for the challenged excusáis, the court further concluded that the prosecutor had given “satisfactory reason[s]” for their dismissal. Under these circumstances, the decision to hear the prosecutor’s reasons did not imply that the court had found a prima facie case, nor did it moot the court’s later contrary determination. (See People v. Welch (1999) 20 Cal.4th 701, 746 [ 85 Cal.Rptr.2d 203 , 976 P.2d 754 ] (Welch).) 3
However, our review of the court’s finding that defendant failed to establish a prima facie case is complicated by intervening legal developments. In Johnson v. California, supra, 545 U.S. 162 , the United States Supreme Court reversed People v. Johnson (2003) 30 Cal.4th 1302 [ 1 Cal.Rptr.3d 1 , 71 P.3d 270 ], wherein we confirmed that the established California standard by which the opponent of juror strikes must demonstrate, prima facie, a Wheeler/Batson violation—even if sometimes previously expressed as a “ ‘reasonable inference’ ”—was to show that purposeful discrimination was “more likely than not.” (People v. Johnson, supra, at pp. 1312-1318.) The high court made clear that this standard is too demanding for federal constitutional purposes. Under Batson, the court said, the prima facie burden is simply to “produc[e] evidence sufficient to permit the trial judge to draw an inference that discrimination has occurred.” (Johnson v. California, supra, 545 U.S. 162, 170 .)
Despite the instant trial court’s use of “inference” in its prima facie ruling, that word had sometimes been employed in California as shorthand for the “more likely than not” standard. (See discussion, ante.) Hence, we cannot be sure the court understood the term in the sense later established by Johnson v. California . Accordingly, we cannot simply defer to the trial court’s prima facie ruling. To uphold it, we would have to be satisfied, from our independent review of the record, that defendant produced insufficient evidence at the outset to permit an inference of discrimination. (E.g., Bell, supra, 40 Cal.4th 582, 597 ; People v. Avila (2006) 38 Cal.4th 491, 554 [ 43 Cal.Rptr.3d 1 , 133 P.3d 1076 ].)
*1106 In the alternative, we may assume, without deciding, that defendant did satisfy the first, or prima facie, step of Batson and Wheeler by pointing to the prosecutor’s use of five of 15 peremptory challenges to excuse from the regular jury the only African-Americans called to the box. (See, e.g., Wheeler, supra, 22 Cal.3d 258, 280 .) Because the prosecutor voluntarily explained his dismissals, we may then proceed directly to the second and third steps of the Wheeler/Batson analysis. (Lewis and Oliver, supra, 39 Cal.4th 970, 1010 ; People v. Ward (2005) 36 Cal.4th 186, 200-201 [ 30 Cal.Rptr.3d 464 , 114 P.3d 717 ].) We do so here. We find the prosecutor’s stated nondiscriminatory reasons for excusing Prospective Jurors Altie T., Gregory S., James B., Debria W., and June W. to be amply supported.
As the prosecutor indicated, when asked in the juror questionnaire to describe his general feeling about the death penalty, Altie T. responded, “I don’t believe in it but I can work with it.” He also indicated that he was “[mjoderately against” the death penalty and was “[n]ot sure” how he would vote if the death penalty were on the ballot.
On voir dire, Altie T. indicated quite a strong conflict between his feelings against the death penalty and his duties as a juror. While he insisted he could vote for death “if [he] had to” in an appropriate case, including one with only one murder victim who was killed as a potential witness, he made clear that he “basically [didn’t] believe in the death penalty” because “I don’t think a man should take another man’s life. He should be punished for it, but his life shouldn’t be taken.” Altie T. responded affirmatively when asked whether “therefore you think it’s wrong for the state to take another man’s life,” i.e., “that it’s morally wrong to do that.” As the trial court found, the prosecutor had ample reason to be skeptical of Altie T.’s willingness and ability to impose death, and to excuse him on that basis. 4
During the voir dire of Prospective Juror Gregory S., the prosecutor explained the difference between direct evidence and indirect, or circumstantial, evidence. The prosecutor asked if Gregory S. could impose the death penalty in a case based primarily on circumstantial evidence.
Later, defense counsel inquired about Gregory S.’s disclosure on his questionnaire that he himself had been the victim of an attempted robbery in which he suffered a head injury when struck with a pipe. Counsel asked if this experience caused Gregory S. to come into court with a “vendetta or some kind of ax to grind.” Gregory S. responded: “No, no, I don’t mainly because I’ve been in a situation myself years ago where—where there’s a lot *1107 of circumstantial evidence laid against me and was viewed as being guilty when I knew I wasn’t and couldn’t prove it, so I knew that there [are] situations where a person could seem to be guilty but [is] not. But I didn’t have a situation where I could go into a court system and prove it and the whole bit. So I keep an open mind whether a person’s—is thought to be guilty until—until I’m convinced.” On this basis, the prosecutor could reasonably decide that Gregory S.’s personal experience, dissimilar to any disclosed by other prospective jurors, might make him reluctant to impose death, or even to convict, in a case where the murder evidence was largely circumstantial.
In his juror questionnaire, Prospective Juror James B. expressed neutrality about the death penalty. On voir dire, he continued, at first, to insist he had no feelings that would interfere with his ability to consider the death penalty fairly. But when defense counsel asked if James B. had any religious or philosophical beliefs that might affect his decisionmaking ability in a death penalty situation, he responded, “It would be very difficult for me because of my religious convictions to really give a death sentence to another human being.”
Later, the prosecutor examined James B. about his prior disclosure that recent murders reported in the newspapers had led to discussions with his wife and friends about whether they could actually impose the death penalty. The prosecutor asked what opinion James B.’s wife held on that subject. James B. responded, “My wife would not be able to do it at all. She was really a very religious woman, and she could not give out a death sentence to another human being at all.”
Though James B. insisted his wife’s views would not influence him, the prosecutor could reasonably conclude that James B.’s own religion-based death penalty scruples, reinforced by his wife’s even stronger pro-life views, would make him an unsuitable prosecution juror in a death penalty case.
In her juror questionnaire, Prospective Juror Debria W. described her philosophical opinion about the death penalty as “[njeutral.” She explained that “if the evidence [strongly] show[ed] guilt,” then “maybe” the death penalty would be appropriate.
On voir dire, Debria W. displayed, and admitted, considerable nervousness, and defense counsel remarked that she seemed shy. She stated at various points that she would be open and fair, that she would consider death in a single-victim witness-killing case, and that she could impose death where the evidence of guilt was circumstantial. However, when defense counsel asked if Debria W. thought the death penalty served a purpose in society, she *1108 responded, “Not all the time I don’t feel—I don’t feel like it’s justified.” Asked to explain, Debria W. stated, “Only when it’s—when it’s—that’s the last resort I mean, you know, that’s it.” She volunteered that she would have to be “absolutely sure”—“gut sure”—before imposing death; “I wouldn’t just say yeah, guilt and then death.” On the other hand, she agreed, she would “definitely” consider life without parole as an option.
The prosecutor followed up, asking again what Debria W. meant by saying the death penalty was a “last resort.” She explained that if “all the evidence weighed out and everything pointed that way on the death penalty, then that’s the way I would feel.” (Italics added.)
On this basis, the prosecutor could reasonably conclude that Debria W. would be inclined to impose the death penalty, if at all, only in the most extreme cases, where she believed no evidence at all favored life without parole. Thus, as he indicated, he could surmise that she would not weigh the penalty evidence fairly to determine whether the balance of aggravating and mitigating factors made death the appropriate penalty.
In justifying his excusal of Prospective Juror June W., the prosecutor acknowledged this prospective juror had insisted on many occasions that she could weigh the penalty options fairly based on the evidence presented in the particular case. However, the prosecutor pointed to certain “incorrect[]” and ambiguous answers that prevented him from ascertaining June W.’s death penalty attitudes, but left him with the sense that “in the end” she would not be able to vote for death.
Beyond any impressions the prosecutor may have gleaned from June W.’s personality and demeanor—factors we cannot assess on the cold record— there is support for his evaluation. In her jury questionnaire, when asked how she would vote if the death penalty were placed on the ballot, June W. answered that she “had not thought about it, [but that] [o]n a jury I could be fair in [judgment].” (Italics added.) On voir dire, defense counsel followed up on this point, asking June W. if she had thought, since filling out the questionnaire, about how she might vote “if California placed it on the ballot [whether] there ought to be a death penalty.” She responded, “I feel that I wouldn’t have a problem voting for the death penalty if that in my opinion was the case." (Italics added.) She then answered “[c]orrect” when defense counsel asked whether this meant she agreed the death penalty “has a legitimate place in criminal justice” and is “an option the jury should have in deciding a case.”
These answers could suggest that June W. was being evasive about her political position on the death penalty, and thus sought, by her answers, to *1109 redirect all such questions on that subject toward her ability to be a fair capital juror. However rational such a stance might be in the abstract, it could reasonably raise concerns in the prosecutor’s mind whether June W. was using it, consciously or unconsciously, to mask a deeper antipathy to capital punishment. On that basis, he could decide she was a less than suitable prosecution juror.
For the first time on appeal, defendant asks us to compare the responses provided by the 12 seated regular jurors, none of whom were African-American, with those given by the excused African-American prospective jurors, and cited by the prosecutor when justifying the disputed challenges. Such a comparison, defendant insists, exposes the prosecutor’s stated reasons as sham, because the seated jurors disclosed death penalty views substantially similar to those expressed by Altie T., Gregory S., James B., Debria W., and June W.
We had previously declined to engage in comparative juror analysis for the first time on appeal, deeming such analysis unreliable in evaluating the prosecutor’s reasons for excusing minority prospective jurors. (E.g., People v. Box (2000) 23 Cal.4th 1153, 1190 [ 99 Cal.Rptr.2d 69 , 5 P.3d 130 ] (Box); People v. Johnson (1989) 47 Cal.3d 1194, 1220-1221 [ 255 Cal.Rptr. 569 , 767 P.2d 1047 ].) However, in Miller-El v. Dretke (2005) 545 U.S. 231 [ 162 L.Ed.2d 196 , 125 S.Ct. 2317 ] (Miller-El), a federal habeas corpus case, the United States Supreme Court conducted a comparative juror analysis to examine the veracity of the prosecutor’s stated race-neutral reasons for the challenged excusáis, though no such analysis had been sought or performed in lower courts. The court observed that “[i]f a prosecutor’s proffered reason for striking a black panelist applies just as well to an otherwise-similar nonblack who is permitted to serve, that is evidence tending to prove purposeful discrimination to be considered at Batson’s third step.” (Id. at p. 241.)
Assuming, without deciding, that we must undertake comparative juror analysis here (Lewis and Oliver, supra, 39 Cal.4th 970, 1017 ), we conclude that such a comparison fails to indicate the prosecutor engaged in purposeful discrimination. Though they obviously did not hold extreme views, the seated jurors expressed attitudes significantly more favorable to the prosecution than the African-American prospective jurors he excused.
Thus, in his questionnaire, Juror Stewart B. indicated he believed the death penalty “is an appropriate punishment for special circumstance crimes and if the jury decides it fits the crime.” He also reported he was “[mjoderately in favor” of the death penalty, had no religious scruples against it, and would vote “[f]or” the death penalty on the ballot because “I believe it is appropriate for some crimes and may serve as a deterrent for some criminals.”
*1110 On voir dire, Stewart B. indicated that he was familiar with the term “special circumstance,” thought it was reserved for particularly violent murders and peace-officer murders, did not realize witness killing was a special circumstance, but assumed, if the statute included this category, that “it [was] appropriate.” Asked by defense counsel if he understood he must vote for life if the good and bad in defendant’s life were equal, Stewart B. expressed some reservations, indicating that “[a]t that point, [having found both guilt and one or more special circumstances], it kind of tilts the other way I would think,” despite the need to be “careful,” “once you’re kind of balancing the scales of justice.” Indeed, he said, “I would have to tell you right now I’m probably preinclined toward the death penalty” and “I support the death penalty.”
Stewart B. professed he was comfortable that the death penalty meant exactly that, because “you need appropriate measures for the appropriate crime.” He also indicated he would have no difficulty imposing the death penalty after having found guilt and special circumstances on the basis of circumstantial evidence, pointing out that the issues at the two phases of trial were different.
In her questionnaire, Juror Tina B. said that she had not thought a lot about capital punishment and was not sure how. she would vote on a ballot measure addressing that issue, but believed the death penalty “is here for a reason.” It was hard, she professed, to say how she felt about the death penalty, “[n]ot knowing the evidence.” She indicated she had no religious reservations about capital punishment.
On voir dire, Tina B. said she was still not sure how she would vote on a death penalty ballot measure, because she did not have enough information. However, when asked what she meant by saying the death penalty is here for a reason, Tina B. explained that the. “reason” was all the “bad” people who “cannot live on this earth without doing anything . . . but wrong such as murder over and over—. . . or child molestation, anything of that sort,” and that “we should use [the death penalty] when it comes to that.” When defense counsel inquired whether she had thought more about her attitudes since completing her juror questionnaire, Tina B. said, “Actually, yes, I have. . . . My additional thoughts are that it is here, and . . . we’re supposed to use it, and if I had to make a choice, depending on the evidence, I would.”
Asked if she would impose death in a witness-killing case, Tina B. said, “No, I’d have to hear the whole case,” thus suggesting that she would not automatically do so. Asked about the death penalty in a circumstantial-evidence case, she replied that “[o]bviously he’d have to be pretty guilty of everything,” but if circumstantial evidence convinced her, to the requisite degree of proof, that defendant deserved the death penalty, “I believed I would” be able to vote for it.
*1111 In her questionnaire, Juror Sharon B. indicated that she believed the death penalty was necessary for certain crimes “based on the evidence,” was “[m]oderately in favor” of the death penalty, had no religious scruples against it, but was “[n]ot sure” how she would vote on a ballot measure. Responding to the question whether her death penalty views had changed substantially in recent years, she stated, “If I keep my emotions out of the way [and] think logically my feelings are the same.”
In voir dire, defense counsel followed up on this latter comment, asking if it meant her thoughts changed from day to day depending on how she felt about a particular issue or case. She agreed, explaining that she had extreme emotional reactions to the “horrible” crimes she saw on television, but “then if you sit and think about it, then it depends on, you know, . . . what type of evidence is given to me.” She insisted she could follow the penalty instructions and weigh both available punishments based on the aggravating and mitigating evidence.
Sharon B. indicated she was still not sure how she would vote on a ballot measure, “[b]ecause I think each individual case needs to be taken into consideration. ... I just can’t say somebody automatically deserves the death penalty.” (Italics added.) Pressed to distinguish between the voting booth and a juror’s duties, she maintained, on the political question, that “I [still] don’t know how I feel” and had no “definite feelings.” Asked about her views on life without parole, she said she was “[p]robably moderately favorable,” which, she agreed, “was about the same as [she felt on] the death penalty.” Finally, she agreed unequivocally that she could impose death even if the evidence of guilt was primarily circumstantial.
Thus, the overall portrait was of a juror who had strong initial reactions against aggravated murders, was inclined to favor the availability of both death and life without parole for selected crimes, and believed, in the end, that each individual case required careful consideration, based on logic and evidence. Under these circumstances, the prosecutor could readily conclude Sharon B. was a fair capital juror who would impose the death penalty if she believed it was warranted.
Juror Roberta C. left blank that portion of her questionnaire dealing with death penalty attitudes. On voir dire, she explained that she felt “rush[ed],” the form was “lengthy,” and she was “caught off guard” by questions she had not previously pondered.
However, asked by the court about her feelings on this issue, she replied that her Catholic religion did not “teach to be in favor of the death penalty or capital punishment; but for myself deep down in my heart I do believe in it.” *1112 (Italics added.) She admitted the conflict with her Catholic faith had given her a “difficult weekend,” but “I think I’m going to have to dismiss the Catholic principles and just go from what I feel.” Questioned further on the subject by the prosecutor, Roberta C. insisted she could go against her church’s teaching if she thought death was the appropriate penalty, “[a]nd I don’t think I’m the only one that would fall in that situation.”
Roberta C. indicated she could consider the death penalty in a witness-killing case “[i]f that were the law.” When the court advised that this was the law, she said she “probably” could. When the prosecutor asked what she meant by “probably,” she answered, “Maybe I should rephrase that. If that is the law, then I will have to follow the law.” Finally, she indicated unequivocally that she could impose the death penalty on the basis of circumstantial evidence.
These responses indicated quite clearly that, after some understandable soul searching, Roberta C. had resolved any religious conflict in favor of her personal belief in the death penalty. The prosecutor could readily conclude that her Catholic faith would not interfere with her duties as a capital juror, that she would follow the law, and that she would deliberate fairly on the issue of penalty. 5
In her questionnaire, Juror Suzanne H. indicated that she was “not opposed” in general to the death penalty, had no religious scruples against it, and would vote “[f]or” it on the ballot because she “[felt] it should be an option.” Asked to rate her “philosophical opinion” about the death penalty on a five-step scale, she first marked “[m]oderately in favor,” crossed that out, and marked “[n]eutral.”
On voir dire, Suzanne H. expressed the views of an ideal capital juror. She explained she was “neither for nor against” the death penalty in the abstract; instead, she said, “In some cases I’m very much in favor of [the death penalty] [while] [i]n some cases I would not be in favor.” She thought both death and life without parole were valid options, depending on the case and the evidence, and she would “accept the facts as they are.” She did not think death was appropriate only in cases of multiple murder victims, and she could impose the death penalty in a witness-killing case “[i]f I was so directed by *1113 the court.” She also indicated she could impose death on the basis of a circumstantial guilt case. These responses left no doubt that Suzanne H. could deliberate fairly on the issue of penalty.
In his questionnaire, Juror David H. responded colorfully when asked his general feelings on the death penalty, explaining that “I used to be against it but now I feel [it is] a valid method of cleaning the pond scum off of the gene pool.” He indicated he had no religious scruples against the death penalty and would vote “[f]or” it on the ballot, but nonetheless rated his “philosophical opinion” on the subject as “[njeutral.”
Asked on voir dire to explain his “pond scum” remark, David H. indicated he meant that “someone who’s out and out bad, would go out and murder again, and have no problem with that, I don’t see a point in that person existing.” Nonetheless, under intense questioning by defense counsel, he indicated he understood, and could abide by, his obligations as a penalty juror, and would consider life without parole if the “good” about the defendant, when compared against the “bad,” was sufficient to warrant that option. David H. provided an obvious basis for the prosecutor to surmise that he would be a suitable, even favorable, prosecution juror in a capital case.
Juror Judith H. stated in her questionnaire that she was “[mjoderately in favor” of the death penalty, and had no religious or philosophical reservations about it. She indicated she would vote “[f]or” the death penalty on the ballot because she “believe[d] the option should be available.” Asked to explain her general feelings on the subject, she wrote she felt there were “probably some cases where it should be imposed.” Her religious beliefs, she explained, were “that man should be punished for his sins unless he repents and restores losses he had caused,” and it was impossible to restore life. She expressed the view that “[u]nder some circumstances, a guilty person should forfeit his own life as a means of expiation,” but in others, “the death penalty would not be appropriate.”
On voir dire, Judith H. confirmed these positions. Asked by the court if she could impose death in an appropriate case, she replied, “I believe in it” and “I’d have to say yes.” When defense counsel inquired about her questionnaire statement that she was moderately for the death penalty, she said, “Well, I believe that it should exist.” She admitted she “[didn’t] believe anyone would really want to condemn another human being to death,” but suggested that the group nature of the decision reduced the risk of error. On the other hand, she said she understood that, as a juror, she must make an individual determination. She denied that her religious beliefs required the forfeiture of life as expiation for every murder, and insisted she could not prejudge a case, but said she believed she could impose death in an appropriate case. She *1114 professed to prefer neither death nor life without parole, but had “a strong preference to presume innocent until proven otherwise.” She deferred to the law when asked whether death was ever appropriate in a witness-killing case. In response to the prosecutor’s questions, she said she “probably” could impose death in a case of circumstantial evidence, though she “would have to feel that it’s warranted.”
In sum, Judith H.’s questionnaire and voir dire answers portrayed a person who strongly believed on religious grounds that the death penalty was a valid punishment for some murders, was willing and able to assess it where appropriate, and accepted that the categories of death eligibility were a matter for the law. On the other hand, they indicated that she would not prejudge individual cases, understood the gravity of condemning someone to death, and would therefore weigh the evidence and penalty choices carefully. On this basis, the prosecutor could readily conclude that Judith H. would be an evenhanded, and therefore acceptable, capital juror.
In her questionnaire, Juror Sherry K. rated herself as “[njeutral” on the death penalty. However, she indicated she had no religious scruples on the issue and would vote “[f]or” the death penalty on the ballot because “people should have choices.” Asked to describe her general feelings on the death penalty, she wrote, “The cases that I know about from the news indicate that it was warranted.”
On voir dire, Sherry K. indicated she was thinking of high-profile cases— “Jeffrey Dahmer, Charles Manson”—when she wrote of cases in the news where the death penalty seemed appropriate. She also said she did not think death was warranted for a single murder to prevent a witness from testifying. However, she made clear that she was distinguishing her political and philosophical views from her duties as a juror. She explained that she would not “make such a law,” but “since it is the law, I can still agree and abide by it.” (Italics added.) Asked by the prosecutor if she meant that, even if she disagreed with the law, she could vote for death in such a case if persuaded the aggravating circumstances outweighed those in mitigation, she replied, “Yes, sir, that’s what I’m telling you.” When the court interrupted to ask if she would use the standard of proof required by the instructions, and not impose one of her own, she replied, “Absolutely.” Finally, she agreed she could impose death in a circumstantial-evidence case if instructed that such evidence was equal to direct evidence.
From these answers, the prosecutor could infer that Sherry K. favored the death penalty in certain cases, and could put aside her personal views in others to deliberate fairly, under the law and instructions, on the issue of penalty. On that basis, she would appear to be an acceptable juror for the prosecution.
*1115 In her questionnaire, Juror Cecilia M. rated herself “[m]oderately in favor” of the death penalty, and stated she had no religious objections to it. She indicated she would vote “[flor” the death penalty because “I feel it [is] necessary sometimes.” Asked to describe her general feelings about the death penalty, she wrote, “I feel [it] is necessary in some cases.”
On voir dire, Cecilia M. explained she thought the death penalty was sometimes necessary because “some crimes are [so] horrible that a person deserves to die.” She stated that she could “make a choice” between death and life without parole in a case where a witness was killed to prevent his testimony. Under questioning by defense counsel, she admitted that, though she generally favored the death penalty, she had thought about whether it would be difficult actually to impose it, i.e., “how I would feel about determining if someone should die or not,” and “if I could just morally do it.” But when the prosecutor followed up on the same theme, Cecilia M. said, “Well, as I said, I’ve thought about it a lot since the questionnaire; and I honestly think I could.” She agreed she could do so in a case involving circumstantial evidence.
These answers indicate that Cecilia M. generally believed in the death penalty, had pondered the moral significance of personal involvement in its imposition, but had ultimately decided her moral qualms, if any, were not so strong as to hinder her ability to deliberate fairly as a penalty juror. On this basis, the prosecutor could well find her acceptable as a juror.
In his questionnaire, Juror Manuel R. rated himself “[s]trongly in favor” of the death penalty and indicated he would vote “[f]or” the death penalty on the ballot. Asked to explain his general feelings about the death penalty, he wrote, “I have always been in favor of the death penalty [as] a strong deterrent to murder and violent crime. But I never, ever thought that the situation would occur where I may have to assist in the decision to implement it as a sentence.” Asked if he had religious or philosophical scruples against the death penalty, he responded, “To be honest, I don’t know. I think I’d actually have to be in the situation before I’d know for sure.”
On voir dire, after hearing the court’s explanation of the guilt and penalty process, Manuel R. told the court that “the outline you just gave, that clarified a lot,” and he could now say he had no feelings that would prevent him from choosing between death and life without parole. He repeated this theme during questioning by both counsel. When defense counsel asked whether, at the final stage, Manuel R. would be willing to make a penalty judgment without being affected by any religious or philosophical principle, Manuel R. replied, “I think I could. It’s something I’ve—since our original instructions I’ve thought about a lot between then and now, and I think that I could make that decision without being prejudiced or—or tilted one way or the other.”
*1116 Manuel R. further explained that, despite his ambivalence on the questionnaire, he did not actually think he had any “built-in religious or philosophical difference or bias” concerning his ability to consider the death penalty. His uncertain questionnaire answer, he said, “was simply [from] coming for jury duty and being put in this situation” without having considered in advance how he might feel. However, he indicated, in thinking about it since, “I believe I could be objective and . . . consider the evidence and . . . make a decision that I thought was the correct decision without being biased.”
When the prosecutor asked again if Manuel R. could actually impose the death penalty knowing that defendant would be taken to San Quentin and executed, Manuel R. responded, “Yes, I believe so.” He also indicated he could “certainly” vote for death in a case involving primarily circumstantial evidence if, as the court would instruct, such evidence was equal in weight to direct evidence.
In sum, the prosecutor could surmise that Manuel R. strongly favored the death penalty in principle, faced momentary uncertainty about his ability to impose it personally, but, after thinking the matter over, concluded he was willing and able to consider that penalty fairly during penalty deliberations. Thus, the prosecutor could readily assume he was an acceptable capital juror.
Juror Brian S. stated in his questionnaire that he would vote “[f]or” the death penalty on the ballot “[b]ecause the person[’]s life is all but over and making him die a slow life [in prison] would be cruel. That’s why we still shoot horses when they have a broken leg.” He indicated he had no religious or philosophical scruples against the death penalty, and that his philosophical opinion was “[n]eutral.” Asked to describe his general feelings about the death penalty, he stated that if the evidence justified the death penalty, “then I think it must go on with it. I do believe in the death penalty only after all appeals have been exhausted.”
On voir dire, Brian S. generally indicated his willingness to apply the death penalty law as the court would explain it to him. He confirmed, in response to questions from the court, that he supported the death penalty under “the terms permitted.” He explained that, as a correctional officer in both the Montana and federal systems, he had seen prison conditions and had thought about capital punishment throughout his career. His basic view, he said, was “to go with it. The judge is supposed to make the determination and the jury, so I have to accept it.” He amplified the “shoot horses” remark in his questionnaire by saying he saw “no reason why [the death penalty] shouldn’t be carried out,” where warranted, in preference to a lifetime of confinement under poor prison conditions with no hope of release, no goals, and no chance to contribute to society or the prison.
*1117 When asked by the prosecutor what he meant in his questionnaire by rating himself neutral on the death penalty, Brian S. said he believed that “[i]f it warrants the death penalty, if the crime warrants the death penalty, then I think I am for it. And if it didn’t, then I’m against it.” That was why, he added, he had written that it should be imposed only after all appeals were exhausted; he agreed with the prosecutor’s suggestion that he wanted to “[m]ake sure everything was done right.” He insisted his professional relationships with prisoners had not caused him to oppose the death penalty. He agreed he could impose death in a circumstantial-evidence case if such evidence was legally “equal” to direct evidence. And he indicated he would consider, but not prejudge, the propriety of the death penalty where one person was killed to prevent his testimony.
Nothing in these statements suggests Brian S. had reservations about imposing the penalty of death in an appropriate case, as determined by a jury under the terms of the death penalty law and affirmed on postconviction review. The prosecutor had ample grounds to find him acceptable as a capital juror.
Finally, Juror Christian W., in his questionnaire, rated himself “[njeutral” on the death penalty and indicated his views had not changed substantially in recent years, explaining that “I’m not an advocate or proponent of the death penalty.” On the other hand, he reported he had no religious or philosophical reservations, remarking that “[i]f the facts and verdict warrant the death penalty, then so be it.” He also indicated he would vote “[f]or” the death penalty on the ballot, commenting that it was a “strong deterrent” to crime. Describing his general feelings on the subject, he said it “is a very difficult way to punish someone, but, if the facts of a case warrant that action, then it is a part of our judicial system that must be imposed.”
On voir dire, when the court asked Christian W. if he would have difficulty choosing between the two punishments, he said, “On the face of it, no. Basically, my feeling[] is if the crime justifies [the] death penalty, then so be it, and if not—. . . .” In response to questions from defense counsel, he acknowledged that, now faced with possible personal responsibility for choosing between life and death, he realized he might not be as pro death penalty as he had thought. He said he had “relaxed a little bit” on the subject, and now understood his attitude to be “more or less, you know, that people have to have their say in front of the jury more so than . . . prejudging.” Nonetheless, he indicated, he felt he could vote for either punishment.
Asked similarly by the prosecutor if he thought he could “make that vote,” Christian W. answered, “As I sit here today, yes, I do if the facts warrant it.” *1118 He made clear that he could do so in a case supported primarily by circumstantial evidence, and where one person was killed to eliminate him as a witness.
Thus, all the seated jurors expressed death penalty views ranging from truly neutral to moderately favorable. Ultimately all indicated, without reservation, that they could apply the capital sentencing law, accept circumstantial evidence of defendant’s guilt, deliberate fairly on the proper punishment, and choose the death penalty in an appropriate case. By contrast, three of the five excused African-American prospective jurors made, and did not retract, allusions to significant religious, moral, or other qualms that would make it very difficult for them to choose death. A fourth recounted a unique personal experience that might impair his ability to accept circumstantial evidence. The fifth evaded questions about her political stand on the death penalty in a manner that could give the prosecutor pause about her actual ability to deliberate fairly in a capital case.
Certainly no seated juror expressed views so starkly similar to those of the excused prospective jurors as to expose, on the face of a cold record, any pretext in the prosecutor’s stated reasons for the excusáis. Moreover, defendant points to no disparate or trick questioning by the prosecutor, designed to create pretexts for retaining nonminority panelists while excusing those belonging to a minority racial group. (See Miller-El, supra, 545 U.S. 231, 260-263, 265 .) Under these circumstances, we see no basis to overturn the trial court’s determination that the prosecutor’s stated nondiscriminatory reasons for dismissing the five African-American prospective jurors were sincere, and that purposeful discrimination was not established. We therefore reject defendant’s Wheeler/Batson claim.
2. Restriction on voir dire
The juror questionnaire included a question asking what jurors had heard about the case. During pretrial proceedings, defendant’s counsel proposed to modify this question by preceding it with the following statement: “[Defendant,] a former Berkeley Waterfront Commissioner, is accused of attempted murder in connection with the January 31, 1988, beating of University of California Professor Robert Mishell and his wife while in their Berkeley home, [f] He is also accused of murdering Luis Reyna, a Berkeley Waterfront Commissioner and an alleged witness in the Mishell case, on July 18, 1988. Mr. Reyna’s body was found dismembered in the Lafayette hills a short time after his disappearance.”
Another question asked jurors to rate their attitudes towards capital punishment on a scale ranging from strongly in favor to strongly against. The *1119 defense proposed that, after answering this question, jurors be asked to review the facts set forth in the first modification, then state and explain “what change, if any, [those facts might produce] in your philosophical view of the death penalty.”
Counsel argued that, in view of the publicity the case had received, the first modification was relevant to determining whether a motion for change of venue should be filed. Moreover, counsel urged, while the defense was “aware of the court’s concern about any prejudgment of facts,” the second modification was appropriate to ascertain whether the particularly gruesome facts might influence the jurors’ penalty attitudes.
The trial court explained that, as was its usual practice, it would apprise prospective jurors of the general facts by reading aloud, then paraphrasing, the information. Also, the court said, it would allow counsel to voir dire the jurors “as to pretrial publicity in terms of the status of Mr. Mishell and his wife, him being a professor, that the assault occurred in their home, [and] that [defendant and the alleged murder victim Reyna] were Waterfront Commissioners.” However, the court rejected the proposed questionnaire modifications. As to the “issue of dismemberment,” the court explained, questioning prospective jurors about how they might be affected by the “method of killing” would, in effect, be asking them to prejudge the case.
Thus, the court ruled, counsel could examine jurors orally about their ability to choose between life and death if they found true the charges and allegations in the information—i.e., that defendant attempted to murder the Mishells, inflicted great bodily injury on them, and murdered Reyna to eliminate him as a witness in the Mishell case. Moreover, the court indicated, it would allow voir dire “[about] the location of the assault, [and] the status of the [defendant and the victims]; but I will not permit you to go into any of the factual issues, including but not limit[ed] to the dismemberment.”
After the guilt trial, counsel again moved for further voir dire of the jurors concerning their ability to choose between life and death in light of the evidence, particularly the dismemberment evidence, the jury had actually heard. The court denied the motion, noting that, in its view, the defense had conducted a “complete and exhaustive” voir dire. The court indicated that it stood by its pretrial ruling against “arguing or voir diring the facts of the case.”
Defendant now claims the court’s refusal to allow questioning of jurors about whether they would automatically impose death in light of the dismemberment evidence violated his rights under the Sixth, Eighth, and Fourteenth Amendments and analogous provisions of the California Constitution. The contention lacks merit.
*1120 “[T]he trial court has ‘considerable discretion ... to contain voir dire within reasonable limits’ [citations]. This discretion extends to the process of death-qualification voir dire established by Witherspoon v. Illinois (1968) 391 U.S. 510 [ 20 L.Ed.2d 776 , 88 S.Ct. 1770 ] and Wainwright v. Witt [(1985)] 469 U.S. 412 [ 83 L.Ed.2d 841 , 105 S.Ct. 844 ]. [Citation.] Limitations on voir dire are subject to review for abuse of discretion. [Citation.]” (People v. Jenkins (2000) 22 Cal.4th 900, 990 [ 95 Cal.Rptr.2d 377 , 997 P.2d 1044 ] (Jenkins).)
Moreover, as we have said on many occasions, “[defendant ha[s] no right to ask specific questions that invite[] prospective jurors to prejudge the penalty issue based on a summary of the aggravating and mitigating evidence (People v. Cash (2002) 28 Cal.4th 703, 721-722 [ 122 Cal.Rptr.2d 545 , 50 P.3d 332 ]), to educate the jury as to the facts of the case (People v. Sanders (1995) 11 Cal.4th 475, 538-539 [ 46 Cal.Rptr.2d 751 , 905 P.2d 420 ]), or to instruct the jury in matters of law (People v. Ashmus (1991) 54 Cal.3d 932, 959 [ 2 Cal.Rptr.2d 112 , 820 P.2d 214 ]).” (People v. Burgener (2003) 29 Cal.4th 833, 865 [ 129 Cal.Rptr.2d 747 , 62 P.3d 1 ]; see also, e.g., People v. Mason (1991) 52 Cal.3d 909, 939-941 [ 277 Cal.Rptr. 166 , 802 P.2d 950 ] (Mason).)
We have explained that “[t]he Witherspoon-Witt . . . voir dire seeks to determine only the views of the prospective jurors about capital punishment in the abstract .... The inquiry is directed to whether, without knowing the specifics of the case, the juror has an ‘open mind’ on the penalty determination.” (People v. Clark (1990) 50 Cal.3d 583, 597 [ 268 Cal.Rptr. 399 , 789 P.2d 127 ], citations omitted.) In Mason , alluding to the facts there presented, we said that “[m]any persons whose general neutrality toward capital punishment qualifies them to sit as jurors might, if presented with the gruesome details of a multiple-murder case, conclude that they would likely, if not automatically, vote for death.” ( Mason, supra, 52 Cal.3d 909, 940 ; see also People v. Sanders, supra, 11 Cal.4th 475, 539 .)
On the other hand, we have indicated that because “ ‘[a] prospective juror who would invariably vote either for or against the death penalty because of one or more circumstances likely to be present in the case being tried, without regard to the strength of aggravating and mitigating circumstances, is . . . subject to challenge for cause,’ ” the death qualification process “must probe ‘prospective jurors’ death penalty views as applied to the general facts of the case, whether or not those facts [have] been expressly charged.’ ” (People v. Earp (1999) 20 Cal.4th 826, 853 [ 85 Cal.Rptr.2d 857 , 978 P.2d 15 ] (Earp).)
Reconciling these competing principles dictates that “death-qualification voir dire must avoid two extremes. On the one hand, it must not *1121 be so abstract that it fails to identify those jurors whose death penalty views would prevent or substantially impair the performance of their duties as jurors in the case being tried. On the other hand, it must not be so specific that it requires the prospective jurors to prejudge the penalty issue based on a summary of the mitigating and aggravating evidence likely to be presented. [Citation.] In deciding where to strike the balance in a particular case, trial courts have considerable discretion. [Citations.]” (People v. Cash, supra, 28 Cal.4th 703, 721-722 (Cash).)
In Cash—our only reversal of a death penalty judgment for failure to allow sufficient inquiry into jurors’ death penalty attitudes about particular facts—we stressed that the court had refused to allow defense counsel to ask prospective jurors about “a general fact or circumstance . . . that could cause some jurors invariably to vote for the death penalty, regardless of the strength of the mitigating circumstances.” ( Cash, supra, 28 Cal.4th 703, 721 , italics added.) There, we concluded, the fact that the defendant had previously murdered his grandparents was “likely to be of great significance to prospective jurors.” (Ibid.)
In Roldan, supra, 35 Cal.4th 646 , the trial evidence showed that the defendant and an accomplice approached swap meet employees who were collecting and bundling the day’s cash receipts. The defendant, brandishing a firearm, ordered the victims not to “fucking move.” When one potential victim tried to flee, the defendant stated, “I said don’t anybody fucking move.” He then pointed his weapon at the fleeing victim and pulled the trigger, but the gun misfired. After taking bags of money, the robbers themselves fled, but another swap meet employee, one Teal, chased, caught, and held the accomplice. The defendant reappeared and told Teal he would shoot unless Teal released the accomplice. Teal obeyed the order, threw up his hands, and froze. The defendant thereupon fired several rapid shots into Teal’s chest and arm, wounding him fatally.
The trial court itself undertook the death qualification of prospective jurors. It asked each panelist whether he or she would change any questionnaire answer, then posed four general questions about the panelist’s ability to deliberate fairly in a death penalty case. Defense counsel requested that the court inquire further into the questionnaire and voir dire answers of two persons who ultimately sat on the jury. However, counsel never specified what additional questions and information he desired. The court denied the request.
On appeal, we rejected the defendant’s claim that the court thereby erred. We first observed that the requests for supplementary voir dire were not sufficiently specific as to purpose or subject matter. We also dismissed the *1122 defendant’s reliance on Cash . There, we noted, the defense had been denied the opportunity to probe juror attitudes toward the defendant’s prior murder of his grandparents—quoting, in added italics, Cash’s statement that this fact “ ‘could cause some jurors invariably to vote for the death penalty, regardless of the strength of the mitigating circumstances’ ” ( Roldan, supra, 35 Cal.4th 646, 694 .)
By contrast, we said in Roldan , “defendant identifies no fact about his case that is comparable in relevance to the prior murders in . . . Cash . . . , facts that could potentially have prejudiced even a reasonable juror. There were in this case no prior murders, no sensational sex crimes, no child victims,no torture.” ( Roldan, supra, 35 Cal.4th 646, 694 , italics added, citation omitted.) Under these circumstances, we concluded, the trial court did not abuse its discretion in disallowing further questioning.
Similarly here, the court did not abuse its broad discretion. We note at the outset that the defense was allowed to explore with prospective jurors several of the specific circumstances of the case. These included the Mishells’ status as members of the University of California academic community, the prosecution’s claims that defendant attempted to murder the Mishells and inflicted great bodily injury on them, the fact that defendant and murder victim Reyna were both members of the Berkeley Waterfront Commission, and the prosecution’s allegation that defendant killed Reyna to eliminate him as a witness in the Mishell assault case. In addition, defendant’s counsel were permitted to voir dire prospective jurors about what they had heard, seen, read, and remembered about the case. In several instances, such inquiry touched on the dismemberment issue.
The sole fact as to which the defense unsuccessfully sought additional inquiry—the condition of the adult murder victim’s body when found—was not one that could cause a reasonable juror—i.e., one whose death penalty attitudes otherwise qualified him or her to sit on a capital jury—invariably to vote for death, regardless of the strength of the mitigating evidence. No child victim, prior murder, or sexual implications were involved. Nor, to the extent juror emotions might thereby be aroused, would there be evidence that Reyna was dismembered while alive. 6
7 The questions defendant wanted to ask did not indicate otherwise; indeed, they mentioned no particular cause for the condition in which Reyna’s body was found.
*1123 A normal juror could not fail to be affected by the condition in which Reyna’s body was found, as by any brutal circumstance of a criminal homicide. But the fact of dismemberment, in and of itself, does not appear so potentially inflammatory as to transform an otherwise death-qualified juror into one who could not deliberate fairly on the issue of penalty.
Moreover, insofar as the defense sought to restrict examination to the abstract issue of dismemberment, the question posed was not entirely fair in the context of this case. As jurors would later learn, the circumstances surrounding the dismemberment of Reyna’s body were hotly disputed. The prosecution urged that defendant used dismemberment to commit, or cover up, a coldblooded murder. But defendant’s version was that after pulling a gun on defendant, Reyna died accidentally during a struggle for the weapon, and that defendant, acting in a panic, dismembered Reyna’s body only to delay its discovery and identification while he sought legal help. Jurors’ attitudes toward the dismemberment thus might well be affected by which version they believed.
Accordingly, were the defense allowed to broach the dismemberment issue in voir dire, the prosecutor could strongly argue he should be permitted to explore in more detail how prospective jurors might react to all the anticipated evidence on that issue. This, in turn, could have led to a lengthy examination of prospective jurors about specific details of the case.
Given the trial court’s duty to restrict death-qualification voir dire within reasonable bounds, and its broad latitude in carrying out that function, we must therefore conclude the court below did not abuse its discretion in refusing the inquiry defendant sought. No error occurred.
B. Other pretrial or nontrial issues
1. Denial of change of venue
Prior to jury selection, defendant moved for a change of venue. Attached to the motion were exhibits consisting of numerous articles from Bay Area newspapers reporting on the Mishell and Reyna cases and defendant’s status as a suspect and accused in both. At a hearing on January 7, 1993, two videocassettes were also submitted. These recorded local television coverage of the cases, as well as a segment about them on the national television show America’s Most Wanted, which aired on November 20, 1988, while defendant was a fugitive.
The court denied the motion. It reasoned as follows: The crimes, including a capital murder, were serious—a factor weighing in favor of a venue *1124 change—but they were no more so than those increasingly common in a modem urban society. On the other hand, the population of Alameda County, from which the venire would be drawn, was “roughly 1,300,000,” indicating that a fair trial could be had. Given the county’s size and diversity, the community status of the victims and defendant was not particularly significant; the victims’ prominence, if any, was localized, and defendant, himself a city official, was not of low status compared to them. The case had drawn considerable publicity, but most media coverage had ended with defendant’s preliminary hearing, more than two and one-half years earlier. In the court’s experience, a fair Alameda County jury could be empaneled in a case of this kind.
However, the court made clear that it would permit counsel to voir dire prospective jurors about their knowledge of the case, and their ability to be fair. “If I have any remote feeling at all that they could not base their decision solely, exclusively, peculiarly upon the information in the trial, I would excuse that juror. [j[] If we reach the point that I feel a venue issue will arise, I will permit counsel the opportunity to renew their motion.” (Italics added.) Defendant never did so.
Nonetheless, defendant urges on appeal that his venue motion was erroneously denied, and that the error resulted in an unfair trial, thus violating his rights under the Fifth, Sixth, Eighth, and Fourteenth Amendments. As the People observe, the claim is forfeited, because defendant never renewed his motion after voir dire was complete, despite the court’s explicit representation that it would entertain such a renewal. “ ‘[Wjhen a trial court initially denies a change of venue motion without prejudice, a defendant must renew the motion after voir dire of the jury to preserve the issue for appeal.’ ” (People v. Hart (1999) 20 Cal.4th 546, 598 [ 85 Cal.Rptr.2d 132 , 976 P.2d 683 ] (Hart), quoting People v. Williams (1997) 16 Cal.4th 635, 654-655 [ 66 Cal.Rptr.2d 573 , 941 P.2d 752 ].)
In any event, the contention fails on the merits. “The applicable law is settled. ‘A change in venue must be granted when the defendant shows a reasonable likelihood that a fair trial cannot otherwise be had. The trial court typically considers the nature and gravity of the offense, the size of the community, the status of the defendant and the victim, and the nature and extent of the publicity. On appeal, the defendant must show that denial of the venue motion was error (i.e., that it was reasonably likely a fair trial could not be had at the time the motion was made) and that the error was prejudicial (i.e., that it [is] reasonably likely a fair trial was not in fact had). We will sustain the court’s determination of the relevant facts where supported by substantial evidence. We independently review the court’s ultimate determination of the reasonable likelihood of an unfair trial.’ ” ( Hart, supra, *1125 20 Cal.4th 546, 598 , quoting People v. Pride (1992) 3 Cal.4th 195, 224 [ 10 Cal.Rptr.2d 636 , 833 P.2d 643 ] (Pride).)
The trial court’s ruling on the venue motion was not erroneous when made. “The charged offenses were serious and had attracted the attention of the media. ‘However, every capital case involves a serious charge. While this factor adds weight to a motion to change venue, it does not in itself require a change.’ [Citation.]” ( Hart, supra, 20 Cal.4th 546, 598 [rape-sodomy murder of 15-year-old high school student; rape, sodomy, and oral copulation of murder victim’s 15-year-old companion]; see Welch, supra, 20 Cal.4th 701, 744 [home invasion; murder of six occupants as they slept].) Defendant claims the unusually gruesome and sensational nature of the instant crimes warranted moving the case. However, the facts were not so extreme as to mandate such a step on that basis alone.
The parties agree with the court below that, at the time of defendant’s trial, the population of Alameda County, a metropolitan area, well exceeded one million persons. (See Welch, supra, 20 Cal.4th 701, 744 .) As the trial court suggested, the county’s size and diversity weigh strongly against a change of venue. We routinely have upheld refusals to change venue from much smaller counties. (E.g., People v. Vieira (2005) 35 Cal.4th 264, 280 [ 25 Cal.Rptr.3d 337 , 106 P.3d 990 ] (Vieira) [1990 population of Stanislaus County (approximately 370,000) did not weigh in favor of venue change]; Hart, supra, 20 Cal.4th 546, 598-599 [1987 population of Riverside County (approaching 900.000) did not weigh in favor of venue change]; People v. Webb (1993) 6 Cal.4th 494, 514 [ 24 Cal.Rptr.2d 779 , 862 P.2d 779 ] (Webb) [San Luis Obispo County (population almost 200,000 at time of trial) was “moderately sized county,” but not “relatively isolated and small” of kind where change-of-venue motions have been granted]; Pride, supra, 3 Cal.4th 195, 224 [size and metropolitan nature of Sacramento County (estimated population above 875.000) “weighed heavily against a change of venue”]; People v. Howard (1992) 1 Cal.4th 1132, 1167 [ 5 Cal.Rptr.2d 268 , 824 P.2d 1315 ] [Tulare County, with 253,000 inhabitants at time of trial, was “not a small community”; “most recent successful venue motions have involved communities with substantially smaller populations”].)
Defendant focuses on the size of the City of Berkeley (1990 population 102,724). However, he overlooks that the jury venire was drawn at random from the entire county. As indicated above, the population factor weighed against the need for a change of venue.
Defendant claims the victims’ prominent status, as well as his own, tipped the balance toward a change of venue. The Mishells, he notes, were respected members of the university academic community, and Reyna was a city *1126 official. That defendant himself held a public position, he suggests, also worked against him, because jurors would find it unconscionable that one afforded such benefits and privileges by the community would commit these heinous crimes.
However, there is no evidence the Mishells had wide prominence in the relevant community. Any public prominence or notoriety Reyna and defendant had attained was confined to their own municipality—as noted above, a relatively small portion of the area from which the venire would be drawn. Moreover, defendant’s community status was essentially equal to that of his victims. He was not a friendless newcomer or transient, or a despised outcast, accused of murdering a victim with “long and extensive ties to the community.” (Pe ople v. Coffman and Marlow (2004) 34 Cal.4th 1, 46 [ 17 Cal.Rptr.3d 710 , 96 P.3d 30 ] (Coffman and Marlow); see Martinez v. Superior Court (1981) 29 Cal.3d 574, 584-585 [ 174 Cal.Rptr. 701 , 629 P.2d 502 ]; Frazier v. Superior Court (1971) 5 Cal.3d 287, 293-294 [ 95 Cal.Rptr. 798 , 486 P.2d 694 ].) Thus, as the trial court indicated, this factor has little influence on whether a change of venue was appropriate.
Defendant stresses the degree of media publicity. There was considerable newspaper coverage, and some local television coverage, of the assaults on the Mishells, the injuries they suffered, the disappearance of Reyna, his family’s reaction, the discovery and identification of his remains, defendant’s status as a suspect in both cases, his own disappearance when his arrest was imminent, and the progress of the criminal charges once he was apprehended. While defendant was a fugitive, America’s Most Wanted devoted a segment to the case, including staged reenactments of the Mishell and Reyna crimes.
But while the local coverage disclosed the brutal details of the crimes, and elicited their effects on the victims and their families, the reporting was essentially factual, not sensationalized. The vast bulk of the local coverage was clustered around the times of significant events in the case—early 1988 for the Mishell assaults and late summer 1988 for the murder of Reyna. The most recent substantial coverage had occurred during defendant’s preliminary hearing, in April and May of 1990, over two and one-half years before the motion to change venue was made, heard, and denied. 8
The essentially neutral nature of the local reporting, plus the fact that, for the most part, it occurred well before defendant’s trial, weighs strongly against a change of venue. ( Hart, supra, 20 Cal.4th 546, 600 ; see also, e.g., *1127 People v. Hayes (1999) 21 Cal.4th 1211, 1251 [ 91 Cal.Rptr.2d 211 , 989 P.2d 645 ] [headless and handless bodies found; almost three-year lapse in publicity]; People v. Dennis (1998) 17 Cal.4th 468, 523-524 [ 71 Cal.Rptr.2d 680 , 950 P.2d 1035 ] (Dennis) [bulk of publicity over three years old]; Pride, supra, 3 Cal.4th 195, 225 [main publicity occurred near time of crime; two-year hiatus before trial weighs heavily against change of venue]; People v. Edwards (1991) 54 Cal.3d 787, 808 [ 1 Cal.Rptr.2d 696 , 819 P.2d 436 ] [16-month lapse between crime-engendered publicity and trial weighs heavily against change of venue]; People v. Sully (1991) 53 Cal.3d 1195, 1237 [ 283 Cal.Rptr. 144 , 812 P.2d 163 ] (Sully) [dissipation of publicity in months before trial weighs against change of venue].)
The America’s Most Wanted broadcast took a less neutral approach. The program portrayed defendant in an unflattering light, as a philanderer, social climber and manipulator, and it provided staged reenactments in which he was identified as the suspected peipetrator. But this broadcast aired on November 20, 1988, over four years before the trial. Moreover, it was seen nationally, so a change of venue could not be expected to dilute its prejudicial effect.
In sum, the circumstances apparent when the venue issue was considered did not warrant a ruling that a change of venue was necessary. The trial court’s refusal to grant such relief was not erroneous when made.
Nor, in hindsight, did retention of the case in Alameda County produce an unfair trial. As the People indicate, answers to the juror questionnaires indicated that the vast majority of prospective jurors did not remember hearing anything about the case. Included in this group were six members of the final jury. Of the six sitting jurors who had heard of the case, two recalled no details. The remaining four expressed no difficulty in judging the case fairly.
Jurors need not be totally ignorant of the facts and issues involved. It is sufficient if the juror can lay aside his impressions or opinions and render a verdict based on the evidence adduced in court. (Irvin v. Dowd (1961) 366 U.S. 717, 722-723 [ 6 L.Ed.2d 751 , 81 S.Ct. 1639 ]; People v. Fauber (1992) 2 Cal.4th 792, 819 [ 9 Cal.Rptr.2d 24 , 831 P.2d 249 ]; People v. Ainsworth (1988) 45 Cal.3d 984, 1002 [ 248 Cal.Rptr. 568 , 755 P.2d 1017 ]; People v. Harris (1981) 28 Cal.3d 935, 949-950 [ 171 Cal.Rptr. 679 , 623 P.2d 240 ].)
Defendant did not challenge any of the sitting jurors for cause. Moreover, he failed to pose peremptory challenges against any of them, even though he ultimately exhausted only 16 of his 20 allotted challenges, 12 on the regular *1128 panel and four on the alternates. This is a strong indication that the jurors were fair, and that the defense so concluded. ( Dennis, supra, 17 Cal.4th 468, 524 ; People v. Price (1991) 1 Cal.4th 324, 393 [ 3 Cal.Rptr.2d 106 , 821 P.2d 610 ] (Price); People v. Daniels (1991) 52 Cal.3d 815, 853-854 [ 277 Cal.Rptr. 122 , 802 P.2d 906 ] [indicating that this factor can be decisive].) 9 On this record, we cannot say the denial of a venue change led to an unfair trial. No basis for reversal on this ground is shown.
2. Denial of severance
The trial court denied defendant’s pretrial motion to sever the attempted murder counts involving the Mishells from the count charging the murder of Reyna. Defendant claims the trial court thereby erred. The error, he asserts, violated his due process, fair trial, jury trial, equal protection, and reliable adjudication rights under the Fifth, Sixth, Eighth, and Fourteenth Amendments, and analogous provisions of the California Constitution. However, no error occurred.
As defendant concedes, the Mishell and Reyna matters were statutorily eligible for joinder as offenses of the same class. (§ 954; see, e.g., People v. Miller (1990) 50 Cal.3d 954, 987 [ 269 Cal.Rptr. 492 , 790 P.2d 1289 ] [murder and attempted murder are both assaultive crimes against the person, and as such are “ ‘offenses of the same class’ ” expressly made joinable by § 954].) Trial courts nonetheless have statutory discretion, in the interests of justice, to sever otherwise joinable counts where joinder would unfairly prejudice the defendant. (§ 954.)
We review the denial of severance under a deferential abuse of discretion standard. (People v. Mayfield (1997) 14 Cal.4th 668, 720 [ 60 Cal.Rptr.2d 1 , 928 P.2d 485 ] (Mayfield).) Where the statutory requirements for joinder are met, the defendant must make a clear showing of prejudice to demonstrate that the trial court abused its discretion. (People v. Stitely (2005) 35 Cal.4th 514, 531 [ 26 Cal.Rptr.3d 1 , 108 P.3d 182 ] (Stitely); Mayfield, supra, at p. 720; see also People v. Mendoza (2000) 24 Cal.4th 130, 160 [ 99 Cal.Rptr.2d 485 , 6 P.3d 150 ] (Mendoza).)
In assessing potential prejudice, we examine the record before the trial court at the time of its ruling. The relevant factors are whether (1) the evidence would be cross-admissible in separate trials, (2) some charges are *1129 unusually likely to inflame the jury against the defendant, (3) a weak case has been joined with a strong case, or with another weak case, so that the total evidence may unfairly alter the outcome on some or all charges, and (4) one of the charges is a capital offense, or joinder of the charges converts the matter into a capital case. (E.g., Mendoza, supra, 24 Cal.4th 130, 161 ; see also People v. Marshall (1997) 15 Cal.4th 1, 27 [ 61 Cal.Rptr.2d 84 , 931 P.2d 262 ]; Price, supra, 1 Cal.4th 324, 388 .)
Cross-admissibility ordinarily dispels any inference of prejudice. ( Stitely, supra, 35 Cal.4th 514, 531-532 ; People v. Bradford (1997) 15 Cal.4th 1229, 1315-1316 [ 65 Cal.Rptr.2d 145 , 939 P.2d 259 ] (Bradford); Mayfield, supra, 14 Cal.4th 668, 721 ; People v. Sandoval (1992) 4 Cal.4th 155, 173 [ 14 Cal.Rptr.2d 342 , 841 P.2d 862 ] (Sandoval); People v. Balderas (1985) 41 Cal.3d 144, 171-172 [ 222 Cal.Rptr. 184 , 711 P.2d 480 ] (Balderas).) Here, as the trial court ruled, evidence of the Mishell assaults would have been cross-admissible in a separate trial of the murder charge, in order to prove defendant’s motive for killing Reyna, and to help establish the special circumstance that Reyna was murdered to eliminate him as a witness in the Mishell case. Moreover, it is enough that the assaults were admissible in the murder case; “two-way” cross-admissibility is not required. (E.g., People v. Cunningham (2001) 25 Cal.4th 926, 986 [ 108 Cal.Rptr.2d 291 , 25 P.3d 519 ]; People v. Cummings (1993) 4 Cal.4th 1233, 1284 [ 18 Cal.Rptr.2d 796 , 850 P.2d 1 ] (Cummings).) 10
Defendant urges that because motive is not a disputed element of murder, motive evidence was not cross-admissible on the murder charge at issue here. However, we have frequently held that evidence of other offenses is cross-admissible to prove motive ( Jenkins, supra, 22 Cal.4th 900, 948 ; see also People v. Arias (1996) 13 Cal.4th 92, 127-128 [ 51 Cal.Rptr.2d 770 , 923 P.2d 980 ] (Arias); Cummings, supra, 4 Cal.4th 1233, 1284; Price, supra, 1 Cal.4th 324, 388 ), and in particular a motive to kill to prevent a witness from testifying (Jenkins, supra, at p. 948 ). Moreover, defendant overlooks that his motive to eliminate Reyna as a witness was a disputed element of the witness-killing special circumstance. (§ 190.2, subd. (a)(10).)
Defendant argues that, where the issue is identity, other-crimes evidence is admissible (see Evid. Code, § 1101) only if it demonstrates highly similar and distinctive common marks suggesting a common perpetrator. But common marks are not crucial where the mere fact that the defendant committed a *1130 prior offense gives rise to an inference that he had a motive to commit a later one. (People v. Pertsoni (1985) 172 Cal.App.3d 369, 375 [ 218 Cal.Rptr. 350 ]; see Lewis and Oliver, supra, 39 Cal.4th 970, 1001 ; Stitely, supra, 35 Cal.4th 514 , 532; People v. Barnett (1998) 17 Cal.4th 1044, 1120 [ 74 Cal.Rptr.2d 121 , 954 P.2d 384 ].)
Defendant suggests that, even if the fact of defendant’s responsibility for the Mishell assaults would be cross-admissible in the Reyna murder case, evidence of the extent of the Mishells’ injuries was not necessary to prove the motive for killing Reyna, and should have been excluded as more prejudicial than probative. (See Evid. Code, § 352.) However, as the People observe, the gravity of the attack on the Mishells, and the consequent seriousness of the criminal liability defendant faced in that case, was relevant evidence of the strength of defendant’s incentive to kill Reyna, the man to whom he had confessed. Hence, the trial court did not abuse its discretion by ruling that, in a separate murder trial, it would have admitted this evidence over an Evidence Code section 352 objection.
Given the clear cross-admissibility of the Mishell assault evidence in the Reyna murder case, no other factor indicates the cases should have been severed. The Reyna charges carried the death penalty, but because the Mishell evidence would have been admissible to support those charges regardless of joinder, joinder produced no additional prejudice in favor of capital punishment. Moreover, contrary to defendant’s assertion, joinder did not serve to bolster a weak case or cases. Evidence of defendant’s responsibility for the Mishell assaults was virtually conclusive, and the evidence that he murdered Reyna, though circumstantial, was extremely strong. 11 Accordingly, the denial of severance did not constitute an abuse of the trial court’s discretion.
For all these reasons, we similarly conclude, on appeal, that the trial court’s ruling, proper when made, did not produce, in hindsight, “ ‘a gross unfairness . . . such as to deprive the defendant of a fair trial or due process of law.’ [Citation.]” ( Sandoval, supra, 4 Cal.4th 155, 174, quoting People v. Johnson (1988) 47 Cal.3d 576, 590 [ 253 Cal.Rptr. 710 , 764 P.2d 1087 ]; see Stitely, supra, 35 Cal.4th 514, 531 .) Defendant’s severance claim must be rejected.
*1131 3. Alleged discovery violation
On Monday, April 12, 1993, after defendant’s testimony had commenced and the jury had been dismissed for the day, defense counsel announced that, on the previous Friday, his office had obtained letters sent in 1989 by defendant’s sister Terri. Zambrano (Terri) to a deputy sheriff at the North County jail, where defendant was housed pending trial, and to the prosecutor himself.
The letters were written in an agitated style, with many words and phrases underlined and capitalized for emphasis. They expressed Terri’s fear of defendant and asked that she be notified immediately if his release was imminent. According to the letters, Terri had obtained a restraining order against defendant after he tried to rape and kill her, and he had also tried to kill other members of the Zambrano family. The letter to the prosecutor further stated that defendant had been “bom insane” (capitalization omitted), that the condition was hereditary, that he was “incurable and untreatable” (capitalization omitted), that prison would not punish him or improve his condition, and that he “[would] kill again” (capitalization, underscoring, & multiple exclamation points omitted) if given life without parole.
Defense counsel urged that the People’s failure to disclose the letter to the prosecutor contravened Brady v. Maryland (1963) 373 U.S. 83 [ 10 L.Ed.2d 215 , 83 S.Ct. 1194 ] (Brady). Counsel insisted the revelation of defendant’s mental problems was favorable and material within the meaning of Brady , because it might have spurred an investigation into possible mental defenses. That strategy was now foreclosed, counsel urged, because the defense had already put defendant on the stand, and Terri had died since the letter was written and sent. On this basis, counsel moved for a mistrial.
The prosecutor responded as follows: He had not seen, and did not know of, the letter sent to the jail. He had received the letter addressed to him, but placed little weight on it because of his serious doubts about the author’s state of mind. In any event, Terri’s letter was the kind of material he would normally include in discovery, and “[i]f that was not turned over, then it was an oversight. I turned everything that I have over to them [or] attempted to.”
The prosecutor noted that “[t]here is still remaining alive another sister . . . that the defense hasn’t spoken with I’ve been told and also [a] brother Finally, the prosecutor indicated, “I think [defense] counsel will agree that on a couple of occasions I have asked them or invited them to go through all the files that I’ve got to make sure that everything was turned over.”
The court observed that basing an insanity defense on the letter seemed somewhat of a stretch, while a diminished capacity defense was contradicted *1132 by defendant’s testimony that he did not intend to kill Luis Reyna. On this basis, the mistrial motion was denied. However, the court noted, the defense could submit the letter to a psychiatrist for any help it might be at the penalty phase. The court also admonished that the prosecutor could not use the letter to cross-examine defendant.
On appeal, defendant contends the prosecutor’s failure to disclose the letters was prejudicial misconduct in violation of both the state reciprocal discovery statute (§ 1054 et seq.), and the federal constitutional obligation, under Brady , not to suppress evidence materially favorable to the defense. We reject the claim. 12
The federal due process clause prohibits the prosecution from suppressing evidence materially favorable to the accused. The duty of disclosure exists regardless of good or bad faith, and regardless of whether the defense has requested the materials. (United States v. Agurs (1976) 427 U.S. 97, 107 [ 49 L.Ed.2d 342 , 96 S.Ct. 2392 ]; Brady, supra, 373 U.S. 83, 87 .) The obligation is not limited to evidence the prosecutor’s office itself actually knows of or possesses, but includes “evidence known to the others acting on the government’s behalf in the case, including the police.” (Kyles v. Whitley (1995) 514 U.S. 419, 437 [ 131 L.Ed.2d 490 , 115 S.Ct. 1555 ] (Kyles).)
For Brady purposes, evidence is favorable if it helps the defense or hurts the prosecution, as by impeaching a prosecution witness. (United States v. Bagley (1985) 473 U.S. 667, 676 [ 87 L.Ed.2d 481 , 105 S.Ct. 3375 ]; see In re Sassounian (1995) 9 Cal.4th 535, 544 [ 37 Cal.Rptr.2d 446 , 887 P.2d 527 ].) Evidence is material if there is a reasonable probability its disclosure would have altered the trial result. (E.g., Banks v. Dretke (2004) 540 U.S. 668, 699 [ 157 L.Ed.2d 1166 , 124 S.Ct. 1256 ].) Materiality includes consideration of the effect of the nondisclosure on defense investigations and trial strategies. (Bagley, supra, at pp. 682-683 ; see In re Brown (1998) 17 Cal.4th 873, 887 *1133 [ 72 Cal.Rptr.2d 698 , 952 P.2d 715 ] (Brown).) Because a constitutional violation occurs only if the suppressed evidence was material by these standards, a finding that Brady was not satisfied is reversible without need for further harmless-error review. ( Kyles, supra, 514 U.S. 419, 435 .)
As indicated above, the reciprocal discovery statute independently requires the prosecution to disclose to the defense, in advance of trial or as soon as discovered, certain categories of evidence “in the possession of the prosecuting attorney or [known by] the prosecuting attorney ... to be in the possession of the investigating agencies.” (§ 1054.1.) Evidence subject to disclosure includes “[a]ll relevant real evidence seized or obtained as a part of the investigation of the offenses charged” (id., subd. (c)) and “[a]ny exculpatory evidence” (id., subd. (e)). Absent good cause, such evidence must be disclosed at least 30 days before trial, or immediately if discovered or obtained within 30 days of trial. (§ 1054.7.)
It is clear the prosecutor committed no lapse, constitutional or statutory, with respect to Terri’s letter to the deputy sheriff. The prosecutor represented, without contradiction, that his office did not possess that letter and that he was unaware of its existence elsewhere. Hence, he had no statutory duty to disclose it. (§ 1054.1.)
Moreover, the record does not show the sheriff’s office was an agency subject to the statutory or constitutional duty of disclosure. So far as appears, the sheriff was only defendant’s jailer, and was not involved in the investigation or prosecution of the charges against him.
Under Brady , the prosecutor’s duty extends to evidence “known to the others acting on the government’s behalf’ ( Kyles, supra, 514 U.S. 419, 437 ), “[b]ut the prosecution cannot reasonably be held responsible for evidence in the possession of all government agencies, including those not involved in the investigation or prosecution of the case. . . . ‘[information possessed by an agency that has no connection to the investigation or prosecution of the criminal charge against the defendant is not possessed by the prosecution team, and the prosecutor does not have the duty to search for or to disclose such material.’ [Citation.]” (In re Steele (2004) 32 Cal.4th 682, 697 [ 10 Cal.Rptr.3d 536 , 85 P.3d 444 ] (Steele)’, see also Brown, supra, 17 Cal.4th 873, 879 [Brady duty concerns evidence possessed by the “ ‘ “ ‘prosecution team,’ ” ’ ” which includes “ ‘ “both investigative and prosecutorial personnel” ’ ”].)
Similarly, the reciprocal discovery statute refers only to evidence possessed by the prosecutor’s office and “the investigating agencies.” (§ 1054.1.) There is no reason to assume the quoted statutory phrase assigns the prosecutor a *1134 broader duty to discover and disclose evidence in the hands of other agencies than do Brady and its progeny. Accordingly, the letter to the sheriff’s deputy was not within constitutional or statutory disclosure requirements.
Finally, nothing in the letter to the deputy was remotely favorable or material to the defense. Defendant does not seriously argue otherwise. The letter did not allude to defendant’s mental condition; it simply represented that he is a violent person who attacked his own family members in the past and would do so again if free from incarceration. Hence, this letter was not subject to disclosure under either Brady or the exculpatory-evidence prong of the discovery statute.
Nor did the prosecutor violate disclosure duties, constitutional or statutory, with respect to the letter sent to him. In the first place, while he conceded he might have neglected to “tum[] over” this item, he nonetheless agreed the letter was in his possession, and he pointed out that he had invited defense counsel “on a couple of occasions ... to go through all the files that I’ve got to make sure that everything was turned over.”
Defense counsel neither denied these invitations were made nor asserted they came too late. He did not indicate that a timely examination of the prosecutor’s files had failed to reveal the letter. Nor did he suggest the files had been made available under circumstances that rendered examination impracticable or unfairly oppressive.
“Although the prosecution may not withhold favorable and material evidence from the defense, neither does it have the duty to conduct the defendant’s investigation for him. [Citation.] If the material evidence is in a defendant’s possession or is available to a defendant through the exercise of due diligence, then ... the defendant has all that is necessary to ensure a fair trial .. . .” (People v. Salazar (2005) 35 Cal.4th 1031, 1048-1049 [ 29 Cal.Rptr.3d 16 , 112 P.3d 14 ], italics added; see also People v. Morrison (2004) 34 Cal.4th 698, 715 [ 21 Cal.Rptr.3d 682 , 101 P.3d 568 ].)
For this reason, as the People observe, the prosecutor’s Brady obligation may, under proper circumstances, be satisfied by an “open file” policy, under which defense counsel are free to examine all materials regarding the case that are in the prosecutor’s possession. (See Strickler v. Greene (1999) 527 U.S. 263, 283, fn. 23 [ 144 L.Ed.2d 286 , 119 S.Ct. 1936 ]; see also, e.g., U.S. v. Morales-Rodriguez (1st Cir. 2006) 467 F.3d 1, 15 ; U.S. v. Beers (10th Cir. 1999) 189 F.3d 1297, 1304 .) Of course, if the prosecutor relies on such a policy to comply with Brady , the defense may assume his files contain all the evidence he is obligated to share. (Strickler, supra, at p. 283, fn. 23 .) Concerns might also arise if the prosecutor used the policy to impose impracticable or unduly oppressive self-discovery burdens on the defense.
*1135 But, for reasons detailed above, those concerns are not raised by this record. For all that appears, the letter was in the prosecutor’s files, and would have been revealed by a timely, practicable examination of those files pursuant to the prosecutor’s multiple invitations. Accordingly, defendant fails to demonstrate a Brady violation. Because we see no reason to assume the reciprocal discovery statute imposed greater burdens on the prosecutor, we reach a similar conclusion as to defendant’s claim of a statutory violation.
Finally, we are not persuaded that Terri’s letter to the prosecutor was material for purposes of Brady , or that any failure to disclose it was prejudicial for purposes of state law. 13 Defense counsel conceded the letter’s only value would have been ,to spur an investigation of defendant’s mental problems. Yet the claim that nondisclosure of the letter may have denied defendant a chance to investigate and present successful mental defenses is speculative and stretches credulity.
Given the convincing evidence that defendant had savagely assaulted the Mishells, and had dismembered Reyna’s body after killing him, it is difficult to imagine that a mental-condition strategy did not otherwise occur to counsel. To the extent family information was relevant, counsel had ample opportunity, on their own initiative, to obtain it. Though the defense had already implemented its guilt phase strategy, and Terri apparently had died, by the time the “bom insane” letter was revealed, there seems no reason why this information was not available earlier, from Terri or other family members, as the result of a reasonably diligent defense investigation.
Moreover, the letter’s exaggerated, even hysterical, style rendered its credibility suspect. Indeed, any notion that the defense believed the letter provided credible new information about defendant’s mental condition is belied by the fact that, although mental issues would have been independently relevant at the penalty phase (see § 190.3, factors (d), (h), (k)), and although the court specifically told counsel they could present the letter to a psychiatrist for use on the issue of penalty, counsel sought no penalty phase continuance to explore the issues raised by the letter. And the defense presented no mental-condition evidence at the penalty phase.
Most fundamentally, there is little chance that evidence of defendant’s mental illness would have influenced either the guilt or penalty results. The *1136 evidence actually presented made clear that defendant, a successful contractor and public official, carried on an extramarital affair, then assaulted the Mishells because he suspected them of exposing it. Defendant took elaborate steps to establish an alibi for the Mishell beatings. Having admitted his guilt to Luis Reyna—an admission Reyna reported to the police—defendant pressured Reyna to recant his police statement, and to avoid testifying against defendant.
When Reyna resisted these efforts, defendant killed him to prevent his testimony. Using his contractor’s tools, defendant beheaded, dismembered, and scattered Reyna’s body in an isolated area under circumstances which— even aside from defendant’s trial admissions—suggested a purpose to hamper the body’s identification. With his girlfriend’s help, defendant then obtained false identity documents, fled to Mexico, and lived at large there for many months before he was apprehended upon his return to the United States. From his jail cell, he continued his efforts to suppress the proof against him. At the penalty trial, his niece testified that when she was 15 years old, he had contrived to take her to an isolated location, where he sexually assaulted her.
Thus, the evidence portrayed defendant as rational, calculating, and manipulative in the pursuit of venal ends. Under these circumstances, there is no reasonable chance any mental-condition defense would have succeeded in exonerating him, reducing his culpability, or preventing a death judgment. The claim of material, prejudicial nondisclosure of evidence therefore fails.
C. Guilt trial evidentiary issues
1. Neuropsychologist’s evidence regarding Mishells’ recovery and prognoses
The prosecution presented testimony by physicians who treated the Mishells in the immediate aftermath of defendant’s assaults. This testimony indicated, among other things, the following: Both victims suffered multiple depressed skull fractures, and both required surgery to relieve injury-related, and life-threatening, pressure on their brains. Barbara Mishell emerged from her trauma-induced coma with right-side paralysis, difficulty in swallowing, and an inability to read, write, or speak. By the time she left the hospital, she still could not walk, talk, or feed herself. It appeared she would need extensive rehabilitative therapy, and her prognosis was not good.
Subsequently, defense counsel advised the court it understood the prosecution intended to present Dr. Price, a neuropsychologist, who had supervised both victims’ long-term rehabilitative therapy and continued to treat them at the time of trial. Counsel anticipated Dr. Price’s testimony would concern the *1137 couple’s rehabilitative progress over the two or three years since their release from the hospital. Counsel objected that such evidence was irrelevant (Evid. Code, §§ 210, 350) and cumulative, in that medical witnesses had already established the serious and extensive nature of the Mishells’ injuries. Counsel also asserted that this evidence should be excluded as more prejudicial than probative. (Id., § 352.)
Alluding to the complaint’s allegation that the Mishells had suffered great bodily injury (GBI), the prosecutor responded that “I don’t think the law says ... we have to stop as soon as the minimum burden for [GBI] is met, and I think the jury has a right to understand the full scope of [those] injuries.” He insisted that Dr. Price’s testimony would differ from that already presented, because it would describe the long-term impact of the blows defendant had inflicted.
The court advised the prosecutor that “I think [counsel is] trying to say, does that help you to prove intent to kill or premeditation, [f] Why are you doing this?” The prosecutor again asserted that “I’m doing this to prove the extent of the [GBI] and to prove intent to kill and to show the full extent of the injuries [Barbara] suffered, and I think the law entitles me to do that.” Suggesting that the evidence “might be able to show the issue of the necessary mental state in assault with a deadly weapon or attempted murder,” the court overruled the objection but directed the prosecutor to keep his presentation brief.
In his testimony, Dr. Price reported that Robert Mishell had largely regained his cognitive function, but would have difficulty resuming his career as an immunology professor because he retained deficits in the areas of memory and visual spatial functioning. Dr. Price also discussed the characteristics of posttraumatic amnesia as they might apply to Robert’s recall of the events surrounding the attacks. Dr. Price related that Barbara continued to exhibit emotional and behavioral instability related to brain damage, as well as profound aphasia—the inability to speak or understand speech. He said her prognosis for regaining the functional use of language was poor.
On appeal, defendant claims Dr. Price’s testimony was irrelevant to the elements of the attempted murder charges. He urges it was cumulative to the extensive evidence already produced about the nature and extent of the Mishells’ injuries, served only to inflame the jury, and should have been excluded under Evidence Code section 352. The court’s error, he asserts, additionally violated his rights under the Fifth, Sixth, Eighth, and Fourteenth Amendments.
The evidence was properly admitted. Information about the full extent of the Mishells’ conditions resulting from the attacks was directly relevant and *1138 probative as to the allegation, not formally conceded by defendant, that he inflicted GBI on the victims. Nor was the evidence cumulative insofar as it focused on the long-term effects of the Mishells’ injuries—-information not provided by other prosecution witnesses.
As below, the People correctly observe that they were not required to withhold evidence of the full extent of the Mishells’ injuries once a minimum threshold necessary to prove the GBI allegation had been passed. The prosecution need not sap the force of its case by presenting only the most antiseptic evidence, even in the face of a defense offer to stipulate. (E.g., People v. Marks (2003) 31 Cal.4th 197, 226 [ 2 Cal.Rptr.3d 252 , 72 P.3d 1222 ] (Marks); Box, supra, 23 Cal.4th 1153, 1199 ; Pride, supra, 3 Cal.4th 195, 243 .) A fortiori, where, as here, the prosecution must convince the fact finder, beyond reasonable doubt, of charges and allegations the defendant has not conceded, it need not sanitize its case by presenting only enough evidence to meet bare legal sufficiency.
Moreover, evidence that the victims, and in particular Barbara Mishell, suffered not only severe acute trauma, but also substantial long-term deficits and disabilities, as the result of defendant’s vicious attack was not unduly prejudicial for purposes of Evidence Code section 352. For this purpose, “prejudicial” means uniquely inflammatory without regard to relevance. (E.g., People v. Kipp (2001) 26 Cal.4th 1100, 1121 [ 113 Cal.Rptr.2d 27 , 33 P.3d 450 ].) Dr. Price’s testimony was logically related to the issues, and was presented in a nonsensational way, through the testimony of an expert witness. The court acted well within its broad discretion under section 352 (e.g., People v. Gurule (2002) 28 Cal.4th 557, 654 [ 123 Cal.Rptr.2d 345 , 51 P.3d 224 ]; Champion, supra, 9 Cal.4th 879, 913) when it ruled the evidence admissible.
Defendant invokes the premise that, when the trial court rules on an Evidence Code section 352 objection, the record must affirmatively show the court weighed prejudice against probative value. (See, e.g., People v. Mickey (1991) 54 Cal.3d 612, 656 [ 286 Cal.Rptr. 801 , 818 P.2d 84 ] (Mickey).) 14 Defendant insists the instant trial court failed to satisfy this requirement, or to exercise its discretion correctly, when it used a mistaken legal theory—that the evidence was relevant to his culpable mental state—to assess the probative value of the evidence.
Whatever the technical merits of this argument, the evidence was manifestly admissible, over a section 352 objection, for other reasons presented by *1139 the prosecutor to the trial court. Indeed, under a correct analysis, the probative value of Dr. Price’s testimony so clearly exceeded its prejudicial effect that the court might well have abused its discretion by excluding the evidence.
In any event, admission of the evidence was harmless by any applicable standard. The jury heard conclusive evidence that defendant was the perpetrator of a vicious assault against the Mishells, in which they each suffered multiple life-threatening head injuries leading, in Barbara’s case, to severe brain damage from which she was unlikely to recover. Under these circumstances, additional evidence confirming the couple’s long-term deficits and disabilities could not, beyond a reasonable doubt, have influenced the guilt or penalty outcome. No basis for reversal is demonstrated.
2. Admission of Robert Mishell’s testimony
Defendant claims Robert Mishell’s memory of the events of January 31, 1988, impaired by both his head injuries and his preexisting bipolar disorder, was unreliable. Hence, defendant urges, Robert’s testimony should have been excluded under Evidence Code sections 702 (evidence of witness lacking personal knowledge is inadmissible) and 352 (evidence may be excluded as more prejudicial than probative). Admission of the evidence, defendant insists, violated his rights under the Fifth, Sixth, Eighth, and Fourteenth Amendments.
As evidence of Robert’s faulty recollection, defendant points to inconsistent details related by Robert at various times, including in his preliminary hearing testimony and in his interviews with police officers in the hours and days following the assaults. Perhaps most significantly, defendant notes, Robert’s trial testimony that defendant arrived at the Mishell residence with a toolbox, thus suggesting he brought with him the weapon used in the attacks, was contradicted by what he told the police hours after the attacks.
The claim is forfeited because defendant did not object at trial to the introduction of Robert’s testimony. (Evid. Code, § 353, subd. (a); People v. Cudjo (1993) 6 Cal.4th 585, 622 [ 25 Cal.Rptr.2d 390 , 863 P.2d 635 ] [defendant must raise claim of testimonial incompetence at trial].) At the preliminary hearing, defendant was permitted to examine Robert on the issue of his “competency” to testify. Following that examination, the preliminary hearing court found Robert “qualified to testify from his personal knowledge.” Absent a ruling or stipulation that an objection to such testimony would be deemed renewed at trial, defendant’s failure to renew it means the issue was not preserved for appeal. (People v. Clark, supra, 50 Cal.3d at pp. 623-624 [objection made in prior trial, but not renewed]; cf. People v. *1140 Pompa-Ortiz (1980) 27 Cal.3d 519 [ 165 Cal.Rptr. 851 , 612 P.2d 941 ] (Pompa-Ortiz) [denial of substantial right at preliminary hearing no basis for appellate reversal of conviction following fair trial].)
In any event, the claim lacks merit. The principles governing exclusion of testimony on grounds of the witness’s lack of capacity are well settled. “Under . . . current [law], every person is qualified to testify except as provided by statute. (Evid. Code, § 700.) A person is disqualified as a witness only if he or she is ‘[i]ncapable of expressing himself or herself [understandably] concerning the [testimonial] matter’ (id., § 701, subd. (a)(1) . . .), or is ‘[i]ncapable of understanding the duty of a witness to tell the truth’ (id., . . . subd. (a)(2) . . .).” (People v. Anderson (2001) 25 Cal.4th 543, 572-573 [ 106 Cal.Rptr.2d 575 , 22 P.3d 347 ] (Anderson), italics omitted.) These issues are “preliminary fact[s] to be determined exclusively by the court .... (Evid. Code, § 405, subd. (a) . . . .)” (Anderson, supra, at p. 573 .)
Even if a witness is not entirely disqualified for incapacity to communicate understandably or grasp the duty to tell the truth, his or her testimony on a particular matter is inadmissible if he or she lacks personal knowledge of the subject matter. (Evid. Code, § 702, subd. (a).) The capacity to perceive and recollect particular facts is subsumed within the issue of personal knowledge. ( Anderson, supra, 25 Cal.4th 543, 573 , and authorities cited.)
But, under Evidence Code section 403, subdivision (a)(2), personal knowledge, including the capacity to perceive and recollect particular events, is determined in a different manner from fundamental capacity to act as a witness. Evidence may be excluded for lack of personal knowledge “ ‘only if no jury could reasonably find that [the witness] has such knowledge.’ ” ( Anderson, supra, 25 Cal.4th 543, 573 , italics omitted.) Thus, “ ‘if there is evidence that the witness [can perceive and recollect the events at issue], the determination whether he [or she] in fact perceived and does recollect is left to the trier of fact.’ ” (Id. at pp. 573-574, italics omitted.)
Defendant has never claimed Robert was fundamentally disqualified as a witness. Here, as below, he asserts only that Robert’s testimony about the events of January 31, 1988, was inadmissible because he lacked the capacity to perceive and recall those events.
But the record contains ample evidence from which a rational jury could conclude that Robert did perceive and independently recollect the attacks and their surrounding circumstances, and correctly identified defendant as the assailant. At trial, Robert gave a coherent and entirely plausible account of these events, which account was consistent with the physical evidence. *1141 During an extensive cross-examination, he admitted that, before and since the attacks, he suffered from chronic bipolar disorder, controlled by medication, but denied that this condition affected his memory. He conceded he had suffered posttraumatic amnesia during the two weeks following the attacks, and other instances of forgetfulness were revealed. Yet the lengthy cross-examination, in which defense counsel took the witness through an exhaustive review of his preliminary hearing testimony and his several police statements, indicated only minor variations in these versions.
That Robert’s various accounts were inconsistent in some respects, or that his testimony revealed lapses in memory, is no basis for a determination that he was fundamentally unable to perceive or recollect the testimonial events. (People v. Lewis (2001) 26 Cal.4th 334, 357 [ 110 Cal.Rptr.2d 272 , 28 P.3d 34 ]; Anderson, supra, 25 Cal.4th 543, 574 .) In sum, there was no substantial basis for the exclusion of his testimony. It was up to the jury to decide whether his recollections were accurate. (Lewis, supra, at p. 358; Anderson, supra, at p. 574 .) No error occurred.
3. Admission of “hacker” excerpt from defendant’s letter to Oberman
During her testimony for the People, Celebration Oberman read to the jury, without defense objection, passages from two letters, previously marked for identification as People’s exhibits 72 and 73, that defendant had written her from jail. From exhibit 73, postmarked December 4, 1989, Oberman read: “ ‘If any of your friends attack me, tell them that you like your toy boys to be darkly handsome and charming and dangerous, hackers, murderers, pirates, and that I fit the bill.’ ” From exhibit 72, postmarked December 19, 1989, Oberman read: “ ‘Sorry I don’t know more about kitchens. I do know about hacking, however; and I could easily hack you a cart to make pizzas.’ ”
At the conclusion of the People’s case, defendant objected on relevance grounds, and under Evidence Code section 352, to admission of these letters, and in particular to admission of the pages containing the passages Oberman had read—pages now marked for identification as People’s exhibits 72-A and 73-A, respectively. Counsel urged that the term “hacking” in exhibit 72-A— there used in connection with making a pizza cart—did not pertain to any trial issue, but was highly prejudicial given the facts of the case. As to exhibit 73-A, in which defendant said he “fit the bill” as a “hacker[], murderer[], [and] pirateQ,” counsel asserted that even if “hacker[]” was not related to the “pizza cart” reference in exhibit 72-A, its use next to the word “murderer[]” produced a prejudicial effect far in excess of its probative value.
The court ruled that exhibit 72-A, the “pizza cart” passage, would be excluded “on 352,” in that the “hacking” reference there, read in context, *1142 appeared not connected to the case. However, the court admitted exhibit 73-A as “an admission of guilt,” i.e., that defendant was “a murderer, a hacker, that kind of stuff,” and “[tjhat’s why it’s going in.”
In his trial testimony, defendant stated that “hacker” was a “computer term” which had come to have a pejorative connotation, but originally meant “a person who would elegantly solve a problem by hacking at it but persistently trying to find a solution.” He said that while he and Oberman were in Palm Springs, he had read to Oberman, a “computer illiterate,” from a book about “hackers” as “computer heroes,” and as a result, she had come to call defendant “her little hacker.”
Defendant now urges that, by admitting exhibit 73-A, the trial court abused its discretion under Evidence Code section 352. He asserts the trial court admitted this exhibit even though it recognized that “hacker” was not used in a murderous context. In particular, he insists, by placing before the jury defendant’s self-reference as a “hacker”—an inflammatory term for purposes of this particular case—the court denied him his Eighth Amendment right to a reliable capital trial.
We find no abuse of discretion. At the outset, defendant is mistaken that the trial court saw no sinister implication to defendant’s use of “hacker” in exhibit 73-A. On the contrary, as indicated above, while the court considered that the “hacking” reference in exhibit 72-A was probably innocent, it ruled that the “hacker” reference in exhibit 73-A could be considered an admission of guilt.
The court properly concluded that exhibit 73-A was probative on this issue. Though the meaning of the disputed passage was perhaps open to interpretation, a sinister construction was reasonable. Under these circumstances, it was for the jury to make the determination. (See, e.g., People v. Kraft (2000) 23 Cal.4th 978, 1032-1035 [ 99 Cal.Rptr.2d 1 , 5 P.3d 68 ] (Kraft).)
Nor, as the trial court implicitly found, was the evidence so uniquely inflammatory that its potential for unfair prejudice clearly outweighed its probative value. Indeed, by admitting this letter excerpt, the prosecution simply asked the fact finder to interpret defendant’s own bragging words. There is no basis to conclude the trial court erred by admitting exhibit 73-A.
Moreover, any error was harmless by any applicable standard. The jurors had already heard the disputed passages, read to them from the witness stand by Oberman. Under these circumstances, and beyond a reasonable doubt, later admission of exhibit 73-A into evidence cannot have affected the guilt or penalty outcome. No basis for reversal appears.
*1143 4. Hearsay objection to Reyna tape recording
On August 7, 1992, prior to jury selection, the prosecution notified the defense it intended to offer in evidence Luis Reyna’s April 5, 1988, tape-recorded interview with the police. In this interview, Reyna stated that, during a conversation between the two men, defendant had admitted his responsibility for the Mishell assaults; Reyna also indicated that defendant had attempted to enlist Reyna’s help in establishing an alibi for those offenses.
The notice asserted that the statement was admissible, as an exception to the hearsay rule, under Evidence Code section 1350. This statute provides a hearsay exception, in a “serious felony” case, for properly memorialized, authenticated, trustworthy, and corroborated statements made to a law enforcement officer by a declarant who thereafter became unavailable as a court witness because, by clear and convincing evidence, he or she was kidnapped or killed, with the defendant’s participation or at his behest, for the purpose of preventing the defendant’s arrest or prosecution. 15
Defendant moved in limine to exclude the tape, urging that it did not meet the requirements of Evidence Code section 1350—interpreted in light of the federal confrontation clause’s ban on untrustworthy hearsay 16 —and was more prejudicial than probative (Evid. Code, § 352).
*1144 The court denied the defense motion. Among other things, the court correctly noted that the “corroboration” requirement set forth in Evidence Code section 1350 applied only to the Mishell assaults—the only charges as to which Reyna’s statement was offered for its truth, and was thus subject to the hearsay rule (see Evid. Code, § 1200). 17 After confirming it had reviewed a transcript of the taped statement, and had read the preliminary hearing transcript, the court ruled that “I am going to admit the recorded statement under [section] 1350 on the ground there is evidence, clear and convincing, [that] [Reyna’s] unavailability was caused by the defendant and the statement which concerns the assault is corroborated by the evidence.”
Defendant renewed his objection prior to the prosecution’s opening statement, this time explicitly invoking the confrontation clause as well as Evidence Code section 1350, and again in midtrial, before the introduction of the taped statement. Subject to certain redactions for other evidentiary reasons, these objections were again overruled. The tape recording of Reyna’s April 5, 1988, police statement, as redacted, was played for the jury.
On appeal, defendant again contends the prosecution failed to satisfy the prerequisites for the admission of Reyna’s statement under Evidence Code section 1350. The claim lacks merit.
We review evidentiary rulings, including those involving hearsay issues, for abuse of discretion. (E.g., People v. Waidla (2000) 22 Cal.4th 690, 725 [ 94 Cal.Rptr.2d 396 , 996 P.2d 46 ] (Waidla).) Under that standard, the record considered by the trial court amply supports its conclusion that the statement was admissible under this statute.
Defendant first insists that, at the time of the court’s evidentiary ruling, there was not clear and convincing evidence defendant knowingly caused Reyna’s death for the purpose of preventing defendant’s arrest or prosecution. 18 But the taped statement itself was evidence of Reyna’s status as a *1145 potential, and significant, prosecution witness in the Mishell assault case. 19 Moreover, the preliminary hearing disclosed evidence that defendant knew of the threat posed by Reyna. There Reyna’s sister Yolanda testified, as at trial, that the night before he disappeared, Reyna told defendant on the telephone he was not afraid of defendant and intended to testify against him. 20
There was also strong evidence that, within a day after receiving this news from Reyna, defendant killed him. At the preliminary hearing, Reyna’s mother Helen testified, as at trial, that on the morning after his telephone conversation with defendant, Reyna left the family home, with some trepidation, to meet defendant face to face, and that Reyna never returned. Other preliminary hearing witnesses recounted the discovery, days after Reyna’s disappearance, of his decapitated and dismembered body in an isolated location, as well as physical and forensic evidence linking defendant to the homicide. This included testimony that bloodstains on the exterior and interior of defendant’s abandoned truck included samples consistent with the victim’s blood.
Under these circumstances, a strong inference arose that defendant had murdered Reyna, and had done so to prevent the testimony Reyna threatened he would give. The trial court was amply justified in finding, by clear and convincing evidence, that defendant knowingly caused Reyna’s death for this purpose.
Defendant also asserts there were insufficient indicia of trustworthiness surrounding Reyna’s police statement to satisfy either Evidence Code section *1146 1350 or the confrontation clause. We discuss below (fn. 21, post) any argument defendant may be understood to advance under the federal Constitution. For purposes of Evidence Code section 1350, evidence that the statement was trustworthy is very strong.
At the time of his statement, Reyna was not in custody, nor a suspect in any crime, but a citizen witness. At the outset of the police interview, he agreed that he was at the police station “of [his] own free will” and that the police had not “made [him] any promises or guarantees or set any conditions” on his statement. Reyna indicated that he and defendant were friends and colleagues on the Berkeley Waterfront Commission.
Reyna then gave a detailed account of his conversations and encounters with defendant over several months about the anonymous telephone calls defendant was receiving, his suspicions that a professor and his wife were responsible, his determination to handle the matter “his way,” his ultimate account of his attack on the Mishells, and his efforts to enlist Reyna’s help in constructing an alibi. At one point, the interviewer, Detective Gustafson, observed that Reyna was consulting notes he had made of his contacts with defendant over this period.
The record disclosed no motive for Reyna to lie about what his colleague and erstwhile friend had told him. Indeed, the preliminary hearing testimony of Reyna’s mother and sister suggested that he later resisted defendant’s efforts to dissuade him from testifying despite concern for his personal safety.
Defendant urges Reyna’s statement should have been deemed untrustworthy because Gustafson testified at the preliminary hearing that Reyna provided no significant new information, and .that, prior to his statement, at least some details, contained in a previously sealed search warrant affidavit, had become public when the mecha obtained a copy of the affidavit. Defendant also notes from the preliminary hearing transcript that Reyna told several persons, including defense investigator Cramer, that defendant often teased him and he did not necessarily believe defendant’s claim of responsibility for the assaults.
But Reyna never varied from the substance of what defendant had told him. Moreover, his uncertainty, before going to the police, about what he should do with the information, and his subsequent effort to convince Cramer that newspaper reports had taken his statement out of context, actually support the statement’s reliability. Reyna spoke to the police despite his deep conflict about his public responsibility, his friendship for defendant, his willingness to give defendant the benefit of the doubt, and his concern for his *1147 own safety. Ample evidence thus supports the trial court’s implicit finding that the statement was made under circumstances indicating its trustworthiness.
Finally, defendant disputes that, at the time of the evidentiary ruling, Reyna’s statement was corroborated by other evidence linking defendant to the Mishell assaults. But such corroboration was present in the preliminary hearing testimony of Robert Mishell, who, as at trial, implicated defendant as his attacker. The trial court’s finding on this issue was not an abuse of its discretion. 21
Defendant argues, confusingly, that he suffered prejudice insofar as the jury may have considered Reyna’s statement both for its truth in the Mishell attempted murder case and as evidence of defendant’s motive to kill Reyna. But having surmounted the hurdle of Evidence Code section 1350, the statement was admissible for its truth, despite its hearsay character, as evidence of defendant’s responsibility for the attacks on the Mishells. Without regard to the hearsay rule, it was also admissible in the murder case, not for its truth, but to demonstrate defendant’s motive to kill Reyna as a potential witness against him.
Because the statement was thus admissible for all the purposes defendant cites, no possibility of juror confusion, or unfair prejudice, is shown. For similar reasons, there is no merit to defendant’s argument that the undue risk of confusion and prejudice should have led to exclusion of the statement under Evidence Code section 352. 22
5. Admission of photographs
At the conclusion of jury selection, the court turned to the admission of photographic evidence proffered by the prosecution. The court first noted that *1148 the People had submitted 15 photographs of various parts of Reyna’s dismembered body. The court indicated it had “culled [these 15 photos] down ... to five.” Citing Evidence Code section 352, the defense objected to only two of the remaining five—one, five by seven inches, depicting an arm minus a hand, and the other, also five by seven inches, depicting a severed hand held next to a handless arm to demonstrate a match.
The court ruled that the photograph of the arm-hand matchup could be admitted, but reserved judgment on the other disputed photo. The arm-hand matchup photo was later marked as People’s exhibit 59 and admitted in evidence. The coroner, Dr. Daugherty, and a forensic anthropologist, Dr. Heglar, each testified that exhibit 59 showed how they had matched the hand to the wrist by comparing similar cuts in the appropriate locations. The prosecution did not introduce the remaining photo to which defendant had objected.
Defendant also sought, under Evidence Code section 352, to exclude seven photographs, five by seven inches each, taken at different angles of Robert and Barbara Mishell in their hospital beds, their heads shaved, with the gashes and stitches in their scalps visible. The three pictures of Barbara showed her apparently unconscious, with a breathing apparatus in her mouth. The trial court accepted the People’s argument that the photos were relevant to demonstrate the extent of the Mishells’ injuries, and were not cumulative or unduly inflammatory. It ruled the photos admissible. They were later admitted in evidence collectively as People’s exhibit 5. The Mishells’ physicians used exhibit 5 to illustrate their testimony about their treatment of the victims’ wounds.
Finally, defendant moved, under Evidence Code section 352, to exclude eight five-by-seven-inch photos showing the Mishell kitchen as a crime scene, apparently after the Mishells had been transported to the hospital. Several of the photos showed blood spots and bloody footprints on the kitchen floor, and one showed a substantial quantity of pooled blood on the floor. One showed an overturned kitchen stool; one showed a black robe strewn on the floor; and one showed blood on the telephone Robert apparently used to call for assistance.
The prosecutor urged that each picture would be relevant to testimony about what happened on the morning of the assaults, that he had culled these from many more, and that he had kept them modestly sized to reduce their inflammatory nature. The motion was denied. The photos, displayed on a board, were subsequently admitted collectively as People’s exhibit 15. They were used by various witnesses to illustrate how the kitchen and various evidentiary items in it appeared after the crimes.
*1149 On appeal, defendant contends again that Evidence Code section 352 required exclusion of People’s exhibits 5, 15, and 59, because neither the nature and extent of the Mishells’ injuries, nor the identity and dismemberment of Reyna’s body, were disputed. Hence, he urges, the pictures were irrelevant, and served only to inflame the jury. The error, he asserts, violated his constitutional rights to due process, a fair trial, and a reliable adjudication at all stages of a capital trial. The claim fails, for no error occurred.
Relevant evidence includes all “evidence . . . having any tendency in reason to prove . . . any disputed fact that is of consequence to the determination of the action.” (Evid. Code, § 210.) “Except as otherwise provided by statute, all relevant evidence is admissible.” (Id., § 351.) As the People suggest, the photos illustrated the nature and extent of the Mishells’ injuries, the scene of the murderous assault on the Mishells, and the condition of Reyna’s body when found, indicating that it had been dismembered and scattered by human hands to hamper its identification. These details bore on matters the prosecution was obliged to establish beyond a reasonable doubt— that Reyna died by homicide, that the Mishells suffered an attack with murderous intent, and that they sustained great bodily injury as a result. Hence, the evidence had a tendency in reason to prove material facts in the case.
Though defendant suggests these issues were not disputed, he never stipulated, or offered to stipulate, to any of them. Even if he had, the prosecution was not required to accept defense concessions as a sanitized alternative to the full presentation of its case. As we have repeatedly said, the prosecution need not prove the details of the charges solely from the testimony of live witnesses ( Pride, supra, 3 Cal.4th 195, 243 ; People v. Turner (1990) 50 Cal.3d 668, 706 [ 268 Cal.Rptr. 706 , 789 P.2d 887 ]) nor “ ‘accept antiseptic stipulations in lieu of photographic evidence.’ ” ( Box, supra, 23 Cal.4th 1153, 1199 , quoting Pride, supra, at p. 243 ; see also Crittenden, supra, 9 Cal.4th 83, 133.) The jury was entitled to see how the physical circumstances of the crimes supported the prosecution’s theories. (Pride, supra, at p. 243 ; Turner, supra, at p. 706 .)
Nor was the trial court’s decision to admit the photographs an abuse of its discretion under Evidence Code section 352. “ ‘The admission of photographs . . . lies within the broad discretion of the trial court when a claim is made that they are unduly gruesome or inflammatory. [Citations.] The court’s exercise of that discretion will not be disturbed on appeal unless the probative value of the photographs clearly is outweighed by their prejudicial effect. [Citations.]’ ” (People v. Ramirez (2006) 39 Cal.4th 398, 453-454 [ 46 Cal.Rptr.3d 677 , 139 P.3d 64 ] (Ramirez), quoting Crittenden, supra, 9 Cal.4th 83, 133-134.)
*1150 As detailed above, the trial court carefully considered each proffered photograph. Sensitive to the condition in which Reyna’s body was found, the court, on its own motion, excluded 10 of the 15 murder scene photos originally submitted by the prosecution in order to avoid undue cumulative effect. The prosecutor also culled through the many photos of the Mishell crime scene to present the minimum he deemed necessary to illustrate his case. The multiple-angle photos of the injured Mishells showed the many wounds they had sustained on various parts of their heads. All the proffered pictures were presented in a modest size, as normal snapshots, to minimize sensationalism. There can be no doubt that all parties were acutely aware of the duty to refrain from presenting unfairly inflammatory evidence. 23
We have examined the photos. They are unpleasant, but “ ‘[v]ictim photographs ... in murder cases always are disturbing. [Citation.]’ ” (Ramirez, supra, 39 Cal.4th 398, 454 , quoting Crittenden, supra, 9 Cal.4th 83, 134 .) “The photographs at issue here are gruesome because the charged offenses were gruesome, but they did no more than accurately portray the shocking nature of the crimes.” (Ramirez, supra, at p. 454 .) The jury must be protected from sensationalized illustrations of a crime, “but the jury cannot be shielded from an accurate depiction of the charged crimes that does not unnecessarily play upon the emotions of the jurors.” {Ibid.) People’s exhibits 5, 15, and 59 did not cross the prohibited line. The photographs were properly admitted.
6. Sufficiency of evidence of witness-killing special circumstance
Before trial, defendant moved to strike the witness-murder special-circumstance allegation on grounds this special circumstance only applies to a victim who was an eyewitness to a prior offense, not simply one to whom the defendant had made incriminating admissions. The trial court denied the motion.
On appeal, defendant renews his argument as a claim of insufficient evidence to support the witness-murder special-circumstance finding. Noting that Reyna’s only relationship to the Mishell case was as the recipient of defendant’s incriminating admissions, defendant claims Reyna was thus not a “witness to a crime” (italics added) as the special circumstance requires. (§ 190.2, subd. (a)(10).)
As defendant concedes, we have rejected this precise contention. ( Jenkins, supra, 22 Cal.4th 900, 1018 ; People v. Jones (1996) 13 Cal.4th 535, *1151 550 [ 54 Cal.Rptr.2d 42 , 917 P.2d 1165 ]; see Alvarado v. Superior Court (2000) 23 Cal.4th 1121, 1151 [ 99 Cal.Rptr.2d 149 , 5 P.3d 203 ]; People v. Allen (1986) 42 Cal.3d 1222, 1236-1244, 1273-1274 [ 232 Cal.Rptr. 849 , 729 P.2d 115 ]; People v. Weidert (1985) 39 Cal.3d 836, 853 [ 218 Cal.Rptr. 57 , 705 P.2d 380 ].) In Jones , we indicated that “nothing in the language of the applicable special circumstance or in our decisions applying this special circumstance supports the suggestion that the special circumstance is confined to the killing of an ‘eyewitness,’ as opposed to any other witness who might testify in a criminal proceeding.” (Jones, supra, at p. 550 .)
Defendant asks that we reconsider this holding. He advances no compelling reason to do so. The evidence supports the true finding on the witness-murder special circumstance.
D. Guilt trial misconduct issue: prosecutor’s argument that witness misspoke
As indicated above, defendant conceded that Luis Reyna died in his presence, that he dumped Reyna’s body in the Lafayette hills, and that he severed and scattered Reyna’s head and hands to prevent or delay the body’s identification. The only disputed issue was how Reyna died. As a prosecution witness, Celebration Oberman said defendant told her he shot Reyna in the temple when Reyna insisted he would testify against defendant in the Mishell assault case. Defendant claimed Reyna pulled a gun, which went off accidentally in the ensuing struggle. Defendant said he then checked Reyna’s head and neck, but saw no bullet wound. Crime investigators found no obvious gunshot evidence in Reyna’s skull or torso. The body’s decomposition prevented forensic determination of the exact cause of Reyna’s death.
At the request of the autopsy physician, Dr. Daugherty, Dr. Heglar, a forensic anthropologist, examined and photographed neck vertebrae from Reyna’s remains for the purpose of determining the cause of certain “deconstruction” of these bones. Dr. Heglar then testified for the People about his opinions on this issue.
Dr. Heglar first stated that, in “two areas” of interest to Dr. Daugherty, the “incising event appeared to be consistent with saw marks or saw invasion of a bone.” (Italics added.) The prosecutor then asked Dr. Heglar to illustrate his conclusions with four photos the witness had taken during his examination of the fourth and fifth cervical vertebrae. On the first photo, taken of the “anterior” or front “superior right,” Dr. Heglar noted “a deep squarish indentation into the bone.” The following colloquy then took place: “[The witness]: Lower on the body of vertebra C-4, cervical four, is a much deeper but narrower, straight looking, looks like a black line, a shadow, but an *1152 invasion of bone, [f] Q; And is that what you refer to as . . . incised[l] [][] A: Incised with gunshot or blunt force.” (Italics added.)
Dr. Heglar pointed out the same two marks in the three other photos, taken from different angles. He then explained that the two invasion marks indicated “the possibility of two saw-like instruments, maybe one different from the other.” (Italics added.) Shown a saw marked as People’s exhibit 40-D, Dr. Heglar indicated, based on comparative measurements taken in his laboratory, that its blade pattern was a close, if not identical, match for one of the two “incised area[s]” in the photos. (Italics added.) Moving on to his comparative examination of the left arm and severed left hand, Dr. Heglar indicated “that the surfaces there appear again to have been incised in some manner, were reciprocal by their raised and lowered area to each other.” (Italics added.) The defense did not cross-examine Dr. Heglar to clarify what he meant by the word “incise,” particularly in the phrase “incised with gunshot or blunt force.”
In his closing argument, defense counsel stressed the absence of evidence of a gunshot wound to Reyna’s skull. Counsel urged this was significant because it refuted the prosecution’s version, as recounted by Oberman—i.e., that defendant said he retrieved a gun from the back of his truck, came around to the passenger door, and shot Reyna in the head. Indeed, counsel argued, “when you intend to shoot somebody, that’s where you shoot.” On the other hand, counsel suggested, “when you don’t intend to kill someone, like wrestling over a gun and it accidentally goes off, [the bullet] doesn’t get placed so well.”
Thus, counsel asserted, evidence of a bullet wound to the neck would support defendant’s claim that he saw no head wound, and that the shooting was an accident. There was such evidence, counsel proposed, pointing to Dr. Heglar’s testimony about “the incised fourth vertebra that he attributed either to an incise wound or to a gunshot wound.” (Italics added.)
In rebuttal, the prosecutor said he wanted to talk about the portion of defense counsel’s argument “where [counsel] ended with the one little piece of testimony from Dr. Heglar that was taken out of context.” This defense argument, said the prosecutor, was “what I call something that has nothing to do with the facts. It’s what I call a lawyer’s game because it’s an attempt to draw something out of the transcript that was a mistake, a misstatement by the witness, and using it to try to confuse a clear issue.” (Italics added.)
The prosecutor continued: “What the quoted transcript said . . . regarding the damage to the fourth vertebra was [‘]incised by bullet or blunt force[’] or □incised with bullet or blunt force. [’] What Dr. Heglar intended to say very clearly was [‘]incised as opposed to bullet or blunt force.[’]” (Italics added.)
*1153 Asserting that “[s]imple misstatements happen all the time in the courtroom,” the prosecutor offered several indicia that Dr. Heglar had misspoken. First, the prosecutor asserted, the witness’s literal statement “made no sense”; as an expert, Dr. Heglar surely knew that “ ‘incised’ means sharp or cutting,” a “sharp,” “straight,” “narrow,” and “deep” wound, as “caused by a knife or a saw,” rather than a “smashing” or “crushing” effect caused by a bullet or other blunt force trauma. “When a knife or saw goes through a bone,” the prosecutor said, “it makes a sharp, clean incision, and a bullet or other blunt object. . . smashes through it. A hammer is a blunt object.”
At this point, defense counsel objected on grounds the prosecutor’s argument was “not based on anything that I see in evidence.” The court responded by admonishing the jury that “the statements of the attorneys [are] not evidence; and you base your decision upon the evidence, the—what the evidence was.” The court then invited the prosecutor to proceed.
Continuing on the theme of blunt versus sharp, the prosecutor suggested that to take Dr. Heglar’s statement literally would make as much sense as to say someone was “cut with a baseball bat” or “stabbed with a hammer.” Moreover, the prosecutor pointed out, the overall context of Dr. Heglar’s testimony was that the vertebral damage, and the detachment of the hand from the arm, were caused by the reciprocating motion of a saw or saws, which defendant himself later confirmed he used to sever the head and hand from Reyna’s body. The prosecutor argued that a bullet hole through the neck would have left blood and soft-tissue damage not seen by the investigators, and that defendant himself said he checked Reyna’s neck for a pulse, but saw no wound.
On appeal, defendant insists the prosecutor committed misconduct “by urging the jury to ignore crucial evidence testified to by a state expert witness which was favorable to the defense, and to instead substitute his own unsworn interpretation of that testimony.” Assuming such a contention was preserved by defendant’
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