Dominic Moceri v. State , 338 Ga. App. 329 ( 2016 )


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  •                               FIRST DIVISION
    DOYLE, C. J.,
    ANDREWS, P. J., and RAY, J.
    NOTICE: Motions for reconsideration must be
    physically received in our clerk’s office within ten
    days of the date of decision to be deemed timely filed.
    http://www.gaappeals.us/rules
    July 7, 2016
    In the Court of Appeals of Georgia
    A16A0063. MOCERI v. THE STATE.
    ANDREWS, Presiding Judge.
    Dominic Joseph Moceri, III appeals from the judgment of conviction and
    sentence entered on a jury verdict finding him guilty of homicide by vehicle in the
    first degree. For the following reasons, we affirm.
    1. A jury found Moceri guilty of first degree vehicular homicide in violation
    of OCGA § 40-6-393 (a) based on evidence that he caused the death of the passenger
    in the car he was driving when he crashed the car into a utility pole while fleeing and
    attempting to elude a pursuing police vehicle in violation of OCGA § 40-6-395 (a).
    On November 4, 2007, Officer Baird, a uniformed police officer employed by
    the Athens-Clarke County Police Department was on patrol in his marked police
    vehicle at 1:20 a.m. when he observed a BMW automobile traveling about 46 miles
    per hour in a 35 miles per hour speed zone while drifting from side to side within the
    traffic lane. As the car went through a curve in the road, the officer observed the car
    drift in one direction and then correct in the other direction with a “quick jerk.” When
    the speed limit on the road changed to 40 miles per hour, the car accelerated to 55
    miles per hour. Based on the fact that the car continued to drift back and forth within
    the lane and the speed of the car, the officer was concerned the driver may be
    impaired and followed the car, with the police vehicle’s video camera activated, to
    observe how the car was being driven. As the car approached an intersection with
    another road, the officer activated his vehicle’s blue lights to stop the car to
    investigate whether the driver was impaired. At that point, the car changed to the right
    turn lane and turned right at the intersection. The officer followed the car with blue
    lights activated as the car drove ahead and passed several businesses where the driver
    could have safely stopped the car. Another police officer (Officer Bennett) traveling
    in a marked vehicle, saw Officer Baird with blue lights activated following the car
    and pulled in behind Officer Baird with the intention of driving by the traffic stop.
    Officer Bennet confirmed that, as Officer Baird followed, the car continued past
    locations where the driver could have safely stopped. Officer Baird testified that he
    blew his air horn to give the driver an audible stop signal in addition to the blue
    2
    lights, and that, when he did so, “instead of pulling over to the right hand side of the
    road[, the car] accelerate[d] rapidly and began to separate from me.” Officer Bennett
    also testified that, when Officer Baird “bump[ed] his air horn . . . [she] saw the BMW
    take off at a high rate of speed.” Seconds later, with Officer Baird in pursuit, the car
    failed to negotiate a sharp curve in the road and crashed into a utility pole. The entire
    sequence of events, including the car’s high-speed acceleration away from the police
    vehicle and the subsequent crash, was captured on Officer Baird’s video camera and
    was viewed by the jury. At the crash scene, Officer Baird immediately called for an
    ambulance, exited his vehicle, and identified two people as occupants of the car –
    Moceri, who was the driver of the car, and a female passenger. The passenger side of
    the car was heavily damaged in the crash, and the passenger, who was not breathing
    and had no pulse at the scene, was taken by ambulance to a hospital. On arrival at the
    hospital emergency room, the passenger was declared dead. Evidence showed that the
    passenger died as a result of multiple injuries she suffered in the crash. Although
    Moceri insisted he was not injured, he was also taken to the hospital to be examined.
    At the scene of the crash, Moceri denied drinking any alcohol, but a blood test at the
    hospital showed that he had a blood alcohol level of .059, below the legal limit of
    .080. A nurse who helped examine Moceri at the hospital shortly after the crash said
    3
    that he was “laughing off the police,” claimed he had been a race car driver, and said,
    “I should have been able to get away.”
    There was ample evidence to support the jury’s determination that Moceri was
    guilty beyond a reasonable doubt. Jackson v. Virginia, 
    443 U. S. 307
     (99 SCt 2781,
    61 LE2d 560) (1979).
    2. Moceri claims the trial court erred by excluding evidence that the 1995
    BMW M3 car he was driving had a possible mechanical malfunction which he
    contends caused or contributed to the fatal crash. The trial court entered a pre-trial
    order excluding the evidence based on findings that the defendant violated provisions
    of the Criminal Procedure Discovery Act (the Discovery Act or the Act) (OCGA §
    17-16-1 et seq.) by failing to preserve the car for inspection by the state as ordered
    by the court; that the defendant’s failure was in bad faith; and that the state was
    prejudiced. OCGA § 17-16-6.
    It is undisputed that the defendant elected to have the Discovery Act apply to
    his case, and therefore the reciprocal discovery obligations in the Act applied to the
    prosecution and the defense. OCGA § 17-16-2 (a). Where the prosecution or the
    defense fails to comply with discovery obligations in the Act, the trial court has broad
    discretion to fashion a remedy to ensure a fair trial. Leger v. State, 
    291 Ga. 584
    , 586
    4
    (732 SE2d 53) (2012). “[T]he remedy a trial court fashions to cure a discovery
    violation is reviewed on appeal only for abuse of discretion.” Jones v. State, 
    290 Ga. 576
    , 578 (722 SE2d 853) (2012). Moreover, if the defendant fails to comply with a
    discovery obligation in the Act, the trial court
    may order the defendant to permit the discovery or inspection, interview
    of the witness, grant a continuance, or, upon a showing of prejudice and
    bad faith, prohibit the defendant from introducing the evidence not
    disclosed or presenting the witness not disclosed, or may enter such
    other order as it deems just under the circumstances.
    OCGA § 17-16-6 (emphasis suppled).
    The record shows the following procedural history leading to the court’s order
    pursuant to OCGA § 17-16-6 prohibiting the defense from introducing evidence of
    mechanical malfunction. After new defense counsel was substituted in March 2009,
    the case was set for a June 24, 2009 calendar call during which a discussion occurred
    as to whether the defendant intended to use expert testimony to assert a claim that
    there was a mechanical malfunction of the car. After defense counsel stated that a
    malfunction claim was under consideration, the court ordered pursuant to OCGA §§
    17-16-4 and 17-16-8 that, before July 31, 2009, all discovery disclosures related to
    expert evidence in support of the claim be made and witness lists be exchanged. The
    defense failed to comply with the court order. At the July 31, 2009 calendar call,
    5
    defense counsel announced ready for trial and stated that the defense would comply
    with the court order and provide the discovery to the state in one day. Based on that
    assurance, the trial court set the case for a status conference on September 4, 2009
    and for trial on September 28, 2009. The record at the September 4 status conference
    shows the defense failed to timely comply with the court’s prior discovery order. The
    defense provided the state with: (1) (on August 14, 2009) a witness list which
    included the names of two persons the defense expected to use as expert witnesses
    (though not identified as experts on the list); (2) (on September 2, 2009) a certified
    copy of BMW recall campaign 97V131 (issued by the National Highway Traffic
    Safety Administration) listing various BMW cars, including 1995 BMW M3 cars; and
    (3) (on September 3, 2009) written summaries of oral reports given to the defense by
    two expert witnesses. Defense counsel informed the court that the summaries were
    given because the experts did not provide written reports. The summaries provided
    by the defense consisted of only a general statement that the BMW recall 97V131
    applied to the BMW M3 car driven by the defendant, and that the problem referenced
    in the recall affected the car and made it difficult to control as it relates to accelerating
    and stopping. The state asked for an opportunity to inspect the car, and the following
    colloquy ensued between the court and defense counsel:
    6
    Court: So . . . the experts . . . all they’re going to testify about is this
    recall?
    Counsel: That is correct . . .
    Court: [D]id the experts inspect the vehicle?
    Counsel: That is correct.
    Court: Where is the vehicle?
    Counsel: I do not know . . .
    Court: Well, you need to find that out. . . . [I]f [the state] needs to go and
    inspect it – this is not going to be a trial by ambush. . . . [W]hen did
    these [experts] inspect the vehicle?
    Defense counsel responded that one expert inspected the car “a long time ago” and
    that the other expert had been “involved in this case for about six months.” When the
    court asked defense counsel why the defendant had not complied with the court’s
    order to disclose the expert information before July 31, defense counsel responded,
    “[W]e were still making decisions as related to strategy on the case is the reason.”
    The court temporarily recessed the status conference and told defense counsel to find
    out where the car was located and report back. When defense counsel reported back,
    he provided an address in Oxford, Georgia as the location of the car. According to
    defense counsel, he was “just provided that on the phone by the owner of the
    vehicle,” who counsel identified as the defendant’s father, a Michigan resident. The
    state asked the court for a continuance to give it an opportunity to obtain an expert
    to examine the car for the purpose of responding to the defense experts. Defense
    7
    counsel argued that the state was not entitled to a continuance or any other relief
    because the state had possession of the car after the November 2007 accident,
    conducted a Georgia State Patrol accident investigation, and should have inspected
    the car when it had possession to determine if the recall had a bearing on the crash
    before releasing the car to the owner in April 2008. Pursuant to the state’s request, the
    court: (1) continued the case from the September 28 trial date; (2) ordered the defense
    no later than September 9, 2009 to provide the state with expanded written statements
    of the experts’ oral reports which provide all the relevant and material portions of the
    reports in compliance with OCGA § 17-16-4 (b) (2); and (3) ordered the defendant
    pursuant to OCGA § 17-16-4 (b) (1) to preserve the car in its current condition – that
    it “shall not be changed, altered, or modified in any way and shall not be destroyed”
    – and to make the car available to the state for inspection. The court specifically
    asked defense counsel if there was any objection to the court’s order that the
    defendant preserve the car for inspection. Defense counsel responded, “[N]o, Your
    Honor, it has been preserved for this reason. I mean, that’s the whole reason it has
    been saved for this time.” At the next status conference on October 9, 2009, defense
    counsel informed the court that the defense anticipated contacting additional experts
    to inspect the car and that the car was available for inspection. On December 1, 2009,
    8
    the state contacted the defense to arrange for its expert to inspect the car, and the
    state’s inspection was set for December 17, 2009. But on December 14, 2009, defense
    counsel informed the state that the car was missing and was not available for
    inspection. Based on the failure of the defendant to preserve the car in compliance
    with the court order, and the state’s inability to inspect the car to respond to the
    defense experts, the state moved pursuant to OCGA § 17-16-6 for the trial court to
    prohibit the defendant from introducing evidence that the car had a possible
    mechanical malfunction caused by problems referenced in the BMW recall 97V131.
    At the January 22, 2010 calendar call, the trial court addressed the missing car and
    the state’s exclusion motion, and noted that defense counsel informed the court at the
    hearing on September 4 that the defendant’s father owned the car. Defense counsel
    told the court that, after the court’s September 4, 2009 oral order to preserve the car
    was reduced to writing on September 9, 2009, he spoke to the defendant’s father to
    explain the court’s order, and the father told him the car had been transferred to
    someone else. Defense counsel told the court that on September 9 he drove to the
    location where the new owner kept the car, and that he had previously revealed the
    transfer of ownership in a motion filed on September 28, 2009. The record shows that
    on September 28 defense counsel filed a document captioned “Motion to Accept
    9
    Discovery as Timely Filed” asking the court to accept the untimely filing of the
    expanded written statement of an expert’s oral report. The second to last paragraph
    in the motion, totally unrelated to the motion, contained the following statements:
    After court appearances on September 9, 2009, Counsel for Defendant
    drove to the location of the automobile that is the subject of the
    investigation of this case. Counsel drove to Oxford, Georgia, to
    personally notify the owner of the storage facility that the automobile
    cannot be altered in any way pursuant to Honorable David Sweat. Prior
    to this, Counsel had learned that the owner of the facility where the
    automobile is being stored is now the owner of the automobile, and
    Counsel wanted to make sure that the new owner understood the Court’s
    Order.
    The trial court scheduled an evidentiary hearing to consider the state’s motion to
    exclude evidence.
    The record contains a defense proffer of the excluded evidence describing the
    possible mechanical malfunction at issue as set forth in the BMW recall 97V131. As
    described in the recall, if the plastic bushing on the car’s cruise control or throttle
    cable breaks (due to environmental influences coupled with vibration), then during
    application of the gas pedal (without cruise control engaged) this could cause the
    throttle valve to remain partially open, “and the car might not decelerate as expected
    when you release the gas pedal.” The recall states that the repair necessary to prevent
    this potential mechanical malfunction is the installation of a “spring steel clip” on
    10
    each cable. The defendant’s proffer showed that his experts were expected to testify
    that, as a result of the problems described in the BMW recall, cars subject to the recall
    could also experience another potential mechanical malfunction not described
    anywhere in the recall – the car could suddenly accelerate without any application of
    the gas pedal by the driver. The defendant’s experts and other witnesses were also
    expected to testify that the recall applied to his BMW M3; that, when they inspected
    the car after the accident, the car did not have the “spring steel clips” installed to
    repair the potential malfunction; and that the absence of the clips could have caused
    or contributed to the crash.
    The evidence produced at the hearing on the state’s motion to exclude the
    mechanical malfunction evidence showed the following: At some point before the end
    of March 2009, Raphael Sicheron, a mechanic who owns an automobile repair shop
    in Oxford, Georgia, inspected the car on two different occasions at the request of the
    defendant’s father (the car’s owner) at the location where the car was stored by the
    father in Athens, Georgia. Sicheron was the defendant’s former co-worker at a
    Hyundai dealership in Athens. Sicheron said that he was aware the car had been in
    an accident, and that in the first inspection he identified a broken part on the car’s
    throttle cable and showed it to the defendant’s father. At the second inspection, the
    11
    defendant’s father asked Sicheron to show an investigator what he had seen in the
    first inspection. Sicheron showed the investigator the car’s gas and cruise control
    cables and the broken part, and the investigator took pictures of what he showed her.
    Later in the hearing, defense counsel informed the trial court that the investigator who
    took the photographs was employed by his office. Sicheron said the defendant’s
    father spoke to him about giving an expert opinion to support the malfunction claim.
    In June 2009, the defendant’s father sold the car to Sicheron for $300, but the car
    remained in the father’s possession where it was stored in Athens. Sicheron bought
    the car for a customer and friend, Ronald James, with the intention to remove the
    engine from the car and install it in a vehicle owned by James. Sicheron had earlier
    discussions about buying the car for the engine, but he was told by the defendant or
    the defendant’s father that the car was not available because it was the subject of an
    investigation. But sometime after March 2009, they told Sicheron the car was
    available. James paid $500 to Sicheron to purchase the car for the engine. According
    to James, the engine in the car was worth $3,000 to $4,000, and he did not know why
    the car was sold for less, but “[i]t was a good deal.” Sicheron eventually took
    possession of the car from the defendant’s father, and he and James transported it
    from Athens to Sicheron’s repair shop in Oxford in July or August of 2009. To
    12
    remove the car from the secure storage facility where the defendant’s father had
    stored it required the father’s signature. Sicheron continued to speak with the
    defendant’s father on the phone every week because he hoped to do business with the
    father, who produces turbochargers. After Sicheron and James transported the car to
    Oxford, Sicheron put the car adjacent to his shop in a location with no security. He
    said the defendant’s father told him to hold off for a while on doing anything to the
    car because the lawyer needed to have investigators look at the car. Defense
    investigators later came to Sicheron’s repair shop in Oxford to look at the car.
    Although he could not remember the date, possibly on September 9, 2009, Sicheron
    said defense counsel either came to his repair shop or called him and told him the
    judge in the case said not to touch the car. Sicheron was never given the court order
    directing that the defendant preserve the car, and he was never told to secure the car
    to prevent someone else from tampering with it. Sicheron never told defense counsel
    that he bought the car for James, and he never told James that defense counsel told
    him the car was not to be touched. Sicheron noticed the car was missing from his
    repair shop on December 14, 2009, and the first person he called was the defendant’s
    father. The defendant’s father notified defense counsel about his contact with
    Sicheron, and on December 14 defense counsel called Sicheron and told him to report
    13
    to police that the car was stolen and was the subject of an open court investigation.
    The same day, Sicheron reported to police that he was the owner of the car and that
    the car was stolen and under investigation. Sicheron testified at the hearing that James
    was the owner of the car, but he did not mention James to police when he reported the
    car was stolen. James testified that, on December 6, 2009, he took the car from the
    unsecured location where it was sitting next to Sicheron’s repair shop, removed the
    engine from the car and loaded it on his truck, and that, on December 7, he took the
    remaining body of the car to a recycle business where it was crushed. About a week
    later, James brought the engine back to Sicheron’s repair shop. Sicheron knew that
    James had removed the engine from the car, and knew that the throttle and cruise
    control cable assembly was still on the engine and available for inspection. Sicheron
    did not mention to defense counsel that the engine, with the critical parts, was still
    available. Rather, he installed the engine in James’s car, and, while doing so, removed
    the throttle and cruise control cable assembly from the engine and discarded those
    parts, which were lost and are no longer available for inspection by the state.
    Sicheron’s explanation for discarding the critical engine parts was that he did not
    know anyone wanted to see the engine, and that, “after the car got crushed and
    everything, I thought that was it.” Other evidence showed that, when the state initially
    14
    had possession of the car to investigate the November 2007 accident, there was no
    indication or claim during the state’s investigation that mechanical malfunction
    caused or contributed to the accident, and the state released the car to the owner
    without conducting any inspection of the car’s throttle and cruise control cable
    assembly.
    After the evidentiary hearing, the trial court granted the state’s motion to
    exclude the proffered evidence by concluding: (1) that actions by defense counsel and
    others, taken on defendant’s behalf, showed the defendant’s bad faith failure to
    comply with the court’s September 9, 2009 order that the car be preserved for
    inspection by the state; and (2) that the state was prejudiced. As set forth in the above
    procedural history and evidentiary hearing, we find facts, and reasonable inferences
    from the facts, sufficient to support the trial court’s conclusions with respect to bad
    faith and prejudice, as follows:
    After the defendant’s experts inspected the car in support of the mechanical
    malfunction claim, defense witnesses (the defendant’s father and Sicheron) took
    actions calculated to prevent the car from being available for inspection by the state.
    In March 2009, the defendant’s father (who owned the car at the time) and Sicheron
    (a mechanic who had worked with the defendant) inspected the throttle and cruise
    15
    control assembly on the car, and collaborated with a defense investigator to help
    establish the defendant’s mechanical malfunction claim. Both the defendant’s father
    and Sicheron were listed as potential witnesses for the defense. In June 2009, the
    defendant’s father sold the car to Sicheron for $300.00, a fraction of the car’s fair
    market value, and Sicheron remained in weekly contact with the father hoping to
    profit from a business relationship. After the car was sold, the defendant’s father
    retained possession of the car while the defense was developing its mechanical
    malfunction claim. But in July or August 2009, Sicheron took possession of the car
    from the defendant’s father and moved the car from a secure storage facility to a
    location with no security outside Sicheron’s repair shop. Sicheron left the car outside
    the shop with the understanding that the car belonged to a customer, James, who gave
    Sicheron $500.00 to buy the car for the engine.
    While the car was being kept by Sicheron at this unprotected location, actions
    taken by the defendant’s defense counsel contributed to the eventual destruction of
    the critical engine parts and violation of the court’s order that the defendant preserve
    the car for the state’s inspection. The defendant (acting through defense counsel)
    delayed providing court-ordered discovery to the state about the mechanical
    malfunction claim. When the defendant eventually revealed the malfunction claim,
    16
    and the court ordered the defendant to preserve the car for inspection by the state,
    defense counsel misinformed the court that the car was owned by the defendant’s
    father and was being preserved for the purpose of inspection. Defense counsel also
    failed to comply with the court’s discovery order to provide the state, no later than
    July 31, 2009, with the opinions of defendant’s experts who had already inspected the
    car. When defense counsel finally provided the state with general (but insufficient)
    summaries of expert opinions revealing the malfunction claim, the state requested
    time to locate an expert and an opportunity to have its expert inspect the car to
    respond to the claim. But at the September 4, 2009 hearing, defense counsel denied
    knowing where the car was located. After the court directed defense counsel to find
    the car, counsel spoke by phone with the defendant’s father, then informed the court
    at the same hearing that the car was owned by the defendant’s father and was located
    in Oxford. Nevertheless, defense counsel argued that the state should be denied any
    opportunity to inspect the car. The court rejected that argument and immediately
    ordered pursuant to OCGA § 17-16-4 (b) (1) that the defendant preserve the car for
    the state to inspect, and asked if the defendant had any objection to the order. Defense
    counsel said there was no objection to the preservation order and assured the court
    that the car “has been saved for this reason.” Accordingly, defense counsel not only
    17
    acquiesced in the court’s order that the defendant preserve the car for inspection,
    counsel induced the order by assuring the court that the defendant’s father owned the
    car and that the car was being preserved for the purpose of inspection. These
    assurances were not true. According to defense counsel, a few days later on
    September 9, he learned in a conversation with the defendant’s father that the father
    had sold the car to Sicheron. Defense counsel traveled that day to Oxford, saw the car
    sitting outside Sicheron’s repair shop, and spoke to Sicheron about the car. Sicheron
    said defense counsel told him that the judge in the case said not to touch the car, but
    that he was never given the court order directing preservation of the car, nor was he
    told to keep the car in a secure location to preserve it for inspection. At that point,
    defense counsel knew: (a) that he had misinformed the court that the defendant’s
    father owned car; (b) that the car was no longer being preserved for inspection in the
    manner he had assured the court; and (c) that this information was critical to the
    court’s order that the defendant preserve the car for inspection. To correct these
    misrepresentations, defense counsel waited until September 28 when he unobtrusively
    inserted (near the end of an unrelated motion) statements that he had learned the car
    was in a “storage facility” in Oxford; that the owner of the facility was the new owner
    of the car; and that he told the new owner the car cannot be altered pursuant to the
    18
    court’s order. (Of course counsel knew the unnamed new owner was Sicheron, and
    that the car was certainly not in a storage facility.) In any event, placing this
    information (or burying it) in the body of an unrelated motion was not a good faith
    effort to correct the false information defense counsel previously gave the court. At
    the next status conference on October 9, 2009, defense counsel had an opportunity
    to tell the court about the true status of the car, but counsel made no mention of the
    change in ownership or location of the car, but simply told the court that the car was
    available for inspection pursuant to the court order. The record of the subsequent
    January 2010 hearing (after the car and critical engine parts were destroyed or lost)
    shows that the trial court still remained under the false impression that the car was
    owned by the defendant’s father. Even assuming defense counsel was unaware at the
    September 4 hearing that the defendant’s father no longer owned the car and that the
    car was sitting outside Sicheron’s repair shop in Oxford, counsel admittedly
    discovered these facts on September 9 and failed to take reasonable steps to inform
    the court. This was evidence that defense counsel’s deliberate action (or inaction) was
    designed to keep the court unaware of the true facts regarding the ownership and
    location of the car, ensure that the court had no opportunity to take additional steps
    19
    to preserve the car for inspection by the state, and obtain a tactical advantage for the
    defendant.
    As a result of defense counsel’s action, along with actions taken by the
    defendant’s father and Sicheron, the car remained outside Sicheron’s shop with no
    security until December 6, 2009. On that date, James, who was never told by Sicheron
    that a judge said the car was not to be touched, took the car, removed the engine, and
    had the remaining car body crushed. This occurred shortly before the state’s
    scheduled inspection, and Sicheron’s first call about the missing car was to the
    defendant’s father. When James brought the car’s engine back to Sicheron’s shop,
    Sicheron knew the engine still had the critical parts attached (the throttle and cruise
    control cable assembly) that he had previously inspected with the defendant’s father
    to support the malfunction claim, but Sicheron did nothing to call attention to the fact
    that these parts were still available. Instead, Sicheron removed and discarded those
    parts when he installed the engine in James’s vehicle. As a result, the critical engine
    parts, which had been inspected by the defendant’s experts to support the malfunction
    claim, were deliberately thrown away and are no longer available for inspection by
    the state. The trial court found that Sicheron’s explanation for discarding the critical
    parts – that he did not know anyone wanted to see the engine – was not credible. But
    20
    the court found that other facts – Sicheron’s acquisition of the car from the
    defendant’s father for below market value, his frequent contact with the father, and
    his hope to profit from doing business with the father – showed that Sicheron had a
    financial motivation to cooperate with the defendant’s father to dispose of the critical
    engine parts.
    Although there was evidence to support the trial court’s conclusion that the
    actions by the defendant’s father and Sicheron were taken in bad faith, we find no
    evidence sufficient to support the court’s conclusion that these two witnesses acted
    as the defendant’s agents. But even if the defendant’s father and Sicheron acted
    without the defendant’s knowledge, there was evidence to support the trial court’s
    conclusion that defense counsel took actions in bad faith calculated to conceal or
    enable the actions taken in bad faith by the defendant’s father and Sicheron, therefore
    counsel’s bad faith contributed to the destruction of the critical engine parts in
    violation of the court’s order. The defendant was responsible for actions taken in bad
    faith by his defense counsel. Taylor v. Illinois, 
    484 U. S. 400
    , 416-418 (108 SCt 646,
    98 LE2d 798) (1988). Accordingly, we find no clear error in the trial court’s
    determination that the evidence was sufficient to show the defendant acted in bad
    faith in violation of the court’s order, and that the destruction of the evidence was not
    21
    simply the result of mistake. Theophile v. State, 
    295 Ga. App. 517
    , 520 (672 SE2d
    479) (2009) (determination that evidence showed bad faith and prejudice accepted
    unless clearly erroneous). We also find no clear error in the trial court’s finding that
    the evidence was sufficient to show the state was prejudiced because, in the absence
    of the lost engine parts (already inspected by the defendant’s experts), the state lost
    all opportunity to inspect those parts to refute the defendant’s mechanical malfunction
    defense arising from expert witnesses, fact witnesses, or evidence of the recall. 
    Id.
    Under these circumstances, we find the trial court did not abuse its discretion by
    excluding evidence and testimony about the possible mechanical malfunction,
    including evidence of the BMW recall 97V131. OCGA § 17-16-6; Jones, 
    290 Ga. at 578
    .
    Contrary to the defendant’s contentions, his constitutional right to present a
    defense (grounded in the Sixth Amendment’s Compulsory Process Clause and the
    Fifth Amendment’s due process clause) was not violated by the trial court’s exclusion
    of evidence pursuant to OCGA § 17-16-6 of the Discovery Act. The reciprocal
    discovery provisions in the Act further legitimate state interests by establishing
    a closely symmetrical scheme of discovery in criminal cases that
    maximizes the presentation of reliable evidence, minimizes the risk that
    22
    a judgment will be predicated on incomplete or misleading evidence,
    and fosters fairness and efficiency in criminal proceedings.
    State v. Lucious, 
    271 Ga. 361
    , 363 (518 SE2d 677) (1999). Exclusion of evidence
    under OCGA § 17-16-6 for failure to comply with the Act’s discovery requirements
    applies only on a showing of bad faith and prejudice, and is imposed mutually on the
    state and the defendant to ensure compliance with the Act. A defendant has no
    unqualified constitutional right to present evidence that violates a state’s rules of
    evidence and procedure, and “probative evidence may, in certain circumstances, be
    precluded when a criminal defendant fails to comply with a valid discovery rule.”
    Michigan v. Lucas, 
    500 U. S. 145
    , 151 (111 SCt 1743, 114 LE2d 205) (1991); Taylor,
    
    484 U. S. at 410-416
    ; United States v. Scheffer, 
    523 U. S. 303
    , 308 (118 SCt 1261,
    140 LE2d 413) (1998) (a defendant’s right to present a defense “is subject to
    reasonable restrictions . . . and state and federal rulemakers have broad latitude under
    the Constitution to establish rules excluding evidence from criminal trials . . . so long
    as they are not arbitrary or disproportionate to the purposes they are designed to
    serve.” (punctuation and citation omitted)). Where the defendant (through actions of
    the defendant’s attorney) violates discovery provisions by wilful misconduct designed
    to obtain a tactical advantage, there is no constitutional bar to exclusion of the
    23
    evidence. Taylor, 
    484 U. S. at 413-418
    ; United States v. Nobles, 
    422 U. S. 225
    , 241
    (95 SCt 2160, 45 LE2d 141) (1975) (no constitutional right to present testimony free
    from the legitimate demands of the adversarial system). As set forth above, the trial
    court’s finding that the defendant’s attorney took actions in bad faith was based on
    evidence that the attorney engaged in wilful misconduct designed to obtain a tactical
    advantage for the defense by enabling destruction of evidence, in violation of the
    Discovery Act, to prevent the state from inspecting the evidence to rebut the
    mechanical malfunction defense. In those circumstances, the Supreme Court has
    made clear that “regardless of whether prejudice to the prosecution could have been
    avoided by a lesser penalty, the severest sanction was appropriate.” Michigan, 
    500 U. S. at 152
     (punctuation and citation omitted); Taylor, 
    484 U. S. at 417
    .
    Accordingly, there was no constitutional bar to the trial court’s order entered under
    OCGA § 17-16-6 excluding the defense evidence.
    3. Moceri claims the trial court erred by excluding testimony from an expert
    witness offered during the trial to explain evidence presented by the state showing the
    car’s tire marks at the scene of the crash. Defense counsel argued that, by presenting
    evidence of tire marks made by the car to explain how the crash occurred, the state
    opened the door to evidence of a possible mechanical malfunction of the car as the
    24
    cause of the crash. Defense counsel proffered testimony from an expert mechanical
    engineer that the only logical explanation for the length of the car’s tire marks was
    that, even though the car was braking, “some additional force prevented the car from
    stopping.” According to the proffer, the expert would have testified that the
    “additional force can be generated by a car still pulling forward . . . caused by a
    throttle still open, working against the braking force.” We find no error in the trial
    court’s exclusion of this expert testimony on the basis that it was an attempt to
    introduce evidence of mechanical malfunction previously excluded by the court. See
    division 2, supra.
    Judgment affirmed. Doyle, C. J., and Ray, J., concur.
    25