In re Riley ( 2014 )


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  • Filed 5/22/14
    CERTIFIED FOR PUBLICATION
    IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
    FIRST APPELLATE DISTRICT
    DIVISION TWO
    A137349
    In re CHARLES RILEY,
    (Marin County
    on Habeas Corpus.                          Super. Ct. No. SC181491A)
    Charles Riley, a life-term state prison inmate convicted of first degree murder in
    1976, petitions for a writ of habeas corpus from a decision of the Board of Parole
    Hearings (Board) denying him parole. He contends the Board’s finding of current
    dangerousness is unsupported by the evidence; the Board failed to consider his age as a
    relevant factor supporting suitability for parole; and his prison term is unconstitutionally
    disproportionate and excessive. We agree with petitioner’s first contention and,
    accordingly, will grant the petition and remand for a new parole hearing.
    STATEMENT OF THE CASE
    On January 26, 1976, petitioner was convicted of the June 21, 1975 first degree
    murders of his then-girlfriend’s parents. He was originally sentenced to death, but while
    his case was on appeal, the California Supreme Court declared the statutory death penalty
    scheme unconstitutional (Rockwell v. Superior Court (1976) 
    18 Cal.3d 420
    ) and the
    Court of Appeal modified petitioner’s sentence to life imprisonment on each count, to run
    concurrently. His minimum eligible parole was set at seven years, June 27, 1982.
    At a hearing on November 28, 2011, the Board found him unsuitable for parole.
    Petitioner challenged the parole denial with a petition for writ of habeas corpus filed in
    the Marin County Superior Court on July 31, 2012. The petition was denied on
    September 24, 2012.
    1
    The present petition was filed in this court on December 18, 2012. We issued an
    order to show cause on May 7, 2013, and the parties subsequently filed their return and
    traverse.
    STATEMENT OF FACTS
    At the time of the November 2011 parole hearing at issue here, petitioner was 56
    years old. He committed his crimes when he was about a month past his 20th birthday
    and his then-girlfriend was 16 years old.
    The January 31, 2011 Comprehensive Risk Assessment prepared for the current
    parole review hearing described the commitment offenses as follows:
    “According to the Circumstances of Offense Report dated June 8, 1977, and as
    reflected in the most recent (2008) psychological evaluation, Charles Riley (age 19) and
    his girlfriend, Marlene Olive (age 16) planned and executed the murder of Marlene’s
    parents on June 21, 1975, in Marin County. Marlene Olive divulged to friends that her
    boyfriend, Charles Riley, hit her mother on the head with a hammer while she was
    sleeping in the sewing room of her home. She also stated that her father was shot in the
    back by Charles Riley. She admitted to wrapping up her parents’ bodies in sheets and
    waiting until dark. Once it was dark, both she and Riley took the bodies to the fire pits at
    China Camp where the bodies were burned using wood and gasoline. During the trial,
    witnesses testified that Mr. Riley admitted to killing both victims. Apparently Mr. Riley
    and Marlene Olive were going to wait until the victims were pronounced dead, collect the
    insurance money, and go to Ecuador, South America.”
    The Court of Appeal’s 1978 opinion summarized petitioner’s statement to the
    police at the time of his arrest: “Defendant and Marlene had been planning to murder the
    Olives for some time in order to prevent them from keeping him and Marlene apart; on
    the day of the killings (June 21) Marlene telephoned urging him to get his gun; it was
    prearranged that Marlene would lure her father from the house allowing defendant to
    enter and kill Mrs. Olive with a conveniently placed hammer; and then shoot Mr. Olive
    upon his return to the house; defendant obtained his gun (a .22 caliber revolver) and
    2
    loaded it with bullets purchased for him by a friend; upon entering the sewing room,
    defendant bludgeoned the sleeping Mrs. Olive with the hammer (in a later confession to
    the jail nurse, defendant recounted his difficulty in dislodging the hammer and of the
    necessity to stab and suffocate Mrs. Olive because she continued to breathe); defendant
    then hid awaiting Mr. Olive’s arrival; when Mr. Olive arrived and discovered the body of
    his wife, defendant shot him in the back; sometime later, the two of them tidied up the
    sewing room and rearranged certain furniture; later that evening, they placed the bodies
    (wrapped in sheets) in the Olives’ automobile and drove to the firepits area where the
    bodies were doused with gasoline and set afire; defendant returned to the area on two
    occasions (later that night or early morning and again on June 23) and burned some of the
    unconsumed remains and other evidence; defendant stated he was ‘high’ on drugs when
    he committed the murders; defendant admitted discussing the killings with Deanna [a
    friend] on June 23.” Petitioner also admitted cashing personal checks belonging to one of
    the victims several days after the killings.
    As related in the court’s opinion, at trial petitioner repudiated his confessions,
    claiming he had initially admitted his guilt in order to protect Marlene. He denied any
    complicity in the murder of Mrs. Olive and claimed self-defense in the killing of Mr.
    Olive, admitting only that he participated in the activities to conceal the crimes and
    dispose of the corpses and the theft and use of money taken from Mr. Olive’s wallet. The
    court found petitioner’s testimony about shooting Mr. Olive in self defense “implausible”
    and noted that petitioner and Marlene had “strong motives” to commit the crimes, in
    “Marlene’s frequently expressed hatred for her parents and [petitioner’s] anxiety to
    please her, the Olives’ efforts to prevent Marlene from seeing [petitioner], and the
    personal monetary gain through the death of her parents (Marlene was the sole
    beneficiary in her parents’ will), intended to finance their trip to South America.”1
    1
    According to an article in the Los Angeles Times, Marlene was held in the
    custody of the California Youth Authority until she turned 21. Over the ensuing years,
    she was arrested many times on forgery and drug related charges and served time in jail.
    In 1992, she was arrested for possession of stolen credit cards, counterfeit identification
    3
    Police reports from the investigation of the homicides include various indications
    of Marlene’s expressions of desire to kill her parents. A letter to petitioner, found in his
    home, read in part, “ ‘Of course I hope you’ll wait till I’m 17 to marry me or kill my
    parents.’ ” Another letter to petitioner found in Marlene’s bedroom read, “ ‘If I could kill
    my parents, I wonder if Susan could come live with me.’ ” A third letter, found in
    Marlene’s bedroom and dated January 1974, was addressed to “ ‘Mike,’ ” whom the
    police officer writing the report believed to be a former boyfriend of Marlene’s, and read,
    “ ‘I was thinking about what you said, about that man who would take care of my Mom.
    I think we should talk it over, together. You and I. I’d be worried about what would
    happen after she died. But whatever did, wouldn’t keep me away from you.’ ” The
    police reports include several statements from witnesses who heard Marlene express her
    desire and intention to kill her parents.2
    A social evaluation by a correctional counselor at San Quentin Prison early in
    petitioner’s incarceration at San Quentin described him as a “very quiet, mild mannered,
    shy and withdrawn type of person, who never did have a lot of close friends but always
    craved for close interpersonal relationships with others. Quite probably he just never got
    beyond the immature and overly dependent pre-adolescent stage of emotional
    development.” Petitioner exhibited “a low image of himself” and appeared to be “an
    inadequate type of person who is unable to cope with the demands of living in the
    complex and urbane society,” “socially and emotionally isolated and quite
    and a forged check; police believed her to be one of the leaders of a ring of thieves and
    the main supplier of phony checks and credentials to the group.
    2
    A 17-year-old boy told the officer that he had heard Marlene state on several
    different occasions that she would like to kill her mother and father. After a double date,
    Marlene’s date told the witness that Marlene had “asked him to supply a bomb so that she
    could blow up her parents car.” A girl who had been acquainted with Marlene for about
    one and a half years said that Marlene hated her parents, wished they were dead and often
    talked about killing them, saying on different occasions that she was going to poison
    them, blow them up in their car and push them off a cliff in their car. She did not take
    Marlene seriously, including on an occasion when Marlene asked her to be an alibi
    witness “as Marlene was thinking about killing her parents.”
    4
    unsophisticated.” He “felt inferior due to his overweight condition and big stature” and
    his sense of “ ‘not belonging’ ” was exacerbated by the family’s move to Arkansas for
    16 months when he was in grade school, after which he was not able to resume contact
    with “ ‘the old crowd’ ” and began to associate with younger peers. He began to smoke
    marijuana just before starting seventh grade and found a sense of “status” in giving or
    selling drugs to high school students as well as in his motorcycle. He did not date girls
    and had no girlfriend or sexual intercourse until he was 19 and met Marlene Olive. By
    his description of their relationship, he was “passive, insecure and greatly dependent
    upon” her and she took “the domineering, aggressive and influential role of leadership.”
    She “sought him out for sex, not just daily but even more than once a day. He now
    reflects back and sees that she forced him to remain childlike, dependent upon her
    approval, wanting to always please her, while she could be ‘the adult’ and dominate his
    emotions and behavior. [¶] Reportedly, this ‘love affair’ had a very forcefully direct
    influence in motivating their decision and actions in committing these homicides.”
    The counselor noted that the “psychodynamics of the relationship of the Subject to
    his girlfriend/crime partner seems to be pivotal in evaluating this case,” that “these
    homicides are not in keeping with his overall social background” and that “[h]is short-
    lived criminal career does not suggest an underlying and basic antisocial/criminal mind or
    orientation. That Subject is guilty of these murders in undeniable. Also, that Subject is
    an inadequate person goes without question.”
    In a 1997 interview conducted as part of the evaluation for a parole consideration
    hearing, petitioner maintained that when he arrived at the Olives’ house, Marlene had
    already hit her mother on the head with the hammer, that he shot Mr. Olive in self-
    defense when Mr. Olive attacked him after finding his wife’s body, believing that
    petitioner had killed her. Petitioner stated that after shooting Mr. Olive, he saw that
    Mrs. Olive was suffering and barely clinging to life, so he took a pillow and suffocated
    her. Petitioner insisted that the murders had not been planned for a long period of time,
    stating that Marlene talked to him about killing her parents, especially her mother, but
    5
    this was “only mentioned in passing and he felt that it would never actually take place.”
    This report noted, along with a number of aggravating factors relating to the offense, that
    petitioner was “induced by [Marlene] to commit the crime of murder. It appears that his
    girlfriend had a great deal of influence over him.”
    In the 2010 interview for the current evaluation, petitioner initially did not want to
    discuss the crime, saying, “ ‘It won’t make any difference. My memory is tainted. When
    I think about it, I think how unnecessary it was. Had I been stronger, had more
    backbone, the first time her hatred came up I should have gotten out. I just accept my
    responsibility for it—the nuances of who did what—I was there. I could have prevented
    this months earlier. I didn’t because my relationship with my girlfriend was so important
    to me at that time. I had immersed myself in the marijuana subculture—don’t be a
    snitch.’ ” Petitioner expressed concern that “whatever he said would sound like he was
    trying to blame others and not take responsibility for what he did. He reiterated that he
    takes full responsibility for the deaths of two people” and added, “ ‘I would do anything I
    could to undo what I did.’ ”
    The psychologist who conducted the current assessment, Dr. Twohy, stated that
    petitioner’s “expressed remorse for killing two people appeared to be internalized and
    emotional, rather than intellectualized and distant. He did not, however, expound on
    intrinsic exploration of his motivations, other than to indicate his peer-pressured drive to
    use substances and his emotional reliance on having Marlene as his girlfriend.”3 He
    3
    Dr. Twohy observed, “While there is no clearly differentiated causal relationship
    between insight and behavior, it is generally accepted that insight is helpful in sincerely
    addressing areas of potential behavioral problems. In this respect, a lack of insight is one
    of the predictors of poor outcomes, increases the likelihood of non-compliance with
    treatment and predisposes an individual to repeat past mistakes. [¶] It should be noted
    that insight and remorse are abstract concepts, which do not readily lend themselves to
    operationalized definition or reliable quantifiable measurement. Therefore, any opinions
    regarding insight and self-assessment are subjective in nature, and should be interpreted
    with this caveat in mind.”
    6
    “showed a good level of insight into his situation, his psychological strengths and
    weaknesses, and into some of the potential underlying causes for his offense.”
    Petitioner was raised in an intact family that was “stable and devoid of serious
    interfamilial conflicts,” with no reported early emotional nor behavioral problems.” His
    record indicated no juvenile delinquency or antisocial conduct. His first adult arrest was
    on March 26, 1975, when he and his girlfriend stole $1,114 worth of clothes from a
    department store, she directing him what to take. He was again arrested on May 14, 1975
    for possession of a weapon and marijuana. The record does not reflect the disposition of
    these cases. Petitioner’s next arrest, on July 1, 1975, was for the homicides.
    Petitioner dropped out of high school during his senior year, with only a few units
    needed to graduate, then earned his high school diploma while in county jail. Prior to his
    incarceration, he had had several different jobs, including delivering newspapers,
    delivering pizza, bartending, and working in a circuit board factory. While incarcerated,
    he earned a Bachelor of Science degree in Business Administration from Chapman
    College. His prison work reports were “mostly above average to exceptional.” Petitioner
    had completed Vocational Drafting with A+ grades, and his instructor stated he was
    employable in that field. He had worked in the Prison Industry Authority (PIA) shoe
    factory, and, through the vocational machine shop, had completed training as a milling
    machine operator, a tool grinder operator and a lathe operator. He married twice: At
    age 29, he married a woman he met through correspondence, but they divorced after a
    year; then at age 31, he married a woman to whom he remained married for 10 years,
    when she died of breast cancer.
    Petitioner’s records indicated he had incurred six rules violation reports (CDC
    [California Department of Corrections] 115s) during his 35-year incarceration, most
    recently in 1979.4 He had been issued three Counseling Chronos (CDC 128As),
    reflecting “minor misconduct,” most recently in 2003.5
    4
    “Rules Violation Reports” document misconduct that “is believed to be a
    violation of law or is not minor in nature.” (Cal. Code Regs., tit. 15, § 3312,
    7
    The risk assessment prepared for the current parole hearing related petitioner’s
    report that his substance abuse as a teenager and young adult included marijuana, alcohol,
    hallucinogens, and cocaine, and that before he first used substances, he had been
    ostracized by his peers for not using. He believed his substance abuse began as a
    “surrender to peer pressure” and rebellion, especially against his father. He said his use
    of alcohol and drugs “probably played a role in his life offense in that he was ‘not
    operating fully cognizant of everything[,]’ although he did not “blame the substances for
    his offenses” and took “full responsibility” for both his substance abuse and the offenses.
    He stopped using all hard drugs but used marijuana while incarcerated until the mid-
    1980s; he had not used any mind-altering substance since the 1980s and stated he would
    never again do so. Petitioner had participated in 12-step programs at various times
    throughout his incarceration and, most recently, had been an active member of Narcotics
    Anonymous (NA) from 2008 on. He stated he was committed to remaining clean and
    sober and liked “ ‘having clarity of mind.’ ”
    Petitioner has several medical conditions, including sleep apnea (for which he uses
    a “CPAP” machine), benign prostatic hyperplasia and gastroesophageal reflux disease,
    and is considered “mobility impaired,” using a cane and wearing orthopedic shoes.
    The 2011 Risk Assessment report summarized the conclusions of petitioner’s prior
    evaluations for the Board:
    subd. (a)(3).) The CDC 115s, dating from July 1977 to January 1979, were apparently
    for “fighting in ’77, paraphernalia, telephone, contraband, behavioral expectations” and,
    most recently, “disobeying orders.”
    All further references to Regulations (Regs.) are to the California Code of
    Regulations, title 15 [Crime Prevention and Correction], division 2 [Board of Parole
    Hearings], section 2000 et seq.
    5
    “Custodial Counseling Chronos” document “minor misconduct.” (Regs., § 3312,
    subd. (a)(2).) Petitioner’s chronos were for smoking inside a building (1994), unsanitary
    living quarters (2000), and “storing items in a prescription refill back other than
    prescribed medication.” Petitioner believed this last incident involved him using a
    medication container to take coffee to work.
    8
     In 1982, senior psychiatrist Sherman Butler reported that petitioner had “no
    mental disorder and that ‘his violence potential at present appears no more than
    average.’ ” Senior psychiatrist Robert Brandmeyer agreed with Dr. Butler and
    also reported that petitioner appeared “ ‘somewhat insightful’ and that he had
    made definite gains from the many Peer Counseling Programs in which he had
    participated.”
     In 1985, after reevaluating petitioner, Dr. Brandmeyer again found no medical
    disorder and no more than an average risk of violence.
     In 1987, the psychiatric council for the “Diagnostic Unit” concluded that
    petitioner had “limited insight and evaded responsibility for his life crime,”
    that testing indicated “narcissistic, antisocial, and histrionic personality traits,
    but no personality disorder,” and that petitioner’s testing was “favorable in
    terms of violence proneness.” Petitioner was given a diagnosis of “ ‘Mixed
    Substance Abuse in Institutional Remission.’ ”
     In 1989, Dr. Butler reevaluated petitioner and found he was emotionally stable,
    he did not meet criteria for any psychiatric diagnosis, and his “violence
    potential outside of a controlled setting ‘is estimated to be less than average.’ ”
     In 1990, psychologist Gary Elem agreed with earlier evaluations and
    recommended that petitioner “ ‘be given strong consideration for parole as
    soon as the Board of Prison Terms Panel finds it appropriate.’ ”
     In 1993, psychologist Ronald Hall found petitioner was “candid,” openly
    discussed his crimes, and took full responsibility and demonstrated remorse for
    his crimes. Dr. Hall diagnosed “Psychoactive Substance Abuse in Full
    Remission” and concluded that petitioner’s “ ‘level of dangerousness is far less
    than that of the average inmate and that his progress for a positive re-entry into
    society is a positive transition.’ ”
     In 1995, psychologist Erich Rueschenberg found no mental illness and stated
    that in the community, petitioner “ ‘should be able to hold on to his present
    9
    gains if he is able to maintain positive relationships with his family members
    and remain drug-free.’ ”
     In 1997, psychologist L. W. Berning found petitioner had no mental illness,
    had maintained a “ ‘productive level of programming for many years,’ ” and he
    “ ‘had made important gains in his maturity.’ ” Dr. Berning concluded that
    petitioner’s “ ‘potential for inflicting violence on members of the community
    would appear to be low, given the circumstances of the crime and his
    insignificant criminal history.’ ”
     In 2002, psychologist Joe Livingston reported that petitioner’s scores on
    assessment measures indicated a “low to moderate level of risk for future
    violence.” He stated, “ ‘This outcome can be adjusted slightly downwards
    consequent to the dynamic factors which are largely protective from a risk of
    violence. Hence, the tests indicate a low risk of violence over the next ten
    years.’ ”
     In 2004, Dr. Livingston again reported a “low risk of future violence in the free
    community.”
     In 2008, psychologist Richard Starrett evaluated petitioner based on a review
    of the file, as petitioner declined to participate in an evaluation interview.
    Dr. Starrett reported that petitioner had no psychiatric diagnosis and “was
    deemed to be at low risk for future violence in the free community.”
    Dr. Twohy reported that petitioner currently saw himself as a “very caring and
    giving person, as optimistic, and as a peacemaker,” describing his greatest personal
    strengths as “being able to maintain an even keel, to stay focused, to avoid jumping to
    conclusions, to be very forthright and honest, and to maintain his integrity,” and his
    greatest weakness to be “his tendency to ‘feel too much’ sometimes—that is, to be overly
    sentimental.” Asked what he had learned in prison, petitioner stated, “I have learned to
    be independent. I don’t succumb to peer pressure. Prison gave me a chance to step back
    and determine what I want to change. And, it gave me a chance to get an education.”
    10
    Petitioner’s risk of violence was evaluated with two assessment guides
    specifically . . . used to estimate risk of future violence and one used to estimate general
    risk of recidivism. On the first of these, petitioner’s score placed him in the “very low”
    range as compared to other North American male offenders, in the first percentile. The
    “demonstrated factors” were related to his past, including his “historical need for
    stimulation and proneness to boredom, shallow affect, impulsivity, and irresponsibility.”
    On the second measure, petitioner’s score placed him in the “low” risk category.
    The “Historical” domain of this assessment indicated that he was 20 years old at the time
    of his first violence, and had a history of relationship instability and substance abuse
    problems; Dr. Twohy noted that, by definition, the historical data was “not amenable to
    significant positive change regardless of the number of years of his incarceration.” In the
    “Clinical” or current domain, petitioner “displayed no predictive factors for recidivism.”
    In the “Management of Future Risk” domain, Dr. Twohy stated that petitioner’s plans for
    parole appeared feasible but needed to be backed up by current letters of support, that he
    might be overly optimistic about the ease of finding steady employment; that it appeared
    he would have support and assistance from family members and friends but would
    benefit from exploring other support resources; and that his participation in self-help
    groups in prison suggested he had the ability to seek out and participate in treatment
    activities in the community. Finally, on the assessment of general risk of recidivism,
    petitioner scored in the “low” range, at approximately the first percentile. The
    “endorsed” items on this measure were primarily related to historical factors including his
    offense, infractions while incarcerated and history of substance abuse. Dr. Twohy
    concluded that petitioner’s overall risk for violence in the free community was “low.”
    This conclusion was consistent with other evaluations in the record. In 1997,
    correctional counselor L.J. May stated, “[c]onsidering the commitment offense, prior
    minimal arrest history and excellent prison adjustment, I feel that [petitioner] would pose
    a low to unpredictable degree of threat if released at this time. He has done an
    exceptional job in maintaining a positive attitude while inside a structured
    11
    environment. . . . In the past nineteen years, I have supervised [petitioner] as a
    Correctional Officer, a Program Supervisor and as a Correctional Sergeant. I feel that if
    there were such a thing as a ‘model inmate’, [petitioner] would have to be at the top of
    the list. His adjustment to life in CDC and his disciplinary free history speaks for itself.
    He maintains the same positive and courteous attitude that he has always kept.” May
    reported that petitioner’s file did not indicate he had participated in any self-help
    programming or attended any substance abuse programming; he noted that petitioner did
    not attend substance abuse groups “as it would conflict with his ongoing Church
    program,” that he was the senior person in the Jewish Chapel and that he assisted with
    many fundraising projects and was involved in the 12-step program in the Jewish Chapel.
    In a 2002 evaluation for a parole consideration hearing, correctional counselor
    J.D. Gerard stated, based on an interview and “approximately 10 to 12 years of casework
    and educational contact, that petitioner would pose a “very low degree of threat” if
    released at that time. The evaluation noted that since the last hearing, petitioner’s
    “behavior has remained consistent, conforming and positive” and he received
    “exceptional and above average work grades.” Gerard related that at the time of his
    offense, petitioner was “easily influenced and led by his crime partner and girlfriend,
    Marlene Olive,” had “very low self-esteem” and negatively influenced by heavy drug
    use. Gerard stated, “He has somehow managed to maintain a positive attitude and
    outlook. He continues to seek self-knowledge and improvement through the Jewish
    Chaplain’s Interfaith Twelve-Step program and process oriented Conflict Resolution
    group. His self-esteem and social skills are good. [Petitioner] has learned to make good
    choices and follow through with them. He is thoughtful, considerate and well-liked by
    staff and inmates.”
    In a 2004 evaluation, Gerard again concluded, “Considering the commitment
    offense, prior minimal arrest history, and excellent prison adjustment, I believe
    [petitioner] presents a very low degree of threat to the public if released from prison at
    this time. The crime occurred during a brief period of time during which [petitioner’s]
    12
    behavior was aberrant due to heavy drug use, low self-esteem, and bad influence of social
    peers.” The evaluation noted that petitioner had completed a nine week “Project Change
    Program,” including “intensive substance abuse education,” and that as a non-psychiatric
    inmate, petitioner had “very limited access to therapy/self-help programs” but did
    “participate in what is available to him.” This evaluation noted that petitioner had
    completed “Computer Assisted Drafting” and was “employable in that field.” Gerard felt
    petitioner’s plans were “sound and realistic. With his high level of education, strong
    work ethic, good work skills, and support of family, he should be able to obtain a
    sufficient living.”
    A 2008 laudatory chrono from Rabbi L.A. Moskowitz stated that he had known
    petitioner for 10 years, during which time he had observed petitioner “demonstrate
    positive and mature interpersonal skills when communicating with his peers, community
    volunteers and Correctional Chaplains. His exhibited ability to follow[] directions,
    exercise good judgment and displayed patience is inspirational to the inmates in the
    Jewish congregation. [Petitioner] and I have conversed in regards to his inappropriate
    behavior, which led up to his commitment offense. He genuinely expresses remorse for
    his behavior. I believe he understands the expectations of this institution, the Board of
    Parole Hearings, and society in order to receive a parole/release date. [Petitioner] is
    commended for his efforts to continue to gain insight into his life choices that resulted in
    his incarceration.”
    In 2011, Rabbi Moskowitz wrote to the Board in support of petitioner’s release,
    describing petitioner as “an active and upstanding member of the Jewish community at
    CMC East. He attends Jewish services and religious programming regularly. He models
    the ideals of ethical monotheism. He is polite, courteous and willing to help others. He
    serves as an upright example for other inmates to emulate.” Rabbi Moskowitz stated that
    petitioner was “involved in numerous programs of education, personal growth, behavior
    modification and pro-social behavior,” having earned his degree in Business
    Administration from Chapman University, completed five CALPIA (California Prison
    13
    Industry Authority) certificates at his workplace, regularly attended the Jewish 12-Steps
    programming and Jewish Committee for Personal Services/Gateways Hospital’s one-on-
    one counseling, maintained active membership in good standing in the CMC’s ILTAG
    (Inmate Leisure Time Activity Group) Narcotics Anonymous group, completed the
    Alternative to Violence Program basic and advanced workshops, and regularly
    contributed funds to CMC’s Jewish Chapel Stewardship account and other community
    fundraisers. The Rabbi concurred with assessments in petitioner’s file finding him to be
    at low risk for future violence in the free community.
    With regard to plans for parole, Dr. Twohy’s report related that petitioner intended
    to live in Santa Rosa, where he had many family members and friends and would have
    the most support for his transition back into the community. He planned to live with or
    close to his mother, had a union contact in the Bay Area who would help him find
    employment, and planned to continue his involvement with Narcotics Anonymous (NA)
    and/or Alcoholics Anonymous (AA). Commenting that “[a]lleged sobriety in a
    controlled environment for an extended period of time is not synonymous with continued
    abstinence in the free community[,]” Dr. Twohy noted that a comprehensive relapse
    prevention plan would be “essential to facilitate optimal success in the community.”
    At the hearing, the Board received a letter from the Director of Partnership for Re-
    Entry Program (PREP) in Los Angeles, stating that the program supported petitioner’s
    release to live with his mother but, if the Board decided to release him to a more
    structured environment in Southern California, petitioner was assured a room in one of
    PREP’s transitional homes as well as a position in the business the program sponsored, in
    which he would begin as a trainee and work up to a paid position. Petitioner told the
    Board that while he ultimately wanted to go to Northern California and his mother’s
    home, he felt it would benefit him to have a “stopgap” between prison and home.
    The Board received letters in support of petitioner’s release from his mother,
    nieces and some 17 family and personal friends, all emphasizing the maturity and
    responsibility he had gained over the years in prison and support he would have from
    14
    family and friends if granted parole. The District Attorney’s office submitted a letter of
    opposition, as did the San Rafael Police Department. The latter urged denial of parole
    because “ ‘this incident shattered the San Rafael community, especially because the
    Olives were murdered in their home. San Rafael needs to remain a safe environment for
    existing and future families to thrive. A release of a criminal of this magnitude would
    destroy confidence in the criminal justice system.’ ”
    At the parole hearing, the Board asked petitioner about how he began using drugs
    and petitioner explained that he was trying to fit in with his peers: Everyone he knew and
    had grown up with was already smoking marijuana, he was “kind of an outcast” and,
    after a couple of specific triggering incidents, he decided he had to “join the crowd.”6
    Petitioner explained that he had been a “very heavy kid” and “kind of picked on and
    bullied most of [his] life,” and found acceptance with his peers by joining the drug
    culture. He described his drug use as causing “some really incoherent thinking”: “[Y]ou
    become more isolated and within the . . .drug culture, and us against them kind of
    thinking takes place when you’re involved in that [¶] . . . [¶] . . . like they don’t know
    what you’re talking about, and why is everybody picking on me kind of ‘60s/’70s
    thinking that was going on.” Marlene was part of this culture and they did drugs
    together. Petitioner said he thought his relationship with Marlene was good at the time
    but “I look at it now and see that it wasn’t.”
    The Presiding Commissioner next asked petitioner what he had done to address his
    drug use and petitioner replied that in addition to “quitting many years ago,” in 1979 he
    “started looking at [his] life and things that [he] wanted to change” and began following
    the “12-steps program.” The commissioner noted that petitioner was not involved from
    2002 to 2010 and petitioner said he was involved in the 12-step program “through the
    Jewish program” rather than the prison one, and that this program covered “whatever
    6
    Petitioner referred to an evening when he kicked people out of his car for
    smoking marijuana and they threw rocks at him for the rest of the evening, and an
    incident in which his father beat him up for something he did not do (resulting in his
    dropping out of high school due to anger at his father).
    15
    your particular problem is be it alcohol, or drugs, or emotional dependency.” From the
    program, petitioner learned “better ways of coping with things,” that “there were people
    out there that I can go to and say, hey, I’ve got problem here, you know, and get the help
    that I needed.” He explained that he had stopped using drugs so long before starting the
    12-step program that, for him, it was not about the drugs but “about having a social
    connection with people who are trying to better their lives, and that’s what I’ve been
    trying to do since I’ve come to prison. I think it’s given me additional tools.” Petitioner
    said he now had “good self-esteem” because “I’m proud of what I do. I am proud of who
    I am. I’m not proud of what I’ve done. There are things—this crime is an example. I’m
    not proud of that, but I live to the best of my ability. I have an outstanding life. I take
    pride and integrity in being a decent person, helping people when I can. And those who
    know me appreciate me.”
    As for what would “prevent [him] now from falling prey to those issues,”
    petitioner stated that “[b]eyond an extreme self-determination that this is never going to
    happen again,” he had learned he could trust people when he had problems, such as to
    help him deal with his depression when he lost his father and his wife. He joined the 12-
    step program “to have a social connection that was beneficial to [him]”; he had been a
    member of the Jewish congregation for 25 years and intended to continue that; he had
    strong family ties and people ready to help him if he was released.
    Asked about how he became involved in the crimes, petitioner said, “It began in
    disbelief. I did not believe that this was something that was going to—ever going to take
    place. And my desire to have this relationship was so, was overwhelming to me. And so,
    whatever when talk of this crime came about, I went along with it, and it grew from there.
    I was a sick kid. I mean, the way that I look at that what I was thinking, I was willing to
    do this because my relationship with her was more important to me than the consideration
    of other people’s lives.” He had never had a girlfriend before and “that’s what I always
    wanted.” Asked if he would have “done anything” to keep the relationship, petitioner
    said, “I think ultimately that’s what I did. I can look back on it now and see there’s 100
    16
    points where I should have stopped and walked away from her and had, you know, gone
    to the authorities about it, to my family about it, to anybody, to her parents even. . . . At
    the time, I didn’t feel that I could. The further along it went, the more trapped into the
    situation I felt and to the point where I did what I—I took, you know, their lives. And I
    would do anything to change that now, and not because of this moment.”
    Petitioner later elaborated, “I listened to her, what I thought at the time were angst
    with her issues with her family, and this agreeing with and going along with it. And
    when expressions of her desire to was primarily kill her mother, I just listened to it, yeah,
    I understand, but it was never something at the time that I believed would ever come to
    pass. And when it finally came to the point where the day of the crime took place, I felt
    trapped. And I can look at even that day, that moment, and realize that wasn’t a trap, that
    I had decisions, and that it was my decision to go on and to participate in this crime.”
    Petitioner did not think he had a problem with “females bullying [him] around” and had
    “long since learned how to say no,” noting that his wife was a “very strong willed
    individual who had her opinions and, but we respected each other.”
    Petitioner stated that he got along well with Marlene’s parents and was accepted
    into their home until Marlene started getting into trouble; he was banned from seeing her
    after the two were arrested for shoplifting. He did not hold this against her parents and
    was not angry with them, saying “I bore them no ill will, and that’s what makes what I
    did all the more difficult to stomach.” Petitioner felt drug use played a role in that it
    “certainly contributed to not thinking clearly or rationally.”
    Petitioner felt that substance abuse would “absolutely not” be an issue once he was
    out of prison: “[B]eyond the fact that I haven’t done any drugs for more years than I can
    actually number, and I’m surrounded by people who use drugs on a daily basis and I have
    no desire to partake. I don’t want—there is nothing, absolutely nothing going to—when
    the day comes that on the outside of this fence is going to put me back inside this fence.
    I’m going to do—I’m going out to live a moral life, a life that allows me to pay back
    those that stood behind me, and to try to enjoy the things that I threw away 36, 37 years
    17
    ago. I didn’t have a realization that they were out there. I can’t let them down. The
    people that I’ve met, the staff that I’ve known over the years, some of them who were
    like father figures to me, I would never let them down.” Asked what he would do if he
    had the urge to use drugs once released, where they were easier to get than in prison,
    petitioner said he would talk to someone, specifically noting his relationships with his
    Rabbi, his friends, his mother, his nieces and the man who lived with his mother.
    Petitioner felt his biggest obstacle was going to be employment; he watched the
    news and was aware of “what’s going on out there.” He hoped the machinist trade he had
    just completed would allow him to find employment sufficient to “sustain” himself and
    “look after” his mother.
    At the conclusion of the hearing, petitioner addressed the Board: “I in no way
    want anybody to misconstrue what I’ve said as trying to shift blame on my co-defendant
    for my actions. I’m responsible and not the drugs, because it was my choice to use the
    drugs. They certainly contributed to making a bad decision. I’m the one that’s
    responsible for James’ and Naomi’s lives. I could have done better. I should have done
    better. I knew better, but I did it. Now I’ve lived a life since that time, and I sincerely
    have tried to make amends and change for my actions, and what I did to the Olives in
    taking their lives. There is really—I can’t do anything for them, and I wish above all else
    that’s what I could do.”
    The Panel noted that at the conclusion of petitioner’s last parole hearing in 2008,
    the Panel said “no more 115s, 128s, learn a trade, continue with self-help, and they need
    positive chronos.” It was noted that petitioner had been free of disciplinary incidents, had
    earned a college degree, completed work in computer assisted drafting and the machine
    shop, worked in the PIA shoe factory, and was scheduled to begin work in the print plant.
    Regarding self-help, he had participated in the “CADX program” and many peer
    counseling programs, had been an active member of NA since 2008 and attended
    religious services on Saturday mornings.
    18
    DISCUSSION
    I.
    The Board denied parole because it found that petitioner had not sufficiently
    explored and addressed all the reasons for his crime and for his substance abuse at that
    time. Petitioner contends the decision is unsupported because it failed to identify a
    material deficiency in his understanding and acceptance of responsibility for the crime
    and/or a rational indication that any perceived deficiency in his insight makes him
    currently dangerous. He further contends there was no evidence of substance abuse
    posing a problem, and the Board failed to consider his age as a factor of suitability for
    parole.
    “ ‘ “Subdivision (b) of [Penal Code] section 3041 provides that a release date must
    be set ‘unless [the Board] determines that the gravity of the current convicted offense or
    offenses, or the timing and gravity of current or past convicted offense or offenses, is
    such that consideration of the public safety requires a more lengthy period of
    incarceration for this individual,’ ” ’ and mandates that the Board ‘normally’ set a parole
    date for an eligible inmate, and must do so unless it determines [that] an inmate poses a
    current threat to public safety. ([In re] Prather [(2010)] 50 Cal.4th [238,] 249
    [(Prather)], quoting In re Lawrence (2008) 
    44 Cal.4th 1181
    , 1202 (Lawrence).) As a
    result, parole applicants have a ‘due process liberty interest in parole’ and ‘ “an
    expectation that they will be granted parole unless the Board finds, in the exercise of its
    discretion, that they are unsuitable for parole in light of the circumstances specified by
    statute and by regulation.” ’ (Lawrence, at pp. 1191, 1204, quoting In re Rosenkrantz
    (2002) 
    29 Cal.4th 616
    , 654 (Rosenkrantz).)” (In re Stoneroad (2013) 
    215 Cal.App.4th 596
    , 615 (Stoneroad).)
    “We review the Board’s decision under a ‘highly deferential “some evidence”
    standard.’ ” (In re Young (2012) 
    204 Cal.App.4th 288
    , 302 [(Young)], quoting In re
    Shaputis (2011) 
    53 Cal.4th 192
    , 221 (Shaputis II).) “[T]he appellate court must uphold
    the decision of the Board or the Governor ‘unless it is arbitrary or procedurally flawed,’
    19
    and it ‘reviews the entire record to determine whether a modicum of evidence supports
    the parole suitability decision.’ ([Shaputis II, supra, 53 Cal.4th] at p. 221.) ‘The
    reviewing court does not ask whether the inmate is currently dangerous. That question is
    reserved for the executive branch. Rather, the court considers whether there is a rational
    nexus between the evidence and the ultimate determination of current dangerousness.
    The court is not empowered to reweigh the evidence.’ (Ibid.) At the same time . . . the
    Board’s decision must ‘ “reflect[] due consideration of the specified factors as applied to
    the individual prisoner in accordance with applicable legal standards.” ’ (Shaputis II, at
    p. 210, quoting Rosenkrantz, 
    supra,
     29 Cal.4th at p. 677, and citing Lawrence, 
    supra,
    44 Cal.4th at p. 1204, and [In re Shaputis (2008)] 44 Cal.4th [1241,] 1260-1261
    [(Shaputis I)].)” (Stoneroad, supra, 215 Cal.App.4th at p. 616.) We are required to
    affirm a denial of parole “unless the Board decision does not reflect due consideration of
    all relevant statutory and regulatory factors or is not supported by a modicum of evidence
    in the record rationally indicative of current dangerousness, not mere guesswork.”
    (Stoneroad, at p. 616.)
    The nexus to current dangerousness is critical. “Lawrence and Shaputis I
    ‘clarified that in evaluating a parole-suitability determination by either the Board or the
    Governor, a reviewing court focuses upon “some evidence” supporting the core statutory
    determination that a prisoner remains a current threat to public safety—not merely “some
    evidence” supporting the Board’s or the Governor’s characterization of facts contained in
    the record.’ (Prather, supra, 50 Cal.4th at pp. 251–252.)” (Stoneroad, supra, 215
    Cal.App.4th at p. 615.) “ ‘It is not the existence or nonexistence of suitability or
    unsuitability factors that forms the crux of the parole decision; the significant
    circumstance is how those factors interrelate to support a conclusion of current
    dangerousness to the public.’ (Lawrence, 
    supra,
     44 Cal.4th at p. 1212, italics added.)
    The Board ‘must determine whether a particular fact is probative of the central issue of
    current dangerousness when considered in light of the full record.’ (Prather, supra,
    50 Cal.4th at p. 255, italics added.)” (Young, supra, 204 Cal.App.4th at p. 303.) “ ‘[T]he
    20
    proper articulation of the standard of review is whether there exists “some evidence”
    demonstrating that an inmate poses a current threat to public safety, rather than merely
    some evidence suggesting the existence of a statutory factor of unsuitability. (Lawrence,
    supra, 44 Cal.4th at p. 1191.)’ ([Prather], supra, 50 Cal.4th at pp. 251-252.)” (Shaputis
    II, supra, 53 Cal.4th at p. 209.)7
    The Board’s explanation of its denial of parole reflects two reasons for its
    decision: That petitioner had not sufficiently explored the reasons he committed the
    crimes, and that he had not sufficiently addressed his substance abuse problem. Noting
    petitioner’s explanation that he was drawn into the crime because of his relationship with
    Marlene, the Board felt petitioner had not explored other issues involved, including the
    anger it believed was reflected in the act of suffocating Mrs. Olive and the financial
    7
    The Board’s regulations set forth six circumstances tending to show
    unsuitability for parole and nine tending to show suitability, leaving the importance of
    these circumstances in a particular case to the judgment of the panel. (Cal. Code Regs.,
    tit. 15, § 2402 [(Regs.)]) The circumstances tending to show unsuitability are (1) that the
    commitment offense was carried out “in an especially heinous, atrocious or cruel
    manner,” (2) that the prisoner on previous occasions inflicted or attempted to inflict
    serious injury, especially if he or she “demonstrated serious assaultive behavior at an
    early age,” (3) that “the prisoner has a history of unstable or tumultuous relationships
    with others,” (4) that the prisoner has previously committed sadistic sexual offenses,
    (5) that “the prisoner has a lengthy history of severe mental problems related to the
    offense,” and (6) that “the prisoner has engaged in serious misconduct in prison or jail.”
    (Regs., § 2402, subd. (c).) The circumstances tending to show suitability are (1) that the
    prisoner does not have a juvenile record of assaults or crimes with a potential of personal
    harm to victims, (2) that the prisoner “has experienced reasonably stable relationships
    with others,” (3) that the prisoner has performed acts tending to indicate remorse or
    indicating he “understands the nature and magnitude of the offense,” (4) that the prisoner
    committed the crime as a result of significant stress in his life, particularly stress built
    over a long period of time, (5) that the prisoner suffered from battered women’s
    syndrome, (6) that the prisoner “lacks any significant history of violent crime,” (7) that
    the prisoner’s “present age reduces the probability of recidivism,” (8) that the prisoner
    has made realistic plans for release or developed marketable skills that can be put to use
    upon release, and (9) “[i]nstitutional activities indicate an enhanced ability to function
    within the law upon release.” (Regs., §2402, subd. (d).)
    21
    motive of obtaining the insurance money.8 Regarding petitioner’s drug use at the time of
    the crimes, the Presiding Commissioner noted that petitioner’s relapse plan indicated he
    reacted to “stress and anger and depression,” and commented, “Very impersonal because
    everybody gets those. Everybody gets stress and anger and depression. That’s part of
    being a human being, but we have to identify the signs and symptoms of that. What
    makes us depressed? What makes us angry? Is it relationships? Is it being in certain
    types of relationships that makes us depressed? Is it money that we go to the next level
    of our behavior? Issues in and of itself are useless unless they are attached to human
    emotions, and you have to have understanding of that prior to this Board feeling
    confident that you, when exposed to the same patterns, you don’t revert to the easiest way
    out or to continue criminal activities.” Although he believed petitioner’s intention to
    refrain from drug use to be heartfelt, the commissioner continued, “I’ve sat on many,
    many panels that they come back to me because their intentions were good. Although
    stresses in their life, although they didn’t understand triggers in their life, they didn’t
    understand what was out there and how hard it was that they began to use drugs again.
    They began to attach themselves to the criminal element. You have to understand that we
    are all subject to negative behaviors, if we’re not aware of them, and if we’re not aware
    of the impact that they possibly can make. There is no such thing as my desire will
    8
    The Presiding Commissioner emphasized that the killings were “execution-style”
    and “[p]lanned, calculated, and carried out.” Noting petitioner’s statement that he was in
    “disbelief,” the commissioner stated, “but this Panel finds that after two months disbelief
    could be resonating for that period of time. You also stated that it was a situation you
    were drawn into because of the relationship, of your desire to maintain a relationship.
    The killing was execution-style murder with a hammer and there was indication of
    suffocation, which is an indication of anger. There was the indication of insurance
    money, which is an indication of money being a motive. There was lot more issues at
    stake than what you said, and I think you would have to explore these issues of money,
    sex, of anger, of relationships. . . . This Panel will want to hear next time how you
    address all those issues, because it’s a material deficiency of the dynamics of this case
    that you have failed to take heart and address.”
    22
    override the facts and will override conditions, because the conditions will prevail, and
    it’s very important that you have to understand that.”
    As the Supreme Court made clear in Shaputis II, supra, 
    53 Cal.4th 192
    ,
    “[c]onsideration of an inmate’s degree of insight is well within the scope of the parole
    regulations. The regulations do not use the term ‘insight,’ but they direct the Board to
    consider the inmate’s ‘past and present attitude toward the crime’ (Regs., § 2402,
    subd. (b)) and ‘the presence of remorse,’ expressly including indications that the inmate
    ‘understands the nature and magnitude of the offense.’ (Regs., § 2402, subd. (d)(3)).
    These factors fit comfortably within the descriptive category of ‘insight.’ ” (Shaputis II,
    at p. 218.) “[T]he presence or absence of insight is a significant factor in determining
    whether there is a ‘rational nexus’ between the inmate’s dangerous past behavior and the
    threat the inmate currently poses to public safety. (Lawrence, [supra, 44 Cal.4th] at
    p. 1227; see also Shaputis I, [supra, 44 Cal.4th] at p. 1261, fn. 20.)” (Shaputis II, supra,
    53 Cal.4th at p. 218.)
    Petitioner described to the Board exactly why he believed he committed the
    crimes: He was a “sick kid,” so in thrall to his relationship with the first girlfriend he had
    ever had that he felt unable to walk away from what she wanted him to do. The
    psychologist’s report described petitioner’s expressed remorse for the killings as
    “internalized and emotional, rather than intellectualized and distant,” but went on to state
    that petitioner did not “expound on intrinsic exploration of his motivations, other than to
    indicate his peer-pressured drive to use substances and his emotional reliance on having
    Marlene as his girlfriend.” Although noting that lack of insight “is one of the predictors
    of poor outcomes,” the psychologist also cautioned that “insight and remorse are abstract
    concepts, which do not readily lend themselves to operationalized definition or reliable
    quantifiable measurement” and therefore “any opinions regarding insight and self-
    assessment are subjective in nature, and should be interpreted with this caveat in mind.”
    The Board clearly did not accept that petitioner’s explanation of his motivation for
    committing the offenses was sufficient, pointing to other factors, such as anger and
    23
    money, as additional motivations. Accepting that such additional factors are supported in
    the record—as indicated in the Court of Appeal’s description of the crime—the critical
    question is whether there is some evidence in the record to support the conclusion that
    whatever deficiency may exist in petitioner’s understanding of the forces that led him to
    commit the murders demonstrates that petitioner currently poses a threat to public safety.
    The commissioner’s stated concern that absent better understanding the Board could not
    be confident petitioner would not revert to criminal activities “when exposed to the same
    patterns” ignores the unique set of circumstances in which petitioner committed his
    crimes.
    In Shaputis II, the Board denied parole based on the commitment offense (the
    murder of the defendant’s wife), a long history of domestic abuse leading up to the
    offense, and the defendant’s failure to accept responsibility or gain insight into the
    reasons for the abuse and murder. (Shaputis II, supra, 53 Cal.4th at p. 207.) The
    defendant maintained that the shooting occurred as an accident despite this explanation
    being irreconcilable with evidence at the scene, and in a statement to the Board discussed
    his “alcoholism, his ‘low morality,’ his deep regret, and his determination not to ‘again
    engage in such terrible conduct.’ ” (Id. at pp. 213-214.) The defendant had previously
    been convicted of molesting one of his daughters, a plea on charges reduced from her
    claim of rape; the defendant had initially minimized and then denied the offense. (Id. at
    pp. 203-204.) The Shaputis II Court explained that “the Board was left with no indication
    that petitioner understood why he shot his wife, what he had done in the incidents of
    molestation, or how his behavior affected his other daughters. A general recognition of
    moral deficiency and alcohol abuse is insufficient to explain an entrenched pattern of
    domestic abuse, child molestation, and a pointblank shooting.” (Id. at pp. 213-214.)
    The present case is quite different. Petitioner’s offenses were horrific. But they
    were a one-time occurrence, neither preceded nor followed by any evidence of petitioner
    having a violent nature. As petitioner explained, when he committed the crimes, he was a
    20-year-old high school drop out and self-described “sick kid,” overweight and suffering
    24
    from low self-esteem and years of being a social outcast, who had been accepted into a
    peer group based on substance abuse, become involved in the first sexual relationship of
    his life with a girlfriend who made no secret of wanting her parents dead, and would have
    done—and in fact did—“anything” to keep that relationship. At the time of the 2011
    parole hearing, petitioner was a 56-year-old man who had not used illegal drugs or
    alcohol for over 30 years; had earned a college degree, training in various trades and
    consistently received positive work reports; became a respected and devoted long-time
    member of his religious community; had been married twice; and suffered from several
    physical disabilities. 9 The only negatives in his risk assessments were due to the
    historical factors of his offenses and state at the time he committed them, and his history
    of substance abuse. The psychologist noted that the historical factors were immutable.
    Egregious as petitioner’s offenses were, “the commitment offense is only relevant if
    [petitioner’s] current mental attitude establishes that despite his excellent and long-
    standing intervening conduct, he would still pose an unwarranted risk to public safety if
    released.” (In re Denham (2012) 
    211 Cal.App.4th 702
    , 715.) The record before us
    reflects no evidence that this is the case.
    The history of substance abuse was of concern to the Board because of the
    potential for the availability of substances and increased pressures of life outside prison
    to trigger a relapse. But given petitioner’s extremely long period of abstinence, and
    determination to continue with NA and seek help from his network of support in the
    9
    As petitioner’s attorney argued to the Board: “[H]e knows what the motivation
    was. I was a fat kid, and I wanted people to like me. That’s who he was, and he would
    do anything, as the district attorney noted, he did the worst thing that you could do and he
    did it twice to keep that person that liked him. That was when he was 20 years old. As
    you know from the rules and regs 2402, whatever it is, and age is one of those factors that
    shows that he is suitable. He’s not a 20-year-old kid anymore. He’s a 56-year-old man
    who has done everything that he needs to do. He’s lived the life of suitability. . . . He did
    everything the Board asked him to do last time. . . There is nothing here to link him [to]
    that kid that committed that horrible crime back in 1975.”
    25
    event he was drawn to consider using drugs or alcohol, it is difficult to imagine what
    more he could have done to address this concern. As we have previously noted,
    “ ‘[t]he risk a former drug or alcohol abuser will relapse, which can never be entirely
    eliminated, cannot of itself warrant the denial of parole, because if it did the mere fact
    [the] inmate was a former substance abuser would “eternally provide adequate support
    for a decision that [he] is unsuitable for parole.” ’ (Stoneroad, supra, 215 Cal.App.4th at
    p. 625, quoting In re Morganti (2012) 
    204 Cal.App.4th 904
    , 921.) “ ‘[T]he risk an
    inmate may fall back into alcohol or drug abuse can justify denial of parole only where it
    is greater than that to which a former drug or alcohol abuser is normally exposed.’ ”
    (Ibid.) Here, nothing in the record remotely suggests petitioner is likely to return to the
    use of alcohol or illegal substances he left behind more than 30 years ago. Of primary
    importance, again, the circumstances of petitioner’s life crime were so unique that it is
    difficult to see any nexus between his 30-year-old substance abuse as a teenager and
    young adult and current dangerousness to the public.
    The assessment of petitioner’s risk of future violence prepared for the current
    hearing found a strikingly low level of risk, and emphasized that such indicators of risk as
    existed were based on historical, not current, factors. The assessment found petitioner’s
    potential for violence in the free community to be higher than less than one percent of
    North American male offenders on one instrument, with the only “demonstrated factors”
    being ones related to his past; on the other measure of potential for violence, petitioner
    was found to be in the low risk category based on historical factors, and to have no
    predictive factors for recidivism in the current domain. On the general measure of
    potential for recidivism, petitioner’s risk was found to be higher than less than one
    percent of male offenders in the United States, again, with the “endorsed items” primarily
    related to historical factors. Earlier assessments documented in the record are consistent
    with the current one: The earliest, from 1982 and 1985, found petitioner to have “no
    more than average” potential for violence, and all the assessments from 1989 on found
    his risk of violence to be “less than average” or “low.”
    26
    Petitioner’s low risk for future violence is consistent with data on recidivism of
    life prisoners in general. The Board made no reference at all to petitioner’s age as a
    factor indicating suitability for parole. (Regs., § 2402, subd. (d)(7).) But as we noted in
    Stoneroad, supra, 215 Cal.App.4th at page 634, “the recidivism rate of lifers is
    dramatically lower than that of all other state prisoners, indeed infinitesimal. (Weisberg
    et al., Stanford Criminal Justice Center, Life in Limbo: An Examination of Parole
    Release for Prisoners Serving Life Sentences With the Possibility of Parole in California
    (Sept. 2011) 1, 17 (Stanford Study).)”10
    Considering the assessments of the Board’s experts and petitioner’s conduct over
    more than 35 years of incarceration, and the absence of any articulation by the Board of a
    nexus between the reasons it stated for and its conclusion of unsuitability, we fail to see
    “some evidence” of current dangerousness in either petitioner’s understanding of his
    reasons for committing his offenses or his substance abuse at that time.
    The Board did not suggest that its denial was based upon any other circumstances
    tending to make petitioner unsuitable for parole. The Board emphasized the egregious
    circumstances of the offense—a circumstance pointing to unsuitability under Regulation
    2402, subdivision (c)(1)—but this in itself in an insufficient basis for denying parole.
    “[A]lthough the Board and the Governor may rely upon the aggravated circumstances of
    the commitment offense as a basis for a decision denying parole, the aggravated nature of
    the crime does not in and of itself provide some evidence of current dangerousness to the
    10
    “This study observes that ‘among the 860 murderers paroled by the Board since
    1995, only five individuals have returned to jail or returned to the California Department
    of Corrections and Rehabilitation[] for new felonies since being released, and none of
    them recidivated for life-term crimes. This figure represents a lower than one percent
    recidivism rate, as compared to the state’s overall inmate population recommitment rate
    to state prison for new crimes of 48.7 percent.’ (Stanford Study, supra, at p. 17,
    fn. omitted.) The study also notes that other studies ‘demonstrate that as a general matter,
    people age out of crime. For most offenses—and in most societies—crime rates rise in
    the early teenage years, peak during the mid-to-late teens, and subsequently decline
    dramatically. Not only are most violent crimes committed by persons under 30, but even
    the criminality that continues after that declines drastically after age 40 and even more so
    after age 50.’ (Ibid.)” (Stoneroad, supra, 215 Cal.App.4th at p. 634, fn. 21.)
    27
    public unless the record also establishes that something in the prisoner’s pre- or
    postincarceration history, or his or her current demeanor and mental state, indicates that
    the implications regarding the prisoner’s dangerousness that derive from his or her
    commission of the commitment offense remain probative of the statutory determination
    of a continuing threat to public safety.” (Lawrence, supra, 44 Cal.4th at p. 1214.) We
    are not aware of any evidence in the record indicating the applicability of any of the other
    circumstances tending to show unsuitability enumerated in the Regulations. (Regs.,
    § 2402, subd. (c).) On the other hand, the record does reflect evidence of many of the
    circumstances tending to show suitability, notably the absence of a prior history of
    assaultive or violent conduct (Regs., § 2402, subds. (d)(1)), (d)(6)); petitioner’s efforts
    throughout his incarceration to “make amends” by altering the pattern of his life and
    interpersonal relationships, as documented by his Rabbi and various prison reports
    (Regs., § 2402, subd. (d)(3)); his advancing age (Regs., § 2402, subd. (d)(7)); his realistic
    plans for release and development of marketable skills (Regs., § 2402, subd. (d)(8); and
    his many positive institutional activities (Regs., §2402, subd. (d)(9)). Several of these
    positive circumstances were noted by the Board, and, as we have said, it is not for us to
    question the weight the Board attached to the factors it considered. (Stoneroad, supra,
    215 Cal.App.4th at p. 624.) Our point is simply to underscore the limited basis of the
    Board’s decision, which rested solely upon circumstances that, if supported by the
    evidence at all, were not linked by any reasonable theory to a determination of current
    dangerousness.
    II.
    Petitioner contends his prison term is disproportionate and excessive in violation
    of the California and United States Constitutions. He maintains that because he was
    sentenced under the former Indeterminate Sentencing Law (ISL), which emphasized
    rehabilitation as the primary consideration regarding parole, the Board’s use of the
    Determinate Sentencing Law (DSL), emphasizing punishment, violated his right to due
    process and ex post facto principles. Petitioner maintains that he is currently serving a
    28
    disproportionate term based entirely upon punishment in disregard of his rehabilitation,
    as evidenced by the fact that he has already been incarcerated longer than the base term
    specified in the Board’s regulations as the proportionate term for his offense. As we will
    explain, petitioner has not made a showing that entitles him to relief on these grounds.
    Due to changes in the Board’s procedures required by a recent judicial settlement, his
    base term and adjusted base term will be set at his new parole hearing, which will
    facilitate review of any subsequent claim that his term is constitutionally
    disproportionate.
    A.
    Under the ISL, “[t]he court imposed a statutory sentence expressed as a range
    between a minimum and maximum period of confinement—often life imprisonment—the
    offender must serve. An inmate’s actual period of incarceration within this range was
    under the exclusive control of the parole authority, which focused, primarily, not on the
    appropriate punishment for the original offense, but on the offender’s progress toward
    rehabilitation. During most of this period, parole dates were not set, and prisoners had no
    idea when their confinement would end, until the moment the parole authority decided
    they were ready for release. (See People v. Jefferson (1999) 
    21 Cal.4th 86
    , 94–95
    (Jefferson); Cassou & Taugher, Determinate Sentencing in California: The New Numbers
    Game (1978) 9 Pacific L.J. 5, 6–16 (Cassou & Taugher).)” (In re Dannenberg (2005)
    
    34 Cal.4th 1061
    , 1077 (Dannenberg).)
    The DSL, by contrast, “implemented the Legislature’s finding that ‘the purpose of
    imprisonment for crime is punishment,’ a goal ‘best served by terms proportionate to the
    seriousness of the offense,’ with provision for sentence ‘uniform[ity]’ for similar
    offenses. ([Pen. Code,] § 1170, subd. (a)(1).)” (Dannenberg, 
    supra,
     34 Cal.4th at
    p. 1078.) For most felonies, the DSL establishes a triad of alternative sentences, and the
    sentencing court imposes the middle term unless mitigating or aggravating circumstances
    call for imposition of the lower or upper term. The sentence is thus tailored mainly to the
    offense, not the offender, unlike under the ISL, which tailored the sentence to the
    29
    offender rather than the offense. Under the DSL, however, “certain serious offenders,
    including ‘noncapital’ murderers (i.e., those murderers not punishable by death or life
    without parole), remain subject to indeterminate sentences. These indeterminate
    sentencees may serve up to life in prison, but they become eligible for parole
    consideration after serving minimum terms of confinement. (See Jefferson, 
    supra,
    21 Cal.4th 86
    , 92-92.) As under prior law, life inmates’ actual confinement periods
    within the statutory range are decided by an executive parole agency,” now the Board.
    (Dannenberg, 
    supra,
     34 Cal.4th at p. 1078.)
    Under both the ISL and the DSL, a life prisoner must be found suitable for parole
    before a parole date is set. (In re Stanworth (1982) 
    33 Cal.3d 176
    , 183 (Stanworth); Pen.
    Code, § 3041.) With respect to parole suitability, application of DSL guidelines to a
    prisoner convicted and sentenced under the ISL has been upheld against challenge on ex
    post facto grounds. (In re Seabock (1983) 
    140 Cal.App.3d 29
    , 40 (Seabock); In re
    Duarte (1983) 
    143 Cal.App.3d 943
     (Duarte).) The ex post facto doctrine is “ ‘aimed at
    laws that “retroactively alter the definition of crimes or increase the punishment for
    criminal acts.” [Citations.]’ (California Dept. of Corrections v. Morales (1995) 
    514 U.S. 499
    , 504 (Morales).)” (In re Vicks (2013) 
    56 Cal.4th 274
    , 287.) Seabock compared the
    procedures for determining parole suitability under the ISL and DSL,11 and concluded
    11
    Under the ISL, no formal criteria guided the decision; the parole agency “was
    vested with a broad discretion to grant or deny parole” and in doing so the agency
    considered the gravity of the offense along with “all of the factors relevant to a particular
    prisoner on an individual basis.” (Seabock, supra, 140 Cal.App.3d at pp. 35-36.) In the
    DSL, the Legislature directed the Board to “set a release date ‘unless it determines that
    the gravity of the current convicted offense or offenses, or the timing and gravity of
    current or past convicted offense or offenses, is such that consideration of the public
    safety requires a more lengthy period of incarceration for this individual . . . .” (Seabock,
    at p. 38, quoting Pen. Code, § 3041, subd. (b).) The Board was further directed to
    “ ‘establish criteria for the setting of parole release dates’ and was told that in doing so it
    ‘shall consider the number of victims of the crime for which the prisoner was sentenced
    and other factors in mitigation or aggravation of the crime.’ ” (Seabock, at p. 38, quoting
    Pen. Code, § 3041, subd. (a).) As described above (fn. 8), the Board’s regulations set
    30
    that the DSL “continues to demand what the case law required under the ISL: a weighing
    process, an exercise of discretion based upon all of the relevant factors.” (Seabock, at p.
    38.) Seabock found no ex post facto violation because the DSL guidelines did not
    “decrease [the inmate’s] parole eligibility or chance therefor” but only “spell[ed] out
    what was always the fact and the law: the parole-setting agency is empowered to deny
    parole only after due consideration of all relevant factors including but not limited to the
    gravity and circumstances of the crimes involved.” (Id. at p. 40.)12 Duarte, supra, 
    143 Cal.App.3d 943
    , 947-950, added that while the Board’s regulations concerning parole
    release dates under the DSL “reflected a change in penal philosophy through a
    generalized increase in terms of imprisonment, focusing on a prisoner’s crimes, rather
    than his progress toward rehabilitation, . . . [a]s to the parole suitability provisions, there
    has been neither a change in philosophy, nor a change in the criteria used to reach a
    decision.” (Duarte, at p. 950 [italics added]; see also Connor v. Estelle (9th Cir. 1992)
    
    981 F.2d 1032
    , 1033.)
    As both Seabock and Duarte recognized, with respect to the determination of an
    inmate’s release date, in the change from the ISL to the DSL, “the standard of
    punishment has been altered to [the inmate’s] prejudice in violation of ex post facto
    principles.” (Stanworth, supra, 33 Cal.3d at p. 188; see Seabock, supra, 140 Cal.App.3d
    forth specific factors bearing on suitability or unsuitability for parole for the Board to
    consider. (Regs., § 2402.)
    12
    Seabock applied the then-governing ex post facto test, which stated, “ ‘two
    critical elements must be present for a criminal or penal law to be ex post facto: it must
    be retrospective, that is, it must apply to events occurring before its enactment, [fn.
    omitted] and it must disadvantage the offender affected by it. [Fn. omitted; citations.]’ ”
    (Seabock, supra, 140 Cal.App.3d at p. 32, quoting Weaver v. Graham (1981) 
    450 U.S. 24
    , 29.) Morales, quoted in the text, disavowed Weaver’s “disadvantaged” language,
    stating that “the focus of the ex post facto inquiry is not on whether a legislative change
    produces some ambiguous sort of ‘disadvantage,’ . . . but on whether any such change
    alters the definition of criminal conduct or increases the penalty by which a crime is
    punishable.” (Morales, supra, 514 U.S. at p. 506, fn. 3.) This change does not alter
    Seabock’s conclusion.
    31
    at pp. 40-41, Duarte, supra, 143 Cal.App.3d at pp. 946, 951.)13 Accordingly, Stanworth
    held that an inmate sentenced under the ISL “is entitled to parole release consideration
    under both ISL and DSL standards” and “to a hearing and to the benefit of the earlier
    release date, if any, set pursuant to both standards.” (Stanworth, at p. 188.) The Board’s
    regulations so provide. (Regs., § 2300.)
    At this stage of the proceedings, however, where the question is petitioner’s
    suitability for parole, the Board’s utilization of DSL guidelines did not result in a
    violation of ex post facto principles. Petitioner’s articulation of his due process claim—
    “the failure of the Board to apply the regulations in a fair manner with emphasis on his
    rehabilitation and emphasis on achieving some semblance of proportionality in setting an
    appropriate term”—does not call for any further analysis with respect to the suitability
    determination.
    B.
    Petitioner also argues that he is serving an excessive and disproportionate term
    because the length of time he has already served exceeds the base term called for under
    either the ISL or the DSL. The base term (referred to as the “base period of confinement”
    under the ISL) is the part of an inmate’s prison term that is solely determined by the
    gravity of the offense for which the life term was imposed. (Regs., § 2282, 2320.)
    “[T]he setting of the base term is designed to ensure life prisoners do not serve terms
    disproportionate to the culpability of the individual offender.” (Stoneroad, supra, 215
    Cal.App.4th at p. 617.) The “measure of the constitutionality of punishment for crime is
    individual culpability,” as reflected in “the circumstances existing at the time of the
    offense.” (In re Rodriguez (1975)
    14 Cal.3d 639
    , 652-653.) Setting a base term is
    necessary because, while “[t]he specific criminal acts proscribed by the Penal Code
    13
    As Stanworth summarized the differences between the sentencing schemes, “the
    new regulations set a longer range of base terms for first degree murder and require the
    imposition of set additional terms for particular enhancements unless deviation from the
    norms is expressly justified. Moreover, the new rules generally reflect an attempt to
    achieve uniformity and stress the criminal activities of the inmate rather than any social
    or personal factors.” (Stanworth, supra, 33 Cal.3d at p. 186.)
    32
    ordinarily ‘prohibit[] a wide range of culpable conduct, with a correspondingly wide
    range of punishment’ ” (Stoneroad, at pp. 617-618, quoting People v. Wingo (1975)
    
    14 Cal.3d 169
    , 176 (Wingo)), imprisonment for a period “grossly disproportionate” to the
    prisoner’s “individual culpability for the commitment offense” would violate the cruel or
    unusual punishment clause (art. 1, § 17) of the California Constitution. (Dannenberg,
    
    supra,
     34 Cal.4th at p. 1096.) While other factors—such as postconviction institutional
    conduct—properly bear on the sentence a life prisoner ultimately serves, the setting of the
    base term keeps the prison term tethered to the prisoner’s culpability for the commitment
    offense.
    In arguing that his term is constitutionally disproportionate, petitioner points to the
    regulations in effect at the time of his crimes, which set the “suggested range” for the
    base period of confinement for first degree murder at 96 to 156 months (eight to 13 years)
    (former 15 Cal. Admin. Code, § 2225 [Cal. Admin. Register 76, No. 21-B, May 22,
    1976] [(1976 Regs.)], and the currently effective regulations, which set the base term for
    first degree murder at a low of 25, 26 or 27 years and a high of 31, 32 or 33 years
    (determined according to a matrix of circumstances pertaining to crime) (Regs., § 2403,
    subd. (b)).14 As we have said, at the time of the current parole hearing, petitioner had
    served 36 years in prison.
    Petitioner’s claim assumes that the base term—whether considered under the ISL
    or the DSL—is the full measure of a sentence proportionate to his crime, and that his
    incarceration beyond the base term necessarily amounts to a disproportionate and
    excessive sentence. But petitioner ignores the fact that, under both sentencing schemes,
    the base term is a beginning point in calculating when a prisoner will be released from
    14
    The specific regulations petitioner refers to are contained in a section governing
    parole for prisoners sentenced for first and second degree murders committed on or after
    November 8, 1978 (Regs., §§ 2400-2411). Current regulations include distinct
    provisions governing parole for these post-1978 prisoners, for life prisoners whose crimes
    were committed prior to July 1, 1977 (Regs., §§ 2280-2292), and for prisoners sentenced
    under the ISL (Regs., §§ 2300-2373).
    33
    prison; various adjustments to the base term bear on the period of confinement the
    regulations call for the Board to determine. (Regs., § 2411; 1976 Regs., § 2350-2351.)15
    In any event, the fact that a prisoner has served a sentence longer than the statutory base
    term does not in and of itself establish a constitutional violation, and petitioner has
    provided us with no evidence upon which to base a conclusion that the term he has served
    thus far is so disproportionate to his individual culpability as to violate constitutional
    guarantees. (See Rodriguez, supra, 14 Cal.3d at pp. 653-656 [22 years served for
    conviction of lewd and lascivious conduct held constitutionally disproportionate upon
    consideration of factors set forth in In re Lynch (1972) 
    8 Cal.3d 410
     (Lynch): nature of
    offense and offender, sentences provided in California for more serious offenses, and
    sentences provided in other jurisdictions for same offense; Morganti, supra,
    204 Cal.App.4th at p. 943, conc. & dis. opn. of Kline, J. [prisoner sought discovery to
    make claim that Board policy of systematic denial of parole to life prisoners resulted in
    constitutionally disproportionate periods of confinement].)
    While insufficient to entitle him to immediate release, petitioner’s focus on the
    base term is important, as it points to the significance of the base term determination in
    15
    The DSL provides that an inmate’s “adjusted period of prison confinement”
    consists of the base term plus “any adjustments,” less pre- and postconviction credit.
    (Regs., § 2411.) Adjustments are specified for using or being armed with weapons,
    causing great loss, having served a prior prison term (Regs., § 2406), and having multiple
    convictions (Regs., § 2407). For example, if the trial court imposed consecutive life
    sentences, the Board “shall” add adjustments for the remaining life crimes, while if the
    court imposed concurrent life sentences, the Board “may” add an adjustment due to the
    other crime (Regs., § 2407, subds. (b)(2), (b)(3)). Postconviction credit is granted (or
    denied) based upon the prisoner’s institutional conduct (Regs., § 2410).
    Under the ISL, a prisoner’s “total period of confinement” consisted of the “base
    period of confinement” plus “adjustments,” including any administrative credits. (1976
    Regs., § 2350-2351.) The adjustments provided for in the ISL included preconviction
    factors such as criminal history and social factors (1976 Regs., § 2354), commitment
    factors, including commission of multiple crimes and sentencing status (1976 Regs.,
    § 2355), and postconviction prison conduct (1976 Regs., §§ 2356, 2392). The total
    period of confinement could be increased or decreased after hearings (1976 Regs.,
    § 2351).
    34
    ensuring the constitutional proportionality of an individual inmate’s sentence.
    Petitioner’s base term (or base period of confinement) has never been established because
    the Board’s present regulations provide that the base term (or base period of
    confinement) is not to be set until an inmate is found suitable for parole. (Regs., § 2282,
    2317.) This is despite the fact that because the base term and base period of confinement
    are based “solely on the gravity of the base offense” (Regs., §§ 2282, 2320 [“base
    crime”]), they can easily be set at the outset of a prisoner’s incarceration, as Rodriguez
    directed, when the relevant information is available and fresh. (Stoneroad, supra,
    215 Cal.App.4th at pp. 618-619.) The current procedure raises the specter of exactly the
    situation Rodriguez aimed to eliminate, in which a prisoner’s parole date would never be
    set because he or she continued to be found unsuitable for parole and, at some point, the
    resulting term of incarceration might become so disproportionate to individual culpability
    as to be unconstitutional. Our Supreme Court has recognized that even reasons of public
    safety cannot authorize continued incarceration beyond the “constitutional maximum
    period of confinement.” (Dannenberg, 
    supra,
     34 Cal.4th at p. 1096.)
    It is useful to briefly describe the many judicial, legislative, and administrative
    actions that have been taken during the last four decades concerning proportionality in
    sentencing.
    By the 1970s, the rehabilitative goals of the ISL were no longer considered
    efficacious. The subjectivity of any in-prison assessment of rehabilitation and the
    uncertainty of indeterminate sentences were seen as obstructive of rehabilitation and a
    cause of violence in prison; and gross disparities in terms fixed for offenders who had
    committed comparable crimes were perceived as unwarranted, unjust and unnecessary.
    (Cassou & Taugher, supra, 9 Pacific L.J. 5 at pp. 10-11.) At the same time, as a result of
    Morrissey v. Brewer (1972) 
    408 U.S. 471
     (Morrissey), the procedural protections
    declared by the United States Supreme Court in Goldberg v. Kelly (1970) 
    397 U.S. 294
    were introduced into the postconviction sentencing process. By subjecting revocations of
    parole to the requirements of the due process clause, Morrissey stimulated state judicial
    35
    inquiry into the parole process that defined the nature of punishment imposed under the
    ISL; specifically, whether the uncertainty and range of indeterminate terms allowed the
    imposition of cruel and unusual punishment within the meaning of the Eighth
    Amendment.
    In Lynch, supra, 
    8 Cal.3d 410
     and In re Foss (1974) 
    10 Cal.3d 910
    , the California
    Supreme Court introduced the concept of proportionality as a means of determining
    whether the denial of parole resulted in a sentence that constituted cruel and usual
    punishment. Application of this criterion was, however, problematical. As recognized
    by the Supreme Court in Wingo, supra, 
    14 Cal.3d 169
     and People v. Romo (1975) 
    14 Cal.3d 189
    , the proportionality of an indeterminate term could not be reviewed unless
    and until it had been fixed by the parole authority (then the Adult Authority), which did
    not engage in term-fixing until it first determined the inmate was rehabilitated and
    therefore suitable for release. In Rodriguez, supra, 
    14 Cal.3d 639
    , the Supreme Court
    attempted to eliminate this problem.
    As pointed out in Morganti, supra, 
    204 Cal.App.4th 904
    , “[t]he judicial concern in
    Rodriguez was that the Adult Authority was not complying with the legislative intention
    that it fix terms within the statutory range prescribed by the ISL ‘that are not
    disproportionate to the culpability of the individual offender.’ (Rodriguez, supra,
    14 Cal.3d at p. 652.) The source of the problem, the court explained, was the authority’s
    failure to recognize the difference between its responsibility to fix an inmate’s ‘primary
    term’—which should not be ‘disproportionate to the culpability of the individual
    offender’ and must ‘reflect the circumstances existing at the time of the offense’—and its
    discretionary power to later reduce the term thus fixed, based on postconviction
    considerations, through exercise of its parole-granting function. (Id. at pp. 652-653.)
    Because it improperly conflated these separate and distinct functions, the Adult Authority
    did not fix an inmate’s primary term until and unless it determined he or she was suitable
    for parole.’ ” (Morganti, at p. 939, conc. & dis. opn. of Kline, J.) As the Rodriguez court
    observed “[a] practice has evolved . . . in which customarily a term is fixed only in
    36
    conjunction with a grant of parole. . . . Thus a prisoner appears before a panel of the
    Authority for term-fixing only when his application for parole is considered, and as a
    general rule if he is denied parole no further consideration is given to the determination
    of his term.” (Rodriguez, supra, 14 Cal.3d at p. 646.) As a result of this practice, the
    petitioner in Rodriguez, like other prisoners, did not have his term fixed at a number of
    years proportionate to his offense at any time before his punishment became
    constitutionally excessive, which demonstrated that the ISL was “not . . . being
    administered in a manner which offers assurance that persons subject thereto will have
    their terms fixed at a number of years proportionate to their individual culpability
    [citation], or, that their terms will be fixed with sufficient promptness to permit any
    requested review of their proportionality to be accomplished before the affected
    individuals have been imprisoned beyond the constitutionally permitted term.” (Id. at
    p. 650.) Accordingly, the Rodriguez court required the parole authority to set a prisoner’s
    “primary term” promptly after he or she entered prison, and to later, by granting parole,
    reduce the primary term in recognition of his “readiness to lead a crime-free life in
    society.” (Rodriguez, at p. 652) As the court noted, “[p]rompt term-fixing will not only
    serve to alleviate one of the causes of anxiety now affecting inmates, but will also prevent
    the intrusion of irrelevant post-conviction factors into the determination of the
    punishment that is proportionate to the offense of the particular inmate. Prompt term-
    fixing will also enable the inmate who is aggrieved by what he believes to be an
    unconstitutionally excessive term to seek judicial review of the action by the
    Authority . . . [and] also make possible the type of meaningful review of Authority
    actions to which prisoners are entitled.” (Id. at p. 654, fn. 18.)16
    16
    In this connection, the court pointed out that “[w]ere unrepresented prisoners
    required to take the initiative by seeking relief at such time as they believed their
    continued imprisonment to be constitutionally impermissible, not only might abuses such
    as that in the instant case, and that in Lynch[, supra, 
    8 Cal.3d 410
    ] recur, but courts would
    continue, as now, to receive inadequate petitions unaccompanied by necessary supporting
    data. Since prison inmates understandably lack perspective as to the propriety of their
    continued incarceration, and also lack the ability to marshal the facts and applicable law
    37
    On September 2, 1975, about two months after Rodriguez was decided, the Adult
    Authority issued Chairman’s Directive No. 75/30, entitled “Implementation of In re
    Rodriguez.” This directive emphasized that it was addressing procedures for “term
    fixing” and not the separate function of “parole granting,” which would continue to be
    governed by a previous Chairman’s Directive.17 The new directive set forth procedures
    for fixing a “primary term,” consisting of the base term plus adjustments (Chairman’s
    Directive No. 5/30, § V.C), and including both time served in prison and time served on
    parole (id., § I.) In setting the primary term, only information pertaining to the inmate’s
    personal culpability for the commitment offense, past history and personality could be
    considered, not information concerning conduct “subsequent to the offense.” (Id.,
    § IV.A.) The Directive stated that because prior to Rodriguez inmates’ terms could be re-
    fixed based on events subsequent to the commitment offense, some inmates were
    currently “serving terms disproportionate to the commitment offense, based on their
    subsequent history” and would be “entitled to discharge under the new procedures.” (Id.,
    § V.F.) Rehearings were required in approximately 40,000 cases in which Rodriguez
    required prompt term setting. (Cassou & Taugher, supra, 9 Pacific L.J. at p. 16, fn. 79.)
    Regulations codifying the post-Rodriguez changes were adopted in 1976. (1976
    Regs., §§ 2000-2725; see Cassou & Taugher, supra, 9 Pacific L.J. at p. 16, fn. 79.) The
    in support of their claims, it is probable that courts would be burdened by a flood of
    meritless petitions. . . . Once the primary term is fixed by the Authority, however, all of
    the relevant data regarding the particular inmate, the circumstances of his offense, and the
    criteria on which the term is based will have been marshaled by the Authority, thus
    enabling petitioner to set out the basis or bases for his complaint, while at the same time
    providing the court with a record adequate to permit meaningful review.” (Rodriguez,
    supra, 14 Cal.3d at p. 654, fn. 18.)
    17
    Chairman’s Directive No. 75/20, which issued on April 15, 1975, two and a
    half months prior to the Rodriguez opinion, was designed “[t]o establish procedures to
    apply to all parole consideration hearings.” This directive stated that “[e]very effort will
    be made to establish parole and discharge dates the first time an inmate appears for his
    regularly scheduled parole consideration hearing” (§ A) and set forth the manner in
    which this should be done, including determination of the “base period of confinement”
    grounded primarily on the “seriousness of the commitment offense” (§ A.2.c.).
    38
    regulations called for the Adult Authority to set a “primary term,” defined as “[t]he
    maximum term fixed by the parole board for adult felons committed to prison under an
    indeterminate sentence, including time credits and time served inside prison and on
    parole” (1976 Regs., § 2080) and “the maximum period of time which is constitutionally
    proportionate to the individual’s culpability for the crime” (id., § 2100, subd. (a)). The
    regulations expressly distinguished the “primary term” from “the parole release date
    fixed by the parole board, which determines the length of time to be served inside prison
    walls.” (Id., § 2100, subd. (a).) The primary term consisted of a “base term” reflecting
    the circumstances of the crime and inmate’s culpability for it, and “adjustments for the
    individual’s criminal history” (prior prison terms and current commitments). (Id.,
    § 2150.) The regulations provided suggested ranges of punishment for a given crime,
    with alternatives depending on whether the Adult Authority characterized the offense as
    “a ‘typical’ or ‘aggravated’ crime of that type,” and suggested adjustment ranges. (Id.,
    §§ 2151, 2152, 2225, 2226bnbn.) Once fixed, the primary term could not be “refixed
    upward” unless the term was illegally fixed, a clerical error was made, or significant
    information was fraudulently withheld from the parole board. (Id., § 2102, subd. (a).)
    The term setting hearing, together with the inmate’s first parole hearing, was to be
    scheduled for the earlier of one month before his or her minimum eligible parole date
    (MEPD) or the 12th month after reception. (1976 Regs., §§ 2125, subd. (a)(2), 2251.)18
    At this hearing, after the primary terms were fixed for each indeterminate sentence, the
    inmate would be evaluated for suitability for release on parole; if the inmate was found to
    pose an unreasonable risk of danger to society, parole would be denied; otherwise a
    “tentative parole release date would be established. (1976 Regs., §§ 2250, 2300, 2301.)
    The tentative parole release date would be set by determining the “total period of
    confinement,” including the “base period of confinement” reflecting the seriousness of
    18
    For an inmate whose MEPD was within 120 days of arrival in prison, the
    hearing was to be scheduled within 120 days of reception. (1976 Regs., § 2125,
    subd. (a).)
    39
    the base offense, “adjustment could be increased after a rescission hearing or decreased
    after a progress hearing. (Id., § 2251.) The regulations set out general factors for the
    hearing panel to consider in determining the seriousness of the base offense, as well as
    specific aggravating and mitigating circumstances, and suggested ranges for various
    offenses. (Id., §§ 2200-2202, 2225.)19 These regulations comported with Rodriguez in
    that they required the primary term to be set before an inmate is actually considered for
    parole, thereby setting a limit on the inmate’s term and providing a basis for judicial
    review, for example, if an inmate did not receive a parole release date because he or she
    continued to be found unsuitable for release.
    The DSL became effective on July 1, 1977. (Stats. 1976, ch. 1139, § 273,
    p. 5140.) Although, as we have said, the DSL continues to prescribe indeterminate
    sentences for certain offenses, the parole authority, renamed the Community Release
    Board (CRB), apparently took the position that enactment of the DSL relieved it of the
    responsibility to promptly establish a “primary term” reflecting the maximum
    constitutionally proportionate sentence that could be imposed on a particular life prisoner.
    Regulations published on July 9, 1977, set forth procedures governing parole for
    life (and other) prisoners under the newly enacted DSL and separate procedures
    governing parole for those who had been sentenced under the ISL. (Former 15 Cal.
    Admin. Code, §§ 2265-2329 [Register 77, No. 28-B, July-9-77] [(1977 Regs.)].) ISL
    prisoners were (and still are) to have a release date calculated under both the ISL
    procedures and the DSL procedures, and be released on the earlier of the two dates.
    (Id., § 2300.) The timing of the initial parole hearing remained as under prior regulations
    (id., § 2304, subd. (b)(2)), but there was no longer a term-setting hearing and the concept
    of the “primary term” no longer appeared in the regulations.20 Instead, the regulations
    19
    The suggested range for first degree murder was 7 years to life, with a suggested
    “base period” for parole of 8 to 13 years. (Id., § 2225, subd. (a).)
    20
    The regulations directed the Board to review the sentence of each prisoner
    shortly after prison entry to “determine whether the sentence imposed by the court is
    appropriate in light of available information” and, for DSL prisoners, “to eliminate
    40
    directed the hearing panel to “first determine whether the prisoner is unsuitable for
    parole” under specified criteria, and deny parole if the prisoner is found unsuitable.
    (Id., §§ 2304, 2315, 2316.) If the inmate was found suitable, the parole authority was to
    set a tentative parole date as before, by establishing the total period of confinement
    composed of the base period of confinement and adjustments. (Id., §§ 2304, subd. (a),
    2318-2328.)21 The regulations again set forth factors for the panel to consider in
    determining the seriousness of the offense (id., § 2317) and suggested ranges for various
    offenses (id., § 2329).22
    For life prisoners sentenced under the DSL itself, the 1977 regulations provided:
    “A life prisoner shall be considered for parole for the first time at the initial parole
    consideration hearing. At this hearing, a parole date shall normally be set. The parole
    date shall be set in a manner that provides uniform terms for offenses of similar gravity
    and magnitude in respect to their threat to the public.” (1977 Regs., § 2280) As with ISL
    prisoners, the first determination to be made was “whether the prisoner will at some time
    in the future be suitable for release.” (Ibid.) Once a prisoner was found suitable for
    future release on parole, the hearing panel was to set a tentative parole date by first
    establishing the “total period of confinement,” consisting of a “base period of
    confinement” reflecting the seriousness of the base offense and adjustments for
    disparity of sentences and promote uniformity of sentencing.” (Former 15 
    Cal. Admin. Code § 2100
     [Register 77, No. 28-B, 9-9-77].) If the sentence imposed appeared
    disparate, the Board was to recommend to the court that it recall the sentence and
    resentence the prisoner. (Id., § 2106.)
    21
    One difference from the prior ISL regulations was that the total period of
    confinement was to be determined without inclusion of pre-prison credits, which were
    instead to be deducted from the total period of confinement (1977 Regs., § 2319, 2343,
    2344.)
    22
    In a section of the regulations pertaining to retroactive application of the DSL to
    ISL prisoners, an “offense chart” indicated, for first degree murder, an indeterminate
    sentence of 7 years to life. (1977 Regs., § 2166.) The regulation setting forth “suggested
    base ranges” for parole of ISL prisoners did not specify a “base period” for parole for
    first degree murder. (Id., § 2329.)
    41
    enumerated preconviction, commitment and postconviction factors, and then deducting
    preprison credit. (Id., §§ 2285-2295.) The regulations specified ranges (longer than
    those under the ISL) to guide the panel in determining the base period of confinement for
    a given offense (id., § 2296),23 examples of aggravating and mitigating circumstances,
    and factors relating to the prisoner (preconviction and postconviction) to be considered
    (id., §§ 2282, 2283, 2284).
    In essence, by deferring the setting of the total period of confinement until a
    tentative parole date was set, the 1977 regulations resurrected the pre-Rodriguez practice
    of not setting an inmate’s “term” until he or she was found suitable for release on parole.
    A prisoner found to present a public danger would continue to be denied parole and no
    defined term would be set that would permit judicial review of the proportionality of the
    term. This remains the procedure under current regulations. (Regs., §§ 2280, 2282,
    2304, 2317.)24
    We are not aware of any official explanation for the CRB’s departure from the
    practice mandated by Rodriguez for life prisoners after the enactment of the DSL. A
    post-hoc explanation, however, may be found in a memorandum sent by the Office of the
    Attorney General to all criminal deputies on August 22, 1979, but never made formally
    available to the public, concerning then newly-enacted sentences for first and second
    23
    The suggested ranges for first degree murder were 92 to 108 months (lower),
    109 to 132 months (middle) and 133 to 156 months (upper). (1977 Regs., § 2296,
    subd. (b).)
    24
    Regulations adopted on August 5, 1978, introduced language that remains in
    current regulations, providing for determination of a “base term,” to be established
    “solely on the gravity of the base offense, taking into account all of the circumstances of
    that crime” by reference to a matrix providing a triad of terms for a given offense
    depending on the circumstances in which it was committed. (Former 15 Cal. Admin
    Code, § 2282 [Register 78, No. 31-A, August 5, 1978] (1978 Regs.).) One axis of the
    matrix relates to the manner in which the offense was carried out and the other to the
    relationship between the prisoner and the victim and degree of threat to the public.
    (Ibid.) In the 1978 regulations, the terms for first degree murder ranged from a low of 8,
    10 or 12 years to a high of 18, 20 or 22 years. (Ibid.)
    42
    degree murder.25 The Attorney General viewed the sentences of 25 years to life for first
    degree murder and 15 years to life for second degree murder established by the 1978
    Death Penalty Act (Pen. Code, § 190 et seq., added by Proposition 7, eff. 11/7/78) as
    “ ‘life’ sentences with 15 and 25 year minimum eligible parole dates.” (Memo at p. 1.)
    Because the Legislature had repealed the statute previously authorizing the Adult
    Authority to “fix and refix” terms of imprisonment, section 2940,26 the Attorney General
    concluded that the Legislature had withdrawn the parole board’s authority to “fix terms”
    and left it only the “power to grant parole.” (Memo, at pp. 1-2.) Significantly, the
    25
    The Attorney General’s memorandum was an exhibit to the petition for writ of
    habeas corpus filed on December 10, 2012 by an inmate challenging the constitutionality
    of the Board practice of deferring calculation of the base term for life prisoners until after
    a finding of suitability for release. (In re Butler, Case No. 139411) After we issued an
    order to show cause in that case, counsel filed a supplemental petition that also
    challenged the Board order denying petitioner a parole release date. On August 7, 2013,
    we ordered bifurcation of the petition into two separate cases. Case No. 139411, which
    challenged the constitutionality of deferral of the setting of the base term, resulted in a
    Stipulation and Order regarding settlement filed on December 16, 2013. By its own
    terms, that settlement, which is described, post, at p. 47, became effective on March 5,
    2014, the date we issued our published opinion in the associated case, In re Butler (2014)
    ___ Cal.App.4th ___ [
    2014 Cal. App. LEXIS 211
    ]. Because the 1979 Memorandum of
    the Attorney General and our order regarding settlement are parts of a record of this court
    and relevant to the present matter, we take judicial notice of both documents. (Evid.
    Code, § 452, subd. (d).)
    26
    Former Penal Code section 2940 provided, “Where the Adult Authority is
    authorized to fix and refix the term of imprisonment of a prisoner, such prisoner shall be
    discharged from custody upon the completion of said term so fixed or refixed and if the
    Adult Authority fails to fix the term of imprisonment the prisoner shall be discharged
    upon the completion of the maximum punishment provided by law for the offense for
    which the prisoner was convicted.” Former Penal Code section 2941 provided, “Where
    the Adult Authority [was] not authorized to fix or refix the term of imprisonment of a
    prisoner such prisoner shall be discharged only upon the completion of the specified term
    fixed by law.”
    43
    Attorney General took the position that because the parole authority no longer had the
    power to fix terms, Rodriguez had been rendered “obsolete.” (Memo, at p. 3.)27
    The conclusion of the 1979 memorandum, that repeal of section 2940 withdrew
    the parole board’s authority to fix terms, is consistent with the enactment of the DSL with
    respect to offenses for which the law specified determinate terms to be imposed by the
    sentencing court. The same does not follow, however, as applied to indeterminate terms
    imposed under the DSL. For a prisoner sentenced to an indeterminate term, the decision
    to set a parole release date effectively fixes the term of punishment. As more recently
    recognized in Dannenberg, supra, 34 Cal.4th at page 1097, the setting of an
    indeterminate life prisoner’s parole release date is “the equivalent of term-setting in such
    cases.” (See Pen. Code, § 3041 [“Setting of parole release date”]; Regs., §§ 2289
    [“Fixing a Parole Date: Computation,” for life prisoners]; 2317 [Fixing a Parole Date:
    Criteria,” for ISL prisoners]; 2411 [“Fixing a Parole Date” for murders committed on or
    after November 28, 1978].) Dannenberg took the view that in Penal Code section 3041,
    “the Legislature partially combined the term-setting and parole functions Rodriguez had
    described as separate under prior law. Under subdivision (a), firm parole release dates,
    fixed in advance under principles of uniform incarceration for similar offenses, would
    define the actual terms of imprisonment for eligible life prisoners. (See Jefferson, 
    supra,
    21 Cal.4th at pp. 95-96.) But subdivision (b) of the statute made clear that the parole
    authority would have the express power and duty, in an individual case, to postpone the
    fixing of a firm release date, and thus to continue the inmate’s indeterminate status within
    27
    The memorandum stated, “In re Rodriguez[, supra,] 
    14 Cal.3d 639
    , also appears
    to have been rendered obsolete by the changed structure of life sentences. In Rodriguez,
    the California Supreme Court placed the burden on the parole board to set a prisoner’s
    ‘primary term’ quickly and without regard to any post-conviction behavior. This
    ‘primary term’ established the outer limit of the prison system’s jurisdiction over the
    prisoner. The basis for the Rodriguez decision lay in the judicial branch’s obligation to
    examine terms, as fixed by the parole board, to determine whether they were cruel or
    unusual. In light of the fact that the CRB has no term fixing power . . . Rodriguez is no
    longer applicable.” (Memo, at p. 3.
    44
    his or her life-maximum sentence, if it found that the circumstances of the prisoner’s
    crime or criminal history presented a continuing risk to public safety.” (Dannenberg, at
    pp. 1090-1091.)
    Dannenberg upheld the Board’s authority to fix an indeterminate life inmate’s
    sentence only after the inmate is found suitable for parole, finding that “the overriding
    statutory concern for public safety in the individual case trumps any expectancy the
    indeterminate life inmate may have in a term of comparative equality with those served
    by other similar offenders” and that the considerations underlying Rodriguez did not
    apply in the context of the DSL. (Dannenberg, supra, 34 Cal.4th at pp. 1084, 1096.)
    Dannenberg, however, was concerned primarily with the question whether the parole
    authority was required, before finding an inmate suitable for parole, to evaluate the
    inmate’s offense for uniformity of sentence with other similar offenses. (Id. at p. 1069.)28
    28
    Additionally, as noted in Morganti, supra, 204 Cal.App.4th at page 942,
    footnote 13, Dannenberg reached its conclusion on this point partly because when it was
    decided in 2005, “the number of inmates indeterminately sentenced was ‘but a fraction’
    of the total prison population, which ‘diminish[ed] the possibility that the Board’s refusal,
    under [Penal Code] section 3041, subdivision (b), to set parole release dates in individual
    cases will result in the de facto imposition of constitutionally excessive punishment, or
    will overwhelm the courts’ ability to assess claims of constitutional disproportionality.’
    (Dannenberg, supra, 34 Cal.4th at p. 1097.)”
    In 2009, the number of indeterminately sentenced prisoners in California was
    34,160, about one-fifth of the prison population. (Morganti, supra, 204 Cal.App.4th at p.
    942, fn. 13, citing Nellis & King, No Exit: The Expanding Use of Life Sentences in
    America (The Sentencing Project, July 2009) p. 3.) “After the reduction in the size of the
    nonindeterminately sentenced prison population necessary to comply with the directive of
    the Supreme Court in Brown v. Plata (2011) 563 U.S. ___ [
    179 L.Ed.2d 969
    , 
    131 S.Ct. 1910
    ] indeterminately sentenced prisoners will constitute close to one-third of the total
    population. The growth in the number of indeterminately sentenced prisoners in
    California is reflected in the fact that the number of such prisoners in 2009 was 56
    percent greater than the total prison population in 1976, when the DSL was enacted,
    which was 21, 088. (Cal. Dept. of Corrections, Policy & Planning Div., California
    Prisoners 1977 and 1978, p. 5.)” (Morganti, supra, 204 Cal.App.4th at p. 942, fn. 13.) In
    2012, the number of adult indeterminately sentenced life prisoners was 35,759 out of a
    total prison population of 133,883, or approximately 27 percent. (Nellis, Life Goes On:
    The Historic Rise in Life Sentences in America (The Sentencing Project, supra, at p. 6.)
    45
    While Dannenberg was willing to subordinate considerations of uniformity in
    sentencing to considerations of dangerousness and public safety, the court recognized that
    the proportionality of the sentence to an inmate’s individual culpability could not be
    similarly subordinated. After explaining that Rodriguez does not relate to application of
    the uniformity provisions of the DSL, the court made clear that it does relate to
    implementation of the DSL insofar as it may interfere with proportionality in sentencing.
    (Dannenberg, 
    supra,
     34 Cal.4th at p. 1096.) Citing Rodriguez, the court stated that “[o]f
    course, even if sentenced to a life-maximum term, no prisoner can be held for a period
    grossly disproportionate to his or her individual culpability for the commitment offense.
    Such excessive confinement we have held violates the cruel and unusual punishment
    clause (art. I, § 17) of the California Constitution. (Rodriguez, supra, 
    14 Cal.3d 639
    ,
    646-656; Wingo, 
    supra,
     
    14 Cal.3d 169
    , 175-183.) Thus, we acknowledge, [Penal Code]
    section 3041, subdivision (b), cannot authorize such an inmate’s retention, even for
    reasons of public safety, beyond this constitutional maximum period of confinement.”
    (Dannenberg, at p. 1096, italics added.)
    As we have said, the Board’s practice of deferring calculation of an indeterminate
    life prisoner’s total term of confinement until the prisoner is found suitable for parole
    creates the risk the prisoner may be confined for a period exceeding the constitutional
    maximum and undermines the ability of the judiciary to meet its responsibility of
    ensuring the proportionality of such inmates’ sentences. Recently, however, the Board
    has agreed to alter this practice. In the judicial settlement referred to earlier in this
    opinion (fn. 26, ante), the Board and inmate stipulated to entry of an order of this court
    directing that “as soon as is practicable, the Board shall begin implementation of new
    policies and procedures that will result in the setting of base terms and adjusted base
    terms for life term inmates at their initial parole consideration hearing, or at the next
    scheduled parole consideration hearing that results in a grant of parole, a denial of parole,
    a tie vote or a stipulated denial of parole” and “the Board will commence rulemaking
    proceedings designed to memorialize and embody said new policies and procedures.” (In
    46
    re Butler, A139411, Stipulation and Order Regarding Settlement filed December 16,
    2013 [effective March 5, 2014].) The new policies and practices contemplated by this
    Stipulation and Order are intended and expected to reintroduce into the parole process
    early consideration of the proportionality of life inmates’ sentences, which would also
    facilitate judicial review of such sentences. In the present case, we are confident that, as a
    result of our vacating of the Board decision denying petitioner a parole release date, and
    ordering a new hearing, petitioner will have the benefit of this change and will have his
    base term and adjusted base term established.
    DISPOSITION
    The petition for writ of habeas corpus is granted. The Board of Parole Hearings is
    directed to vacate its November 28, 2011 parole decision and, consistent with In re
    Prather, supra, 
    50 Cal.4th 238
    , hold a new hearing and issue a new decision within
    60 days of this order.
    _________________________
    Kline, P.J.
    We concur:
    _________________________
    Richman, J.
    _________________________
    Brick, J.*
    * Judge of the Alameda County Superior Court, assigned by the Chief Justice
    pursuant to article VI, section 6 of the California Constitution.
    47
    Trial Court:                Marin County Superior Court
    Trial Judge:                Hon. James T. Chou
    Attorneys for Petitioner:   Jonathan Soglin, Executive Director
    Frances M. Ternus, Staff Attorney
    By Court Appointment Under the
    First District Appellate Project
    Attorneys for Respondent:   Kamala D. Harris, Attorney General
    Jennifer A. Neill, Sr. Asst. Atty. Gen.
    Sara J. Romano, Super. Dep. A.G.
    Brian C. Kinney, Deputy Atty. Gen.
    Denise A. Yates, Deputy Atty. Gen.
    48