Sherman-Bey v. Shaffer CA3 ( 2016 )


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  • Filed 1/14/16 Sherman-Bey v. Shaffer CA3
    NOT TO BE PUBLISHED
    California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
    publication or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified for publication
    or ordered published for purposes of rule 8.1115.
    IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
    THIRD APPELLATE DISTRICT
    (Sacramento)
    ----
    DARREN EUGENE SHERMAN-BEY,                                                                   C077499
    Plaintiff and Appellant,                                        (Super. Ct. No.
    34201180000970CUWMGDS)
    v.
    JENNIFER SHAFFER, as Executive Officer, etc.,
    Defendant and Appellant.
    This case is about the validity of a regulation governing the use of psychological
    risk assessments in determining parole eligibility for life inmates, California Code of
    Regulations, title 15, section 2240 (section 2240).
    But, this case turns in large part on an appellant’s duty to include essential
    portions of the record on appeal needed to analyze the issues raised and the burden to
    persuade us that the trial court’s ruling was wrong. Specifically, both appellants rely
    heavily on the rulemaking record for the regulation, as did the trial court, but contrary to
    the California Rules of Court, neither party has had transmitted to this court the entire
    1
    administrative record that was reviewed by the trial court in making its ruling here. It is
    their burden to do so. (Cal. Rules of Court, rules 8.120(a)(2), 8.123(b).) Without the
    administrative record, we cannot fully assess the validity of many of both appellants’
    major contentions. Thus, both parties have forfeited any contentions that require us to
    examine the administrative record.1
    Regarding the claims that do not require us to examine the administrative record,
    we reject both parties’ appellate arguments because they do not have a basis in either the
    law or facts.
    We therefore affirm the judgment of the trial court, which granted in part
    Sherman-Bey’s petition for writ of mandate challenging section 2240 because that
    section failed to comply with the Administrative Procedure Act’s clarity standard.
    1      The mistake Sherman-Bey repeatedly made is in failing to designate an
    administrative record to be transmitted to this court. (Cal. Rues of Court, rule
    8.120(a)(2).) Instead, he designated, among other things in the clerk’s transcript, “Notice
    of Lodging of Record and accompanying attachments filed on January 21, 2014.” This
    two-page item in the clerk’s transcript is indeed included in the record on appeal. When
    the administrative record containing the rulemaking record was (properly) not included in
    the clerk’s transcript on appeal because it was never designated, Sherman-Bey filed a
    notice on incomplete clerk’s transcript. In response, the trial court clerk declared that the
    document Sherman-Bey requested be lodged was indeed lodged (i.e., “Notice of Lodging
    of Record and accompanying attachments filed on January 21, 2014”). However, there
    were no accompanying attachments ever filed in the trial court, so the trial court could
    not include those documents.
    Perhaps to remedy this problem, Sherman-Bey has included two portions of the
    administrative record as attachments to his reply brief, and we granted him permission to
    file those two attachments. To the extent the attachments have some bearing on our
    discussion of the contentions on appeal, we will address them in footnotes in this opinion.
    We still note, however, the fundamental problem is that we do not have the entire
    administrative record the court reviewed in making its ruling.
    2
    FACTUAL AND PROCEDURAL BACKGROUND
    Life inmate Sherman-Bey filed a petition for writ of mandate in the trial court
    challenging section 2240, which provides as follows: Before a life inmate’s initial parole
    consideration hearing, and every five years thereafter, a comprehensive risk assessment
    will be performed by a Board of Parole Hearings psychologist. (§ 2240, subds. (a), (b).)
    That comprehensive risk assessment “will provide the clinician’s opinion, based on the
    available data, of the inmate’s potential for future violence. Board of Parole Hearings
    psychologists may incorporate actuarially derived and structured professional judgment
    approaches to evaluate an inmate’s potential for future violence.” (§ 2240, subd. (b),
    italics added.)
    Section 2240 was adopted by the California Board of Parole Hearings in 2011 in
    response to a 2010 determination by the California Office of Administrative Law that the
    process by which the Board of Parole Hearings conducted psychological evaluations was
    an underground regulation.2 That underground regulation had been in place since
    January 2009 and included a forensic assessment division to oversee preparing
    psychological evaluations for parole suitability hearings. Those psychological
    evaluations included use of several enumerated risk assessment tools to assess the
    inmate’s potential for future violence.
    Sherman-Bey’s challenge to section 2240 in the trial court was based on
    contentions that he again raises here, namely, that the Board of Parole Hearings failed to
    substantially comply with the requirements of the Administrative Procedure Act because
    the board did not adequately respond to public comments, the board misrepresented facts,
    2      Any regulation not properly adopted under the California Administrative
    Procedure Act (Gov. Code, § 11340 et seq.) is considered an underground regulation.
    (Patterson Flying Service v. Department of Pesticide Regulation (2008) 
    161 Cal. App. 4th 411
    , 429.)
    3
    and the board improperly mandated the use of specific risk assessment tools. Sherman-
    Bey also argued, as he does here, that section 2240 conflicts with other laws and that
    psychological evaluations completed by the board from the time the underground
    regulation was in effect are invalid and should be removed from inmates’ files.
    Sherman-Bey’s challenge to section 2240 in the trial court was also based on his
    contention that the Board of Parole Hearings failed to substantially comply with the
    Administrative Procedure Act’s clarity standard. With regard to this contention, the trial
    court ruled “the regulation substantially fails to comply with the [Administrative
    Procedure Act’s] clarity standard, both because the regulation uses terms that do not have
    meanings generally familiar to those directly affected by the regulation, and because the
    language of the regulation conflicts with the agency’s description of the effect of the
    regulation.” “This language lacks clarity because the terms ‘actuarially derived and
    structured professional judgment’ are not ‘easily understood’ by or ‘generally familiar’ to
    life inmates, who are directly affected by the regulation.” “In addition, the regulation is
    unclear because the language of the regulation conflicts with the agency’s description of
    the effect of the regulation. By using the word ‘may,’ the regulation suggests Board
    psychologists have discretion to decide not only whether to incorporate ‘actuarially
    derived and structured professional judgment approaches’ in evaluating an inmate’s
    potential for future violence, but what, if any, ‘approaches’ to use.” “In contrast, the
    Board’s description of the regulation in the Statement of Reasons refers to a ‘battery’ of
    risk assessment tools ‘selected’ by the Board, and the Statement of Reasons assumes the
    risk assessment tools will be ‘administered’ to inmates to determine their risk of future
    violence. [Citations.] As a result, the regulation is unclear with respect to the
    responsibilities of the Board psychologists who will implement it.”
    As to the remedy, the trial court granted in part Sherman-Bey’s petition for writ of
    mandate, “allow[ing] Respondent Board eight months to correct the identified
    deficiencies in [section 2240] by adopting a new or amended regulation, in compliance
    4
    with the requirements of the [Administrative Procedure Act].” “If the regulation is not
    amended or replaced within eight months after entry of judgment, the portion of the
    regulation providing that ‘Board of Parole Hearings psychologists may incorporate
    actuarially derived and structured professional judgment approaches to evaluate an
    inmate’s potential for future violence,’ which is severable, shall be invalidated as of that
    date, and the Board shall be permanently enjoined from enforcing that provision after that
    date.” The trial court entered judgment on September 9, 2014.
    In this court now, the board challenges the trial court’s partial grant of Sherman-
    Bey’s petition for writ of mandate.
    DISCUSSION
    I
    The Board Has Failed To Carry Its Burden As Appellant Both To Persuade
    This Court That The Trial Court Erred In Finding Section 2240 Lacked
    Clarity And To Provide Us An Adequate Record On Review
    The board contends the trial court erred in finding that section 2240 did not
    comply with the Administrative Procedure Act’s clarity requirement because in its view
    (a) the term “ ‘actuarially derived and structured professional judgment’ ” approaches is
    clear; and (b) the term does not conflict with the board’s description of the effect of the
    regulation.
    As we explain, as to (a), the board’s one-line argument that the term “ ‘actuarially
    derived and structured professional judgment’ ” approaches is clear ignores statutory
    language and fails to carry its burden as appellant to persuade us that the trial court erred
    in finding the term unclear. As to (b), the board has failed to provide us an adequate
    record to review its contention.
    5
    A
    The Board Has Not Carried Its Burden As Appellant To
    Persuade Us That The Trial Court Erred In Finding Unclear The Term
    “ ‘Actuarially Derived And Structured Professional Judgment’ ” Approaches
    The Administrative Procedure Act (Gov. Code, § 11340 et seq.) requires that
    agencies draft regulations “in plain, straightforward language, avoiding technical terms as
    much as possible, and using a coherent and easily readable style . . . .” (Gov. Code,
    § 11346.2, subd. (a)(1).) A regulation is drafted with “clarity” when it is “written or
    displayed so that the meaning of regulations will be easily understood by those persons
    directly affected by them.” (Gov. Code, § 11349, subd. (c).) “A regulation shall be
    presumed not to comply with the ‘clarity’ standard if,” among other things, “the
    regulation uses terms which do not have meanings generally familiar to those ‘directly
    affected’ by the regulation, and those terms are defined neither in the regulation nor in the
    governing statute.” (Cal. Code Regs., tit. 1, § 16, subd. (a)(3).) Persons who are
    presumed to be “directly affected” by a regulation are those who are legally required to
    comply with or enforce the regulation or who receive a benefit or suffer a detriment from
    the regulation that is not common to the public in general. (Cal. Code Regs., tit. 1, § 16,
    subd. (b).) Here, as the trial court correctly found, “the persons ‘directly affected’ by the
    regulation are the Board [of Parole Hearings] psychologists who prepare the parole
    suitability risk assessments, and the life inmates who are subject to them.”
    With these definitional principles in mind, we turn to the board’s first contention.
    As to that contention, the entirety of its argument is as follows: “The regulatory language
    at issue, however, provides notice to those affected by it that Board psychologists will use
    their professional judgment in conducting Comprehensive Risk Assessments. It,
    therefore, does not lack clarity.” The language to which the board is referring is as
    follows: “Board of Parole Hearings psychologists may incorporate actuarially derived
    and structured professional judgment approaches to evaluate an inmate’s potential for
    6
    future violence.” (§ 2240, subd. (b).) In the trial court’s view, “[t]his language lacks
    clarity because the terms ‘actuarially derived and structured professional judgment’ are
    not ‘easily understood’ by or ‘generally familiar’ to life inmates, who are directly
    affected by the regulation.”
    The problem with the board’s contention is that it has not carried its burden as the
    appellant to persuade us that the trial court erred in holding that this language lacks
    clarity. As this court has stated, “Perhaps the most fundamental rule of appellate law is
    that the judgment challenged on appeal is presumed correct, and it is the appellant’s
    burden to affirmatively demonstrate error. (See People v. $ 497,590 United States
    Currency (1997) 
    58 Cal. App. 4th 145
    , 152-153.)” (People v. Sanghera (2006) 
    139 Cal. App. 4th 1567
    , 1573.) The board’s one-line argument as to why the regulatory
    language is clear falls short of carrying its burden to affirmatively demonstrate error.
    Specifically, the board’s argument equates “actuarially derived and structured
    professional judgment” approaches to a psychologist’s “professional judgment.” The
    problem with this argument is that it reads out of section 2240 the words “actuarially
    derived” and “structured . . . approaches,” the very words that the trial court found were
    not easily understood by or generally familiar to life inmates.
    The board does not point us to a definition of “actuarially derived” or
    “structured . . . approaches” and does not explain what they mean. If the drafters of
    section 2240 had meant simply that the Board of Parole Hearings psychologists may use
    their professional judgment to evaluate an inmate’s potential for future violence, there
    was no need to use the words “actuarially derived” and “structured . . . approaches” to
    modify the type of judgment the psychologist may use. “It is a settled principle of
    statutory construction that courts should ‘strive to give meaning to every word in a statute
    and to avoid constructions that render words, phrases, or clauses superfluous.’ ” (In re
    C.H. (2011) 
    53 Cal. 4th 94
    , 103.) The board’s argument ignores this settled principle,
    indeed ignoring the very words the trial court found lacking in clarity. Thus, the board’s
    7
    argument has failed to persuade us that the trial court erred in finding that the language in
    section 2240, subdivision (b) that “Board of Parole Hearings psychologists may
    incorporate actuarially derived and structured professional judgment approaches to
    evaluate an inmate’s potential for future violence” lacks clarity.
    B
    The Board Has Not Carried Its Burden To Provide Us With An Adequate
    Record To Assess Its Claim That The Court Erred In Finding That The Term
    “Actuarially Derived And Structured Professional Judgment Approaches” Conflicts
    With The Board Of Parole Hearings’ Description Of The Effect Of The Regulation
    “A regulation shall be presumed not to comply with the ‘clarity’ standard if,”
    among other things, “the language of the regulation conflicts with the agency’s
    description of the effect of the regulation.” (Cal. Code Regs., tit. 1, § 16, subd. (a) (2).)
    The trial court ruled that in addition to section 2240 lacking clarity because the
    terms “actuarially derived and structured professional judgment” are not easily
    understood by or generally familiar to life inmates, “the regulation is unclear because the
    language of the regulation conflicts with the agency’s description of the effect of the
    regulation. By using the word ‘may,’ the regulation suggests Board psychologists have
    discretion to decide not only whether to incorporate ‘actuarially derived and structured
    professional judgment approaches’ in evaluating an inmate’s potential for future
    violence, but what, if any, ‘approaches’ to use.” “In contrast, the Board’s description of
    the regulation in the Statement of Reasons refers to a ‘battery’ of risk assessment tools
    ‘selected’ by the Board, and the Statement of Reasons assumes the risk assessment tools
    will be ‘administered’ to inmates to determine their risk of future violence. [Citations.]
    As a result, the regulation is unclear with respect to the responsibilities of the Board
    psychologists who will implement it.”
    The board contends the trial court erred in this finding because section 2240 does
    not conflict with its description of the effect of the regulation. As we explain, the board
    8
    again fails to carry its burden as the appellant to demonstrate error, but this time because
    it has failed to have the administrative record transmitted to our court, which is necessary
    for us to resolve its contention.
    The board’s contention of no conflict is based on its view that “the regulation does
    not state that Board psychologists have discretion to choose what risk assessment
    instruments to use” and “although the explanation of the regulation refers to a ‘battery of
    risk assessments adopted by the Board, nowhere does it state that the adopted risk
    assessments will be used during each and every comprehensive risk assessment. In fact,
    the evidence demonstrates that there are instances where none of these risk assessment
    tools are used.”
    The board’s contention turns on “the evidence,” namely, the rulemaking record.
    Indeed, the trial court cited nine pages of the rulemaking record in its analysis of why
    there was no clarity on this point. Included in these nine pages is the statement of reasons
    that the court relied on in making its determination of no clarity. However, the board
    fails to provide us with this evidence. Instead, the board cites as “the evidence” “CT . . .
    217,” which is its brief in the trial court entitled, “Opposition to Opening Brief.” If we
    follow the trail, that portion of its trial court brief contains a citation to a declaration from
    the Chief Psychologist of the Forensic Assessment Division at the Board of Parole
    Hearings that is included as an exhibit to its “Opposition to Opening Brief.” Doing some
    more investigation into how this declaration may fit into the evidence, we find that in the
    board’s “SUR-REPLY” brief in the trial court, the board claims that “all the information
    in [that psychologist’s] declaration . . . is also in the rulemaking file.”
    The board, however, has not incorporated the rulemaking file into the record on
    appeal. As the appellant challenging the trial court’s ruling that section 2240 lacked
    clarity, it is its burden to include the administrative record if, as it did, it intended to raise
    any issue that requires its consideration. (Cal. Rules of Court, rules 8.120(a)(2).)
    Specifically, “[i]f an appellant intends to raise any issue that requires consideration of the
    9
    record of an administrative proceeding that was admitted in evidence, refused, or lodged
    in the superior court, the record on appeal must include that administrative record,
    transmitted under rule 8.123.” (Ibid.). Here, the administrative record was lodged in the
    trial court. The board, either as appellant or respondent here, should have requested
    transmission to this court of the administrative record that was lodged in the trial court.
    (Cal. Rules of Court, rule 8.123.) We, as the appellate court, have no responsibility to
    perfect an inadequate record. (In re Marriage of Wilcox (2004) 
    124 Cal. App. 4th 492
    ,
    498-499.) “Failure to provide an adequate record concerning an issue challenged on
    appeal requires that the issue be resolved against the appellants.” (Eureka Citizens for
    Responsible Government v. City of Eureka (2007) 
    147 Cal. App. 4th 357
    , 366.)3
    3       Some, but not all, of the rulemaking record that the trial court relied on in making
    its determination of lack of clarity in our part 1B of the Discussion above is included in
    exhibit 1 provided by Sherman-Bey attached to his reply brief.
    Looking at the pages we do have, the board still has not carried its burden to
    persuade us the trial court’s ruling was wrong. Section 2240, subdivision (b) states,
    “Board of Parole Hearings psychologists may incorporate actuarially derived and
    structured professional judgment approaches to evaluate an inmate’s potential for future
    violence.” (Italics added.) Use of the word “may,” rather than the directive “shall,”
    connotes that psychologist have discretion to “incorporate actuarially derived and
    structured professional judgment approaches.” (See In re Marriage of Fossum (2011)
    
    192 Cal. App. 4th 336
    , 348 [it is a well established rule of statutory construction that the
    word “shall” connotes mandatory action and “may” connotes discretionary action].) The
    board has argued that the term “actuarially derived and structured professional judgment
    approaches” simply means “professional judgment.” So, given that and the meaning of
    the word “may,” it follows that the board’s argument is that section 2240, subdivision (b)
    means that psychologists “may” incorporate their “professional judgment” to evaluate an
    inmate’s potential for future violence.
    This conflicts with the board’s description of section 2240 in the revised final
    statement of reasons that we do have. The revised final statement of reasons refers to a
    “risk assessment battery” that “is necessary to assist [Board of Parole Hearings]
    psychologists in anchoring their clinical opinions regarding violence risk by insuring
    overall objectivity and reliability.” The revised final statement of reasons also names two
    specific assessment instruments (the “HCR-20 and LS/CMI”) that “would be
    10
    II
    As To Sherman-Bey’s Appellate Contentions Regarding Public Comments
    And Alleged Misrepresentation Of Facts, He Has Failed To Carry His
    Burden To Show Error Because He Has Failed To Provide An Adequate Record
    Sherman-Bey contends the Board of Parole Hearings failed to substantially
    comply with the Administrative Procedure Act because: (a) the board did not adequately
    respond to public comments; and (b) the board misrepresented facts, namely the findings
    of an expert panel of psychologists concerning various risk assessment instruments that
    were to be used as part of the psychological risk assessment process.
    Regarding the public comments, Sherman-Bey “urge[s] this court to review the
    record and arguments,” which he claims will lead us to the conclusion that the Board of
    Parole Hearings did not substantially respond to the substance of the public comments.
    However, as we noted with the board, appellant Sherman-Bey has also failed to provide
    us with the entire rulemaking record that the trial court reviewed to make its decision.
    Specifically, the trial court based its ruling on review of the rulemaking record
    containing, among other things, the public comments and the Board of Parole Hearings’
    responses, noting the portions of the record it reviewed. It then made a factual finding
    that the Board of Parole Hearings adequately responded to the public comments. On
    appeal, we cannot reverse the trial court’s factual finding unless the appellant has
    provided us with a record demonstrating that the finding is not supported by substantial
    administered as part of the risk assessment battery.” This requirement in the revised final
    statement of reasons for a risk assessment battery consisting of two specific instruments
    to anchor the psychologist’s clinical opinion is contrary to the board’s argument that
    there is no conflict between section 2240 and the board’s description of the effect of the
    regulation. The trial court was correct in ruling the regulation was unclear in this regard
    as well.
    11
    evidence. Without providing us with the rulemaking record, we cannot fully assess the
    evidence. Sherman-Bey has failed to provide us with such a record.4
    4      To the extent some of those comments and responses are contained in exhibit 1
    attached to Sherman-Bey’s reply brief, we address them here.
    Sherman-Bey admits that the “Board did respond in a technical sen[s]e, but in
    reality the responses were incomplete, incorrect, or inadequate.” As the trial court
    correctly ruled: (1) the board substantially responded to the substance of the public
    comments; and (2) to the extent Sherman-Bey disagreed with the substance of the board’s
    responses, a disagreement with an agency’s response does not constitute a failure to
    respond. (See California Assn. of Medical Products Suppliers v. Maxwell-Jolly (2011)
    
    199 Cal. App. 4th 286
    , 307 [a court may declare a regulation invalid only for lack of
    “substantial failure” to comply with the Administrative Procedure Act].)
    One comment noted that section 2240, subdivision (b) does not specify the risk
    assessment instruments the psychologist “may” use and noted that the section “ ‘must
    explicitly prohibit the use of any risk instruments . . . specifically, the PCL-R, HCR-20,
    LS/CMI, and, optionally, the Static-99.’ ” The board did substantially respond to this
    comment. The board stated, “the proposed regulation provides that the ‘Board of Parole
    Hearings may incorporate actuarially derived and structured professional judgment
    approaches to evaluate an inmate’s potential for future violence.’ ” And then the board
    went on to explain that the first three enumerated risk instruments are “among the most
    studied and commonly used violence risk assessments instruments in the field of forensic
    psychology.” The board then cited to and explained in detail the studies that supported
    its view. To the extent that Sherman-Bey in his briefs to this court notes that the term
    “actuarially derived and structured professional approaches” lacks clarity and conflicts
    with the revised final statement of reasons, we have already addressed this in part I of the
    Discussion.
    Another comment claimed that “the use of risk assessment tools by the board and
    the Forensic Assessment Division (FAD) is of no evidentiary value and the FAD’s
    assessment tools are unreliable.” The board did substantially respond to this comment. It
    stated it “disagrees.” The board then explained that the risk assessments were
    “reasonably necessary to assist the Board in determining whether an inmate . . . poses a
    current unreasonable risk of danger to society if released on parole,” but they were only
    “one piece of information available to a hearing panel.” As to reliability, the board
    explained that reliability referred to “the ability of a test to provide consistent results” and
    numerically demonstrated that instruments used by the forensic assessment division had
    an inter-rated reliability of “above .80,” which was considered “excellent.”
    12
    Regarding the misrepresentation of facts, Sherman-Bey contends the Board of
    Parole Hearings misrepresented the findings of the expert panel of psychologists, namely,
    the board falsely claimed that the panel of expert psychologists reached a consensus
    regarding which risk assessment instruments should be used to assess an inmate’s risk,
    but that no such consensus was actually reached.
    The trial court found that the Board of Parole Hearings “did not misrepresent the
    existence of the minutes of the meeting at which the panel of experts voted on the risk
    assessment tools.” Further, “even if there was a misstatement, it was minor, and it was
    corrected in the Final Statement of Reasons, where the Board clarified that the risk
    assessment tools were selected based on a ‘ranked vote.’ ” In making these findings, the
    trial court cited the rulemaking record that we do not have. Just like with Sherman-Bey’s
    contention regarding the public comments, we cannot reverse the trial court’s factual
    finding unless the appellant has provided us with an adequate record. Because he has not
    provided us with the entire rulemaking record that was lodged in the trial court, Sherman-
    Bey has failed to meet his burden in this regard.5
    Finally, a third set of comments claimed particular risk assessment tools were not
    valid for life inmates. Again the board did substantially respond to these comments. The
    board acknowledged that “some researchers have correctly observed that no risk
    assessment tools have been specifically validated for the life inmate population” but that
    the tools used by the forensic assessment division “have been developed and/or cross-
    validated for use with correctional populations and allows reasonably modest inferences
    to be drawn from comparisons between life inmates and other prisoners.”
    5      To the extent we can piece together at least some of the rulemaking record (both in
    the clerk’s transcript and in exhibit 1 of Sherman-Bey’s reply brief) that the trial court
    examined to address this contention, we discuss that record here.
    In the revised initial statement of reasons, the board stated there was a “consensus”
    of an expert panel that “the HCR-20/PCL-R and LS/CMI were the most appropriate risk-
    assessment tools for the California lifer population, and the panel recommended this
    battery of tools to the [board].” Sherman-Bey contends as he did in the trial court that
    this was a misrepresentation because no consensus was actually reached. He notes that in
    13
    III
    Sherman-Bey’s Contention That The Board Of Parole Hearings Improperly Focused On
    The Use Of Certain Risk Assessment Tools In Implementing Section 2240
    Does Not Demonstrate That Section 2240 Was Unnecessary
    For a regulation to comply with the Administrative Procedure Act, the regulation
    must be reasonably necessary to effectuate the purpose of the statute that the regulation
    implements, interprets, or makes specific. (California Assn. of Medical Products
    Suppliers v. 
    Maxwell-Jolly, supra
    , 199 Cal.App.4th at p. 316.)
    Focusing not on the regulation but on the risk assessment tools (which are not
    mentioned in section 2240), Sherman-Bey contends, as he did in the trial court, “that the
    risk assessment tools were not reasonably necessary to effectuate a determination of an
    inmate[’]s suitability for parole.” He claims that the Board of Parole Hearings’ focus on
    particular risk assessment tools was “not supported by substantial evidence” and was
    based “on a misrepresentation,” which shows that the board’s “determination was
    arbitrary and capricious and should not be deferred to.”
    the final statement of reasons, this notation of “consensus recommendation” was changed
    to the following: “The panel agreed that a multi-method psychological risk assessment
    battery would be employed by the State of California for [life inmates]. Based on a
    ranked vote, it was determined that the HCR-20 and LS/CMI would be administered as
    part of the risk assessment battery.” (Italics added.)
    Assuming there is a difference between the term “consensus” and “ranked vote,”
    this does not show a “mischaracterization” on the part of the board or a lack of substantial
    compliance with the Administrative Procedure Act in a way that compromises any of its
    reasonable objectives, namely here, meaningful participation by the public who has
    “timely received all available information that is relevant to the proposed regulations,
    accurate, and as complete as reasonably possible.” (Sims v. Department of Corrections &
    Rehabilitation (2013) 
    216 Cal. App. 4th 1059
    , 1073.) The board clarified that it meant
    ranked vote instead of consensus recommendation and the public was informed of this
    change in the final statement of reasons.
    14
    In responding to this contention, the trial court focused on the necessity of
    section 2240, noting the reasons the Board of Parole Hearings cited for the regulation,
    including the following: (1) the Board of Parole Hearings’ duty to consider an inmate’s
    past and present mental state when considering the inmate’s parole suitability; (2) the
    requirement in Penal Code section 5068 for preparation of a psychological evaluation
    before the release of a life inmate; (3) ongoing concerns about mental health staff from
    the California Department of Corrections and Rehabilitation performing the
    psychological evaluations of life inmates, as their primary job was providing mental
    health care to mentally ill inmates, so the evaluations were often not completed in time
    for the inmates’ parole suitability hearing; (4) orders from another trial court in a class
    action lawsuit that the Board of Parole Hearings develop a “ ‘streamlined psychological
    risk assessment’ ” process to be used for parole suitability hearings and that a minimum
    number of qualified psychologists be in place to prepare the psychological evaluations;
    and (5) the Office of Administrative Law’s determination that the psychological reporting
    process of the Board of Parole Hearings was an underground regulation.
    The trial court’s focus on the necessity of the regulation was proper. The
    reliability of the specific risk assessments used was not an issue properly before the trial
    court because (even as Sherman-Bey admits) the regulation does not specify the risk
    assessment instruments that the Board of Parole Hearings’ psychologists may use. In
    reviewing “whether the regulation is ‘reasonably necessary’ . . . the court will defer to the
    agency’s expertise and will not ‘super-impose its own policy judgment upon the agency
    in the absence of an arbitrary and capricious decision.’ ” (Stoneham v. Rushen (1984)
    
    156 Cal. App. 3d 302
    , 308.) Here, Sherman-Bey does not challenge the five enumerated
    reasons the Board of Parole Hearings cited for the necessity of the regulation, so he has
    not demonstrated that the use of those reasons made the board’s determination of
    necessity arbitrary and capricious.
    15
    IV
    Sherman-Bey Has Not Carried His Burden To Demonstrate
    That Section 2240 Conflicts With Other Laws
    Regulations must be reviewed for consistency with other laws (along with
    reviewing for necessity and clarity, among others factors). (Gov. Code, § 11349.1,
    subd. (a)(4).) Sherman-Bey contends, as he did in the trial court, that section 2240
    conflicts with the requirement that the denial of parole suitability be based on evidence of
    current dangerousness (In re Lawrence (2008) 
    44 Cal. 4th 1181
    , 1191) and with the
    requirement that prohibits (with some exceptions) conducting biomedical and behavioral
    research on prisoners (Pen. Code, §§ 3502, 3516).
    The trial court concluded that section 2240 does not conflict with Lawrence
    because the psychological evaluations in section 2240 are used to help determine an
    inmate’s current dangerousness, and section 2240 does not contravene the prohibition on
    inmate research because it does not authorize the Board of Parole Hearings to conduct
    research on inmates.
    The trial court was correct. As to Lawrence, section 2240, subdivision (b) requires
    in the comprehensive risk assessment an analysis of “both static and dynamic factors,”
    which may include, but is not limited to, the inmate’s “present mental state.” This is
    consistent with Lawrence, which requires an assessment of current dangerousness and not
    just static factors such as the egregiousness of the commitment offense. (In re 
    Lawrence, supra
    , 44 Cal.4th at p. 1191.) As to inmate research, as Sherman-Bey himself notes,
    section 2240 “does not on its face authorize research on inmates.” But then he cites
    portions of the rulemaking record that he claims “describes that [the Board of Parole
    Hearings] will conduct research on inmates.” As to this latter claim based on the
    rulemaking record, we must resolve it against Sherman-Bey because he has failed to
    provide us with the rulemaking record. (Hernandez v. California Hospital Medical
    16
    Center (2000) 
    78 Cal. App. 4th 498
    , 502 [“Failure to provide an adequate record on an
    issue requires that the issue be resolved against [appellant]”].)6
    V
    The Board Of Parole Hearings Was Not Required To Remove Psychological Evaluations
    Performed Before The Enactment Of Section 2240 From Sherman-Bey’s File
    Sherman-Bey contends, as he did in the trial court, that all psychological
    evaluations completed by the Board of Parole Hearings conducted pursuant to the
    underground regulation are invalid and should be removed from his and other inmates’
    files.
    Sherman-Bey has standing to challenge only his own psychological evaluations.
    “As a general rule, legal standing to petition for a writ of mandate requires the petitioner
    6     To the extent there is a section entitled “future research,” in the revised final
    statement of reasons contained in exhibit 1 attached to Sherman-Bey’s reply brief, that
    Sherman-Bey contends touches on “inmate research,” we address that here.
    The section entitled “future research” states “[t]he panel felt that it would be
    valuable to conduct research to validate the reliability of risk assessment results for a[]
    [life] inmate population.” The section then delineates four “[a]reas of particular need for
    future research”: (1) “[t]rack[ing] the performance of the [level of service/case
    management inventory] and [historical, clinical, and risk management-20 test] for
    predicting institutional behavior”; (2) “[c]ompar[ing] the [level of service/case
    management inventory and historical, clinical, and risk management-20 test] for overlap,
    reliability, and incremental validity”; (3) “[a]nalyz[ing] the effect of rater reliability on
    the administration of risk assessment tests and their corresponding results”; and
    (4) “[d]eploy[ing]” [a corrections assessment intervention system] or [case management
    inventory] on subsets of inmate population to evaluate the effect of various needs of
    assessment instruments.”
    This section does not authorize the board to conduct research on inmates. Rather,
    this section details part of a process to track the reliability and validity of the battery of
    tests used to “assess risk of or determine the likelihood of dangerousness or violence” of
    inmates eligible for parole and to ensure that the risk assessment tools the psychologists
    employ are also reliable and valid for life inmates.
    17
    to have a beneficial interest in the writ’s issuance.” (Rialto Citizens for Responsible
    Growth v. City of Rialto (2012) 
    208 Cal. App. 4th 899
    , 913.) “ ‘The requirement that a
    petitioner be “beneficially interested” has been generally interpreted to mean that one
    may obtain the writ only if the person has some special interest to be served or some
    particular right to be preserved or protected over and above the interest held in common
    with the public at large.’ ” (Save the Plastic Bag Coalition v. City of Manhattan Beach
    (2011) 
    52 Cal. 4th 155
    , 165.) Here, Sherman-Bey has a beneficial interest in only his own
    psychological evaluations. Thus, he does not have standing to argue that all the
    psychological evaluations of other inmates during the relevant time period be declared
    invalid.
    Turning to his own evaluations, Sherman-Bey has still not demonstrated that the
    Board of Parole Hearings had a duty to remove from his prison central file the
    psychological evaluations completed pursuant to the underground regulation. The
    California Supreme Court has addressed what happens when a petitioner challenges an
    agency’s decision made pursuant to a policy determined to be an underground regulation.
    (Tidewater Marine Western, Inc. v. Bradshaw (1996) 
    14 Cal. 4th 557
    , 576-577.) “[T]he
    . . . policy may be void, but the underlying . . . orders are not void.” (Id. at p. 577.) If
    the underlying orders were void, it would undermine the controlling law. (Ibid.) Here,
    since the evaluations themselves are not void, Sherman-Bey has no right to have them
    removed from his file simply because they were promulgated pursuant to an underground
    regulation.
    We note one final point. The law provides Sherman-Bey with an adequate remedy
    if he believes there is a basis for questioning a psychological evaluation in his file. “In
    every case where the hearing panel considers a psychological report, the inmate and
    his/her attorney, at the hearing, will have an opportunity to rebut or challenge the
    psychological report and its findings on the record. The hearing panel will determine, at
    18
    its discretion, what evidentiary weight to give psychological reports.” (§ 2240,
    subd. (d).)
    DISPOSITION
    The judgment is affirmed. The parties shall bear their own costs on appeal. (Cal.
    Rules of Court, rule 8.278(a)(5).)
    /s/
    Robie, J.
    We concur:
    /s/
    Raye, P. J.
    /s/
    Mauro, J.
    19
    

Document Info

Docket Number: C077499

Filed Date: 1/14/2016

Precedential Status: Non-Precedential

Modified Date: 1/15/2016