People v. Peoples , 62 Cal. 4th 718 ( 2016 )


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  • Filed 2/4/16
    IN THE SUPREME COURT OF CALIFORNIA
    THE PEOPLE,                          )                             S090602
    )
    Plaintiff and Respondent, )                        Alameda County
    )                      Super. Ct. No. 135280
    v.                        )
    )
    LOUIS JAMES PEOPLES,                 )
    )
    Defendant and Appellant.  )
    ____________________________________)
    On August 4, 2000, defendant Louis James Peoples was sentenced to death
    for murdering James Loper, Stephen Chacko, Besun Yu, and Jun Gao. This
    appeal is automatic. We affirm the judgment.
    I. FACTS AND BACKGROUND
    In an amended information filed on May 11, 1999, in San Joaquin County
    Superior Court, the district attorney charged defendant with four counts of first
    degree murder (Pen. Code, § 187; all further statutory references are to the Penal
    Code unless otherwise indicated), one count of attempted murder (§§ 664, 187),
    three counts of second degree robbery (§ 211), four counts of auto burglary
    (§ 459), and one count of receiving stolen property (§ 496, subd. (a)). The
    amended information alleged firearm use enhancements as to the murders, the
    attempted murder, and three of the four burglary counts (former §§ 1203.06,
    subd. (a)(1), 12022.5, subd. (a)(1)) and the infliction of great bodily injury with
    respect to the attempted murder count (former § 12022.7, subd. (a)). Finally, the
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    amended information alleged multiple-murder, lying in wait, and robbery special
    circumstances. (§ 190.2, subd. (a)(3), (15), (17).)
    The trial court dismissed two of the four counts of burglary. A jury
    convicted defendant of four counts of first degree murder, three counts of second
    degree robbery, two counts of burglary, and one count of receiving stolen
    property. The jury also found true the firearm use enhancement with respect to
    each of the murders and the multiple murder, lying in wait, and robbery special
    circumstance allegations. The jury could not reach a verdict on the attempted
    murder charge, and the trial court declared a mistrial as to that count and the
    related allegations.
    The same jury heard evidence in defendant‘s first penalty phase trial but
    could not achieve unanimity on a penalty verdict. The trial court declared a
    mistrial. The trial court empaneled a second penalty jury, which ultimately
    returned a verdict of death. The trial court denied the automatic motion to modify
    the verdict and imposed the death sentence.
    A. Guilt Phase
    Over the course of a five-month period from June to November 1997,
    defendant received stolen property and committed two burglaries, three robberies,
    and four murders.
    1. Burglary of Michael King’s van
    On the morning of June 21, 1997, defendant broke into the van of off-duty
    Alameda County Deputy Sheriff Michael King while King and his family were
    watching his son play baseball at Anderson Park in Stockton. Upon returning to
    the van, King noticed the passenger side door was unlocked, and several items
    were missing, including his wife‘s purse, two checkbooks, and King‘s fanny pack,
    which in turn contained his fully loaded .40-caliber Glock service pistol, his
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    sheriff‘s deputy badge, and identification card. The King family‘s telephone
    number was on the stolen checkbooks. King filed a police report with Officer
    Michael Scofield of the Stockton Police Department.
    On June 22, King contacted Scofield to report two phone calls the Kings
    received at home. In the second call, a male caller said, ―Thank you for the
    fucking gun, you idiot,‖ and hung up.
    On November 13, one day after his arrest, defendant discussed the burglary
    of King‘s van in an interview with Dr. Kent Rogerson, a private practice
    psychiatrist retained by the prosecution to conduct a general psychiatric exam and
    assess defendant‘s competency. In addition, police found a ―slim jim,‖ which can
    be used to access locked vehicles, in defendant‘s apartment.
    2. Cal Spray shooting and burglary
    During the summer of 1994, defendant worked as a ―miscellaneous man‖ at
    California Spray Dry Company (Cal Spray), which processes animal remains for
    dehydrated animal food and fertilizer products. He was later promoted to operator
    — a position that required him to closely monitor valve switches on dryer tanks.
    On several occasions, defendant failed to monitor the dryer valves, resulting in
    significant product damage. Defendant‘s coworkers also noted that he
    periodically displayed nervous and erratic behavior. Michael Liebelt, who trained
    defendant at Cal Spray, explained that defendant‘s erratic behavior and repeated
    mistakes resulted in his eventual dismissal. Defendant‘s supervisor at Cal Spray,
    Gregory Beal, testified at trial that defendant disagreed with his termination from
    Cal Spray and took it personally.
    Three years later, around 3:30 a.m. on September 16, 1997, Cal Spray
    employee Thomas Harrison pulled into the Cal Spray plant‘s secure parking lot on
    the outskirts of Stockton for his morning shift. His coworker, Timothy Steele,
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    entered the lot around the same time. When Steele entered the lot, he noticed
    someone leaning into the open passenger side door of a blue pickup truck.
    When Harrison and Steele exited their vehicles, they noticed that most of
    the lot‘s vehicles were vandalized, including the pickup truck of employee David
    Grimes. Harrison then approached the blue pickup truck to investigate. When
    Harrison was halfway to the truck, the man who had been leaning into the open
    door fired two gunshots at Harrison. Harrison later realized the man was
    defendant, his former coworker at Cal Spray. Harrison fell to the ground as
    defendant continued to shoot. Harrison felt pain in his right leg and pelvic bone,
    and cried out that he had been shot.
    As defendant began to flee, running toward a hole in a nearby fence, he
    fired two shots at Steele. Steele heard one of the bullets sail by his head. Steele
    called 911 using Harrison‘s cell phone, and medical personnel arrived and
    transported Harrison to the hospital. Harrison sustained a bullet wound to his
    upper right leg and was hospitalized for nine days.
    Evidence technicians recovered seven .40-caliber shell casings from the
    scene. Several vehicles in the parking lot had been vandalized. The police found
    a large pair of bolt cutters in one of the vandalized vehicles and discovered a two-
    foot-wide hole that appeared freshly cut in the fence surrounding the plant.
    Additionally, police found shoe prints left in dried blood on the lot.
    A few hours before the shooting, Beal had received a phone call. Although
    Beal‘s home phone number was unlisted, employees had access to the number.
    The male caller addressed Beal by his first name and reported a fire in one of the
    plant‘s dryers. Beal did not recognize the voice but believed the caller knew the
    plant‘s procedures. Beal rushed to the plant but found no fire.
    The next day, between 2:30 and 3:30 a.m., Cal Spray shift supervisor
    Michael Liebelt also received a phone call. The caller asked if ―anybody had been
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    shot out there . . . , if anybody had died out there. . . .‖ When Liebelt demanded
    that the caller identify himself, the caller asked whether ―anyone had gotten
    wasted out there last night?‖ The caller then giggled and hung up.
    3. Bank of the West robbery
    Sometime between 3:30 and 4:30 p.m. on October 24, 1997, defendant
    walked into a Bank of the West branch in Stockton and handed bank teller Jason
    Tunquist a note that demanded money and threatened the use of a gun. Defendant
    pulled out his gun, cocked it, and aimed it at Tunquist. Tunquist gave defendant a
    stack of bills totaling $900, and defendant fled the bank.
    Tunquist described the assailant to police as male, about five feet seven
    inches in height and 150 pounds, 45 or 50 years old, with a ―weathered look.‖
    Although he was unable to identify the robber from a police photo lineup,
    Tunquist later identified defendant as the robber about a month later when he saw
    defendant‘s photo in the newspaper.
    4. Murder of James Loper
    Defendant began working as a tow truck driver at Charter Way Tow in June
    1997. He was suspended on October 6, 1997, for 30 days after testing positive for
    methamphetamine during a routine drug test. One of the owners of Charter Way
    Tow, Rodney Dove, reported that defendant was upset when he was suspended.
    Around 2:50 a.m. on October 29, 1997, Charter Way Tow telephone
    operator Mary Kuwabara received a call requesting a tow from a man who
    identified himself as ―Jason Lee.‖ The caller said he was on Eight Mile Road,
    west of Interstate 5. Kuwabara dispatched Loper to the call because he was
    second on the list of three on-call drivers, and the first driver had been dispatched
    to an earlier call. The earlier caller had identified himself as ―Doug Stone‖ and
    requested a slide-back tow truck; Loper was the only driver on duty that did not
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    have a slide-back truck. The caller‘s location was on the opposite end of Stockton
    from the Eight Mile Road location.
    Around 3:45 a.m. that same morning, San Joaquin County Deputy Sheriffs
    Kenneth Bassett and Bill Gardner were on routine patrol traveling west on Eight
    Mile Road in a rural area near Stockton. After stopping to investigate an
    unoccupied tow truck parked on the side of the road with its lights on and engine
    running, Gardner saw the body of James Loper lying underneath the truck. Loper
    was unresponsive, and the deputies called for an ambulance.
    On the driver‘s side of the truck, Bassett found nine spent gun cartridges,
    which were later determined to be .40-caliber casings. Based on the position of
    the cartridges, Basset believed the shooter fired multiple times at Loper after
    Loper climbed under the truck. The deputies called for medical personnel and
    backup from police detectives. Medical personnel arrived and removed Loper
    from under the truck. San Joaquin County Sheriff‘s Detectives Antonio Cruz and
    John Huber responded to the scene and took over the investigation. Investigators
    recovered physical evidence from the scene, including boot prints later determined
    to be from Ariat brand boots.
    Loper‘s autopsy revealed 10 gunshot wounds, all of which were sustained
    while he was alive. At trial, forensic pathologist Dr. Sally Fitterer testified that
    gunshot wounds to Loper‘s abdomen caused his death.
    The day after the murder, defendant called Charter Way Tow and spoke
    with Sandi Dove. Defendant said Loper was a ―good guy‖ and told Dove he was
    sorry about Loper‘s death. Defendant also asked if the company wanted him to
    come back from suspension before the end of his 30-day suspension because they
    were shorthanded. Dove declined and told defendant that he had to serve out his
    suspension.
    6
    5. Murder of Stephen Chacko and robbery of Mayfair Liquors
    Shortly after 7:30 a.m. on November 4, 1997, Stockton police Officer
    Ernest Alverson responded to a report of shots fired at the Mayfair Liquors store in
    Stockton. Upon arrival, Alverson saw a man, later identified as Stephen Chacko,
    bleeding and lying lifeless in the parking lot of the store. Alverson and his
    partner, Officer Bowen, went inside the store and were later joined by Detective
    Jeff Coon. Police found blood, broken items, and .40-caliber shell cartridges
    inside the store. A trail of blood from one of the store aisles led out into the
    parking lot, where additional spent .40-caliber cartridges were found.
    At the scene, investigators recovered 19 bullet fragments, 14 shell casings,
    and one live round. Investigators also recovered video footage from a security
    camera inside the store, which was shown to the jury, that placed the time of the
    robbery and murder at around 7:20 a.m. The footage, though not very clear,
    shows Chacko standing in the main aisle of the store, between the cash register
    and the other aisles, and defendant in one of the aisles with his arm extended.
    Later, defendant is seen standing behind the open drawer of the register, then
    moving to the left and slightly extending his right arm.
    The autopsy of Chacko revealed five gunshot wounds. A gunshot wound
    below Chacko‘s armpit was fatal.
    Based on the shell casings and the weapon used in the shooting, Detective
    Coon believed that the Mayfair Liquors murder and the Eight Mile Road murder
    were connected. In addition, the subject in the security video resembled the
    subject in the Bank of the West video.
    6. Murders of Besun Yu and Jun Gao and robbery of Village Oaks
    Market
    Around 9:55 a.m. on November 11, 1997, San Joaquin County Deputy
    Sheriff Charles Locke responded to a report of gunshots fired with two individuals
    7
    injured at the Village Oaks Market in Stockton. Locke entered the store and found
    Besun Yu in a crouched position behind the cash register. She was unresponsive
    and had a weak pulse. Locke administered CPR. An autopsy later revealed that
    Yu sustained three gunshot wounds, including the fatal shot that severed her spinal
    cord.
    Locke also saw the body of Jun Gao, lying facedown with a pool of blood
    near his head. An autopsy later revealed that Gao sustained a single gunshot
    wound that perforated his left jugular vein and carotid artery.
    Locke observed .40-caliber shell casings near the cash register, and it
    appeared that another register had been forcibly removed. The safe in the store‘s
    office was unlocked, and inside were rolls of coins. Evidence technicians
    recovered five shell casings, four bullets, and two bullet fragments from the scene.
    Forensic firearms expert Michael Giusto opined that the shell casings recovered at
    the scene were most likely fired from a Glock pistol. The missing cash register
    was recovered hours later on Highway 99 in Stockton. The cash register drawer
    was also found that evening on the outskirts of Stockton. Detective Coon received
    information about a vehicle possibly associated with the crime — a 1990s, four-
    door, dark-gray Nissan Stanza, with primer or oxidation marks.
    7. Investigation and apprehension
    Around 1:00 p.m. on November 12, 1997, Stockton police Officer Brian
    Swanson saw a vehicle that matched the description of the suspect vehicle in the
    Village Oak Market murders in the parking lot of an apartment complex near the
    crime scene. The car was registered to Carol Peoples. Her husband, Louis James
    Peoples, was listed as a possible owner. The apartment complex was one block
    from Anderson Park and Mayfair Liquors, less than one mile from the Bank of the
    West, two miles from the Village Oaks Market, and seven miles from the Eight
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    Mile Road murder scene. Detective Coon recognized defendant‘s name as a
    person who had been terminated from Charter Way Tow, and he told officers to
    detain anyone that got in the car. Aided by a photo of defendant, officers saw a
    white male matching his description leaving the complex and arrested him at 3:15
    p.m.
    At the time of his arrest, defendant was carrying a backpack that contained
    a black nylon jacket, green knit gloves with silver duct tape on the fingers and
    backs, a black baseball hat, a California license plate, an Oregon driver‘s license in
    the name of Nathan Gelder, the checkbooks in Michael and Eva King‘s names, a
    police scanner, and a radio call book containing radio frequencies for police and
    fire personnel. Additionally, the backpack contained a blue folder with the
    handwritten words ―Biography of a Crime Spree.‖ The folder contained
    newspaper clippings about the crimes and a note that read, ―Some of the inserts in
    this scrapbook were merely for the motive of revenge, some was to support my
    family when I was unemployed. Some of them started out to be one thing and
    turned into something a little more extreme. I have to admit I‘ve always wanted to
    murder someone, and the idea of a crime spree has appealed to me for some time
    now, hence, the crime spree. I guess we will see where it goes. (I never thought
    the two people in the Village Oaks store would die, after all, I only shot them two
    times each. Ha! Ha!)‖
    Defendant was also wearing a fanny pack that contained a small pair of
    binoculars, a Swiss Army-type knife, a mini MagLite flashlight, a buck-type knife
    in a holster with defendant‘s initials, handcuffs, pepper spray, a Social Security
    card in the name of Justin Werner, a nylon gun holster, and Michael King‘s
    sheriff‘s deputy badge and identification. It appeared defendant had changed the
    photo on King‘s identification to his own.
    9
    Officer Swanson did not observe defendant to be intoxicated or exhibiting
    obvious signs of drug use at the time of the arrest. Defendant did not exhibit any
    unusual behavior during the 10-minute drive to the police station.
    Police searched defendant‘s apartment that night after obtaining a search
    warrant. Police found the following items: a pair of Ariat brand boots with a print
    pattern similar to that found at the Eight Mile Road murder scene; a map of
    Stockton with marked locations, including Mayfair Liquors and Village Oaks
    Market; a ―slim jim‖; and a note that read, ―CWT Charter Way Tow. Can I help
    you? Dude, yeah, check this out. You and the popos are all fucked up about
    Jimbo. He was a punk. He was on dope like the rest of your Charter Way drivers.
    Jimbo didn‘t want to pay. That‘s why he got capped. He wasn‘t the goodie
    goodie everybody thought he was. So get it straight.‖
    Beginning around 4:30 p.m. on the day of the arrest, Detective Huber and
    Detective Coon advised defendant of his Miranda rights and interviewed him
    without his lawyer present. (See Miranda v. Arizona (1966) 
    384 U.S. 436
    (Miranda).) The interview lasted approximately 12 hours, ending around 4:30
    a.m. on November 13, 1997. According to Huber, defendant did not appear under
    the influence of drugs at the time of the interview; however, he appeared sleepy
    and may have been experiencing symptoms of withdrawal.
    Defendant denied involvement in the crimes during the first nine or 10
    hours of the videotaped interview. During the last hour, he confessed to the
    homicides and other crimes, and drew a diagram indicating the location of the
    murder weapon. Officers were initially unable to locate the murder weapon.
    Later that morning defendant accompanied two detectives to the location. Officers
    recovered a gray plastic bag in a vacant lot about three blocks from defendant‘s
    apartment that contained a black leather pouch and a box of .40-caliber hollow-
    point bullets. The pouch contained a handgun that had been altered — the serial
    10
    number was destroyed and the breech face sanded down — but was later identified
    as the .40-caliber Glock pistol defendant stole from Deputy King‘s vehicle on June
    21. The pouch also contained one rubber glove, an off-white piece of paper, and
    six white envelopes, including one containing a note that read, ―Give me all the
    100‘s, 50‘s, 20‘s and 10‘s. Make it fast, and nobody will get shot.‖
    After recovering the .40-caliber handgun, the prosecution‘s firearms expert
    Michael Guisto test-fired the pistol and determined that all cartridges collected in
    the case investigation were fired from the same gun. Furthermore, Guisto noted
    that the difference in breech marks on the cartridges recovered from the Eight
    Mile Road murder scene and the Mayfair Liquors murder scene suggested a
    possible alteration of the gun between the shootings. Such alteration could be
    accomplished using sandpaper. In a videotaped interview on November 14,
    defendant admitted to Detective Huber that he had sanded the gun down.
    8. Defense Expert Testimony
    During the guilt phase, defendant presented the testimony of three expert
    witnesses: Drs. Joseph Chong-Sang Wu, Daniel Amen, and Monte Buchsbaum.
    Dr. Wu testified that he had performed a positron emission tomography (PET)
    brain scan on defendant, from which he had concluded that defendant‘s brain was
    ―clearly abnormal‖ with respect to the degree of activity in his frontal lobe,
    evincing brain damage related to the impairment of high-level functioning and the
    regulation of aggressive impulses. Dr. Wu could not say with certainty the cause
    of these abnormalities, but that they were consistent with methamphetamine abuse.
    Dr. Amen testified that he had performed multiple single-photon-emission
    computed tomography (SPECT) brain scans on defendant, from which he had
    concluded that defendant‘s brain was abnormal in a manner consistent with
    methamphetamine abuse or head trauma, and that the scans showed reduced brain
    activity in executive functioning areas and high activity in the cingulate gyrus, the
    11
    latter of which is consistent with the presence of compulsive, repetitive thoughts.
    Finally, Dr. Buchsbaum testified on the basis of Drs. Wu‘s and Amen‘s scans that
    defendant had a defect in his frontal lobe consistent with methamphetamine abuse,
    head trauma, or a combination of the two, that could cause a lack of impulse
    control. In his closing argument, defense counsel argued that these brain
    abnormalities called into question defendant‘s ability to ―control his thoughts,
    feelings, or behavior,‖ and therefore to form the specific intent necessary for a
    conviction of first degree murder and robbery.
    B.     Penalty Phase
    The first penalty phase jury was unable to reach a unanimous verdict. After
    the first penalty-phase trial ended in a mistrial, a second jury was empaneled and
    ultimately sentenced defendant to death. The following evidence was presented to
    the second penalty phase jury.
    1. Prosecution evidence
    a. Circumstances of the crime
    The prosecution presented many of the same witnesses and evidence during
    the penalty retrial that were presented during the guilt phase and first penalty trial.
    b. Victim impact evidence
    The victims‘ family members testified about the lives of the victims and the
    effect of their murders.
    James Loper was married to his high school sweetheart and was the father
    of two boys, ages six and eight. His wife testified that Loper‘s murder had ―torn
    [the family] apart,‖ and subsequently, their older son began experiencing
    problems in school. His mother Hazel testified that Loper loved his family and
    worked very hard to provide for them. Hazel also testified that Loper‘s father was
    12
    ―not doing well‖ since the murder and could not testify for fear that he could not
    control himself in defendant‘s presence.
    Stephen Chacko‘s wife, Anice, testified that Chacko had moved to the
    United States from India to be with Anice and together they owned Mayfair
    Liquors. The couple had two children, and Anice was pregnant with their third
    child at the time of Chacko‘s murder. Anice testified that Chacko was a loving
    family man who worked hard to support the family. After Chacko‘s murder,
    Anice had to move to India to live with Chacko‘s family because she and the
    children were homeless. Anice testified that the children missed their father and
    did not understand why he was gone.
    The prosecution was unable to present victim impact evidence regarding
    the murder of Jun Gao because he did not have family in the United States. He
    had recently emigrated from China to help his friend Besun Yu run the Village
    Oaks Market.
    Besun Yu was a married mother of three, who was described by her
    children as sweet, kind, loving, and hard-working. Yu‘s son Jack testified that
    since her murder, the family had drifted apart because Yu was the ―pillar that
    [held] everything together.‖ Yu‘s husband was unable to testify and was ―not
    himself‖ since her murder. Yu‘s son David testified that the aftermath of her
    murder was ―very hard‖ on the family. Yu‘s daughter Karen testified that
    defendant had ―ruined [her] whole family.‖
    c. Prior convictions
    The prosecution introduced into evidence defendant‘s certified prior
    convictions for felony burglary in Florida from 1982.
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    2. Defense evidence
    a. Testimony of defendant’s family and friends
    The defense presented testimony from defendant‘s mother, Loretta Peoples,
    who described defendant as a loving father and husband. She detailed defendant‘s
    rough upbringing and described his father Luther as a verbally abusive alcoholic.
    Defendant had a history of bedwetting that continued into his teenage years. On
    one occasion, he soiled his pants and was publicly humiliated and degraded by his
    mother. When defendant was a teenager, his mother relinquished parental control
    to the sheriff, and defendant became a ward of the court. He was assigned a
    juvenile court counselor who was later convicted of molesting children.
    According to Dr. Gretchen White, defendant confided in her that he had been
    molested by the counselor on at least two occasions.
    Defendant‘s father Luther testified that Loretta was worried about
    defendant during his teen years because of his drug use and problems with the law,
    including a stint in a juvenile correctional facility for 18 months during high
    school. Defendant‘s older brother Larry described defendant as sensitive, quiet,
    and passive. Larry could not recall a history of violence but did note defendant‘s
    history of drug use.
    Defendant‘s 15-year-old stepson and nine-year-old daughter testified that
    defendant was a loving father. Defendant‘s wife Carol testified that the couple
    started using drugs, including methamphetamine, from the beginning of their
    relationship in 1988. Carol described defendant as a loving family man and good
    father. Carol also reported that defendant was never violent toward her during the
    nine years they lived together.
    Defendant‘s neighbors testified that he was a good father and had never
    been violent. In addition, a minister who conducted prisoner outreach testified on
    14
    defendant‘s behalf. It was only the third time since he started his prison ministry
    in 1953 that the minister had testified on an inmate‘s behalf.
    b. Expert testimony
    The defense offered expert testimony from Dr. Wu and Dr. Amen
    regarding the results of PET and SPECT brain scans they had performed on
    defendant. Dr. Amen opined that the SPECT scans showed a functionally
    damaged brain that affected defendant‘s thought process. Defendant‘s
    methamphetamine use exacerbated his condition. Dr. Wu testified that he was 95
    percent certain that defendant‘s brain was abnormal based on his PET scan.
    Additionally, there was a greater than 95 percent probability that a
    methamphetamine user would have an abnormal brain scan.
    Dr. George Woods, a psychiatrist, opined that defendant‘s violent acts were
    attributable to methamphetamine impairment, which caused him to misperceive
    reality and led to paranoid ideations and aggressions. Since being in jail and off
    drugs, defendant had gained an appreciation of the harm of his actions. Dr.
    Woods believed defendant was truly remorseful.
    Dr. David Lisak, a clinical psychologist, testified about the psychological
    and emotional effects that a traumatic sexual experience can have on an adolescent
    boy.
    c. Correctional officers’ testimony
    San Joaquin County Sheriff‘s Deputies who had contact with defendant in
    their capacity as correctional officers testified that defendant was calm, quiet, and
    respectful while in their custody. None of the officers reported instances where
    defendant resisted their commands or failed to obey orders. By all accounts, he
    was a model prisoner.
    15
    3. Prosecution rebuttal evidence
    Dr. Helen Mayberg, a clinical neurologist, criticized the defense experts‘
    opinions that defendant‘s brain scans revealed serious abnormalities. Instead, Dr.
    Mayberg opined that if the scans demonstrated any neurobiological condition, it
    was possibly depression. Because defendant‘s crimes required ―tremendous
    deliberation, planning, forethought, decision-making, execution, [and] follow-
    through,‖ Mayberg said, his conduct was not attributable to brain damage,
    intoxication, or other drug-related issues.
    Dr. Kent Rogerson, a psychiatrist for the prosecution, diagnosed defendant
    with methamphetamine dependency and an antisocial personality disorder with
    schizoid traits. Dr. Rogerson opined that defendant‘s crimes were not impulsive;
    they were goal-directed conduct. Although defendant‘s methamphetamine abuse
    seriously affected his life, his writings and reaction to his crimes indicated that he
    was capable of making conscious decisions to harm people.
    II. DISCUSSION
    A. Guilt Phase Issues
    1. Admission of involuntary statement to the police
    Defendant claims that the trial court erroneously admitted his involuntary
    statement to the police in violation of his state and federal constitutional rights
    against self-incrimination, against cruel and unusual punishment, to a fair trial, to
    due process, and to a reliable determination of guilt and punishment.
    a. Background
    Following defendant‘s arrest on November 12, 1997, Detectives Huber and
    Coon interrogated him in videotaped sessions from approximately 4:00 p.m. on
    November 12 to approximately 4:45 a.m. on November 13. The detectives
    advised defendant of his Miranda rights. Over the course of the interrogation,
    defendant showed signs of physical and mental exhaustion: sweating, pulling out
    16
    his hair, rubbing his skin, twitching his facial muscles, grinding his teeth, and at
    times appearing to fall asleep. He was provided with bathroom breaks, coffee,
    waters, sodas, and pizza. Detectives also asked defendant if he wanted to speak
    with a lawyer.
    The detectives questioned defendant constantly for the first 10 hours of the
    interview, during which he denied any knowledge of the crimes. Detectives
    suggested to defendant that aspects of his story were contradicted by information
    they already knew, and they attempted to secure his trust by offering various
    charitable reconstructions of his crimes, such as ―you didn‘t mean to [shoot
    anyone].‖ Toward the end of the interrogation, the police confronted him with his
    wife‘s statements made to police after his arrest and threatened to ―drag‖ her into
    the case and ―lean on‖ his stepson. They also showed pictures of his family to
    defendant and pleaded with him not to make his family‘s life any more difficult
    than he already had. Defendant eventually agreed to show police where he had
    left the murder weapon.
    On October 13, 1998, defendant filed a motion to suppress his statements to
    police given on November 12 and 13, 1997. The prosecutor filed an opposition on
    October 26, 1998. Defendant filed a reply that included a motion to redact any
    inadmissible portions of the statements under Evidence Code section 352 if the
    trial court denied the motion to suppress.
    Dr. Richard Leo, a professor in the Department of Criminology at
    University of California, Irvine, testified about the tactics used by police in
    securing defendant‘s confession. He opined that the detectives used coercive
    techniques to undermine defendant‘s free will over 50 times during the 12-hour
    interrogation. Specifically, Dr. Leo characterized the police‘s threats to involve
    defendant‘s wife and stepson in the interrogation as ―classic‖ and ―high-end‖
    17
    coercive techniques. Dr. Leo acknowledged that as a social scientist, he may
    define ―coercion‖ differently than the law does.
    The trial court noted that the 12-hour interview was ―a very lengthy
    interrogation.‖ However, the trial court determined, based on the totality of
    circumstances, that defendant‘s statements were not elicited by ―undue coercion.‖
    The trial court denied both of defendant‘s motions and admitted the videotaped
    confession into evidence. The tapes were played during the guilt phase of the trial.
    b. Analysis
    ―The Fourteenth Amendment of the federal Constitution and article I,
    section 7 of the California Constitution make ‗inadmissible any involuntary
    statement obtained by a law enforcement officer from a criminal suspect by
    coercion.‘ ‖ (People v. Sapp (2003) 
    31 Cal. 4th 240
    , 267.) The prosecution must
    prove by a preponderance of the evidence that a defendant freely and voluntarily
    gave police statements before the statements can be admitted. (Ibid.)
    ― ‗Voluntariness does not turn on any one fact, no matter how apparently
    significant, but rather on the ―totality of [the] circumstances.‖ ‘ ‖ (Ibid.) The test
    considers several factors, including any element of police coercion, the length of
    the interrogation and its location and continuity, and the defendant‘s maturity,
    education, and physical and mental health. (People v. Massie (1998) 
    19 Cal. 4th 550
    , 576.) The determinative question ― ‗is whether defendant‘s choice to confess
    was not ―essentially free‖ because his will was overborne.‘ ‖ (Ibid.) ― ‗When, as
    here, the interview was tape-recorded, the facts surrounding the giving of the
    statement are undisputed, and the appellate court may independently review the
    trial court‘s determination of voluntariness.‘ ‖ (People v. Maury (2003) 
    30 Cal. 4th 342
    , 404.)
    18
    Defendant argues that his statement to police after his arrest was the
    product of coercion and thus the trial court should have excluded it and any fruits
    of the allegedly tainted statement. But defendant‘s contentions that police
    detectives negotiated with him by offering ―inducements‖ for his confession and
    that they threated to accuse his wife of the crimes are belied by the record. The
    detectives asked defendant questions designed to build rapport but never offered
    him leniency for his confession and never threatened a harsher penalty if he
    remained silent. Further, the detectives made clear to defendant they had no
    influence over how he would be treated in prison or in court. In addition, police
    detectives told defendant that his wife had implicated him in the crimes and that
    they would have to ―drag‖ her further into the case if he did not confess. The
    detectives did not suggest that they would charge his wife with a crime.
    It is true that the duration of the interrogation was substantial, and at points
    defendant showed some signs of fatigue. These factors weigh against the
    admission of the statement. However, other factors weigh against a finding that
    the statement was involuntary. Defendant was given numerous breaks, drinks, and
    food, and he was offered the chance to speak with a lawyer numerous times. He
    was also given the opportunity to speak with his wife, which he declined. We
    have previously found that a similarly lengthy interrogation did not amount to
    coercion under the ―totality of the circumstances‖ where, as here, the defendant
    was provided with food, drinks, and breaks upon request. (People v. Hill (1992) 
    3 Cal. 4th 959
    , 981, disapproved on other grounds in Price v. Superior Court (2001)
    
    25 Cal. 4th 1046
    .) On the whole, and on our independent review of the videotape
    recording of the confession, we conclude that the prosecution met its burden of
    establishing by a preponderance of the evidence that defendant‘s statement was
    not coerced.
    19
    2. Testimony of defense forensic expert
    Defendant contends that the trial court erroneously limited his forensic
    expert‘s testimony regarding crime scene reconstruction in violation of his state
    and federal constitutional rights to present a defense, to confront and cross-
    examine witnesses, to due process, to a fair trial, to a reliable and individualized
    determination of death eligibility and sentence, and to freedom against cruel and
    unusual punishment.
    Here, and in most other claims, defendant argues that the asserted error
    violated both his state and federal constitutional rights. ―In most instances, insofar
    as defendant raised the issue at all in the trial court, he failed explicitly to make
    some or all of the constitutional arguments he now advances. In each instance,
    unless otherwise indicated, it appears that either (1) the appellate claim is of a kind
    (e.g., failure to instruct sua sponte; erroneous instruction affecting defendant's
    substantial rights) that required no trial court action by the defendant to preserve it,
    or (2) the new arguments do not invoke facts or legal standards different from
    those the trial court itself was asked to apply, but merely assert that the trial court's
    act or omission, insofar as wrong for the reasons actually presented to that court,
    had the additional legal consequence of violating the Constitution. To that extent,
    defendant's new constitutional arguments are not forfeited on appeal. [Citations.]
    [¶] In the latter instance, of course, rejection, on the merits, of a claim that the trial
    court erred on the issue actually before that court necessarily leads to rejection of
    the newly applied constitutional ‗gloss‘ as well. No separate constitutional
    discussion is required in such cases, and we therefore provide none.‖ (People v.
    Boyer (2006) 
    38 Cal. 4th 412
    , 441, fn. 17.)
    a. Background
    Toward the end of the prosecution‘s case-in-chief in the guilt trial, the
    defense proffered the testimony of Brent Turvey, a forensic expert on crime scene
    20
    reconstruction. Defendant proffered Turvey‘s testimony in part to rebut the
    testimony of criminalist Kathleen Ciula, who, based on the scene at Mayfair
    Liquors, had reconstructed the likely sequence of events during the robbery.
    Defense counsel explained that in addition to his reconstruction of events during
    the robberies, Turvey would testify that the Cal Spray crime scene showed signs
    that defendant was experiencing accumulated rage and that the other crime scenes
    suggested less planning than the Cal Spray robbery. In the expert‘s opinion,
    defendant‘s crimes demonstrated that his ability to plan and deliberate was
    deteriorating over time.
    The trial court expressed concern that Turvey‘s testimony regarding
    defendant‘s state of mind during the commission of the crimes was unreliable.
    Turvey testified during an evidentiary hearing on July 1, 1999. On July 6, the
    hearing resumed, and Turvey provided a report to the court and the parties.
    During the July 6 hearing, defense counsel argued that Turvey‘s testimony not
    only was admissible for its own sake but also would provide foundation for the
    expert testimony of Dr. Woods, the previously mentioned forensic psychologist.
    The trial court ruled that Turvey would be allowed to testify regarding
    crime scene reconstruction and would be allowed to explain which crime scene
    evidence suggested planning or precautionary behavior. However, invoking its
    discretion under Evidence Code section 352, the trial court prohibited Turvey from
    testifying about defendant‘s mental state during the commission of the crimes.
    Ultimately, the defense did not call Turvey to testify at the guilt trial or the penalty
    retrial.
    b. Analysis
    ― ‗Exclusion of evidence as more prejudicial, confusing or distracting than
    probative, under Evidence Code section 352, is reviewed for abuse of discretion.‘
    21
    [Citation.] But ‗exclusion of evidence that produces only speculative inferences is
    not an abuse of discretion.‘ ‖ (People v. Cornwell (2005) 
    37 Cal. 4th 50
    , 81,
    disapproved on other grounds in People v. Doolin (2009) 
    45 Cal. 4th 390
    , 421,
    fn. 22.)
    To the extent that defendant claims he was denied an opportunity to rebut
    the testimony of the prosecution‘s crime scene expert, that claim is unsupported by
    the record. The trial court permitted Turvey to testify regarding Dr. Ciula‘s crime
    scene reconstruction and to offer his own reconstruction.
    As to Turvey‘s potential testimony about defendant‘s mental state during
    the commission of the crimes, the trial court did not abuse its discretion in
    excluding such testimony as unreliable. The defense explained that Turvey would
    testify that the fact that defendant‘s series of crimes began with murders of people
    he knew and transitioned to murders of people he did not know was evidence that
    defendant‘s proficiency in committing the crimes deteriorated over time.
    However, during voir dire, Turvey could not explain to the trial court‘s satisfaction
    why this evidence could not more easily be explained by a difference in motives
    for the two sets of murders. The trial court also found the testimony to require
    considerable speculation.
    Finally, defendant‘s reliance on our decision in People v. Davis (2009) 
    46 Cal. 4th 539
    is misplaced. In Davis, an expert in psychiatry was allowed to testify
    about a sexual disorder called ―paraphilia‖ and to describe the characteristics
    typical of those who have this disorder. (Id. at pp. 562, 605.) We deemed it a
    ―close[] question‖ whether the trial court erred in allowing the expert to testify
    about whether the defendant‘s behavior showed signs of paraphilia. But we
    declined to reach the issue, finding that the testimony was harmless. (Id. at
    p. 605.) Davis does not support defendant‘s argument that the trial court abused
    its discretion.
    22
    B. Issues Recurring in Penalty and Guilt Phases
    Because defendant‘s first penalty phase ended in a mistrial and a new jury
    was seated for the penalty retrial where a verdict of death was eventually reached,
    much of the evidence introduced in the guilt phase was re-introduced at this
    penalty phase retrial. Defendant challenges a number of evidentiary rulings that
    were initially made during the guilt phase that also applied during the penalty
    retrial as the prosecutor and defendant sought to admit or exclude the same
    evidence for the new jury. Defendant also contends that the trial court erred in
    denying various defense motions for continuances in both phases.
    1.    Exclusion of lay testimony on the effects of methamphetamine
    Defendant claims that the trial court erroneously excluded lay witness
    testimony on the effects of methamphetamine use during the guilt trial and the
    penalty retrial.
    Before defendant presented his case in the guilt phase, the trial court was
    informed that defendant intended to present lay testimony on the effects of
    methamphetamine based on the witnesses‘ personal experiences with the drug.
    The prosecutor objected on relevance grounds. The court prohibited lay witnesses
    from testifying about the effects of drugs but allowed them to testify about their
    drug-related interactions with defendant and their observations of him, including
    while he was using drugs. Before calling witnesses, defense counsel indicated that
    he understood the ruling, had instructed the relevant witnesses not to testify to the
    effects of drugs on themselves, and knew a violation would lead to sanctions. The
    court prohibited similar testimony during the penalty retrial.
    The Attorney General asserts that defendant failed to preserve this claim
    under Evidence Code section 353, subdivision (a), because he failed to object to
    the trial court‘s ruling on the matter. This is incorrect. Evidence Code section 353
    requires ―an objection to or a motion to exclude or to strike the evidence‖ as a
    23
    condition precedent to setting aside an ―erroneous admission of evidence.‖ (Italics
    added.) Defendant claims an erroneous exclusion of evidence. Our review of
    allegedly erroneous exclusions of evidence is governed by Evidence Code section
    354. ― ‗As a condition precedent to challenging the exclusion of proffered
    testimony, Evidence Code section 354, subdivision (a), requires the proponent
    make known to the court the ―substance, purpose, and relevance of the excluded
    evidence. . . . ‖ ‘ ‖ (People v. Morrison (2004) 
    34 Cal. 4th 698
    , 711.) The record
    shows that defendant did so.
    In response to the prosecutor‘s objections at both the guilt trial and the
    penalty retrial, the trial court asked defendant to provide an offer of proof for lay
    testimony on the effects of methamphetamine. Defense counsel argued that
    defendant‘s relationship with the witnesses and the witnesses‘ experiences with
    methamphetamine were relevant to understanding defendant‘s mental state. For
    example, Quigel sold defendant methamphetamine on several occasions, including
    the night before the Village Oaks Market incident. Defense counsel explained:
    ―[Mr. Quigel] will testify that the drugs are strong, that he used the drugs, himself,
    he knows the quality of the drugs, he‘s been an addict for — since he was 17 years
    old, for roughly six or seven years. And the drugs that he used and that he sold
    were very, very good quality.‖ Defendant intended to introduce this lay testimony
    as a foundation for expert testimony on the effects of the methamphetamine
    defendant used. Defendant thus preserved the claim.
    We review a trial court‘s decision to exclude evidence for abuse of
    discretion. (People v. Linton (2013) 
    56 Cal. 4th 1146
    , 1181.) The decision to
    exclude evidence ―will not be disturbed except on a showing [that] the trial court
    exercised its discretion in an arbitrary, capricious, or patently absurd manner that
    resulted in a manifest miscarriage of justice [citation].‖ (People v. Rodriguez
    (1999) 
    20 Cal. 4th 1
    , 9–10.) The trial court determined that a lay witness‘s
    24
    testimony about his own experience with drugs would be of limited probative
    value and speculative as to defendant‘s own response to drugs. Furthermore, the
    court indicated that defendant could introduce evidence of the physical effects of
    methamphetamine through expert testimony if he so desired, and defendant did.
    Three experts testified about the effects of methamphetamine on defendant‘s brain
    functions, and one expert testified about his capacity to form the requisite mental
    state for the crimes. The trial court did not abuse its discretion in excluding the
    lay testimony.
    2. Introduction of crime details during cross-examination
    Defendant contends that the trial court erred in allowing the prosecutor to
    present details of the crimes during his cross-examination of certain defense
    witnesses during the guilt trial and the penalty retrial in violation of his state and
    federal constitutional rights to due process and to a reliable and individualized
    sentencing determination.
    a. Background
    During both phases of the trial, Dr. Wu and Dr. Amen testified for the
    defense and opined that defendant suffers from mental disease or brain defects that
    impair his ability to use proper judgment, to plan, and to inhibit aggressive
    impulses, especially when using methamphetamine. Dr. Buchsbaum corroborated
    this testimony during the guilt trial but did not testify during the penalty retrial.
    The prosecutor cross-examined each of these witnesses about their
    knowledge of the details of each crime. Over many defense objections, the trial
    court allowed this line of inquiry because the experts testified as to the condition
    of defendant‘s brain and how that condition affected his ability to maintain
    organized thinking, including during the commission of the crimes.
    25
    During the penalty retrial, the defense called Dr. Lisak, a psychiatrist, who
    opined that a person with low self-esteem, who was molested in adolescence,
    could feel anger and resentment as an adult. Dr. Lisak also testified that 25
    percent of men who had been sexually abused as a child went on to commit acts of
    violence. Again over many defense objections, the trial court permitted the
    prosecutor to cross-examine Dr. Lisak about the details of defendant‘s crimes.
    Dr. Woods testified that defendant‘s heavy use of methamphetamine
    induced paranoia and caused misperception of reality, including during the
    commission of the crimes. The trial court allowed the prosecutor to show Dr.
    Woods numerous photographs of the crime scenes as well as mannequins of
    Stephen Chacko, Jun Gao, and Besun Yu, and the prosecutor questioned Dr.
    Woods about his knowledge of the details of the crimes.
    Finally, defense witness Guy Lazarro, defendant‘s former coworker from
    Florida, testified that he had never observed defendant act violently, that defendant
    was a good worker, and that he would rehire defendant any time. The trial court
    permitted the prosecutor to question Lazarro about his knowledge of the victims of
    each of defendant‘s crimes.
    b. Analysis
    ―An expert witness may be cross-examined about ‗the matter upon which
    his or her opinion is based and the reasons for his or her opinion.‘ [Citation.] The
    scope of this inquiry is broad and includes questions about whether the expert
    sufficiently considered matters inconsistent with the opinion. [Citation.] Thus, an
    adverse party may bring to the attention of the jury that an expert did not know or
    consider information relevant to the issue on which the expert has offered an
    opinion.‖ (People v. 
    Doolin, supra
    , 45 Cal.4th at p. 434.) ―[I]t is well settled that
    the scope of cross-examination of an expert witness is especially broad; a
    26
    prosecutor may bring in facts beyond those introduced on direct examination in
    order to explore the grounds and reliability of the expert‘s opinion.‖ (People v.
    Lancaster (2007) 
    41 Cal. 4th 50
    , 105.)
    As an initial matter, during the penalty retrial, defendant did not object to
    the cross-examination of Lazarro on the same ground that he now raises as error.
    He has thus forfeited this claim. (People v. Davenport (1995) 
    11 Cal. 4th 1171
    ,
    1214, disapproved on another ground in People v. Griffin (2004) 
    33 Cal. 4th 536
    .)
    Although the defense experts had expertise in various scientific and social
    scientific disciplines, the ultimate point of their testimony was to establish either
    that defendant did not have the requisite mental state to commit the charged
    offenses or that his mental, psychological, and emotional profile should be used as
    a mitigating factor in the penalty phase. Given the nature of this testimony, the
    prosecutor was permitted in the guilt phase to discredit the witnesses by asking
    how defendant could have carried out his crimes without the mental faculties that
    Dr. Amen, Dr. Wu, and Dr. Buchsbaum said were impaired. (See People v.
    Smithey (1999) 
    20 Cal. 4th 936
    , 961; see also People v. 
    Doolin, supra
    , 45 Cal.4th
    at p. 434 [cross-examination permitted on whether ―expert sufficiently considered
    matters inconsistent with the opinion‖].) Similarly, the prosecutor was permitted
    to ask the sorts of questions to which defense counsel objected in the penalty
    retrial, as one of the factors for the jury to consider is the ―circumstances of the
    crime.‖ (§ 190.3, factor (a).) Accordingly, the trial court did not abuse its
    discretion in ruling that the prosecutor was permitted to cross-examine the
    witnesses about the details of defendant‘s crimes.
    3. Admission of autopsy photographs
    Defendant claims that the trial court prejudicially erred in admitting various
    autopsy photographs at the guilt trial and the penalty retrial in violation of his state
    27
    and federal rights to present a defense, to confrontation, to due process, to a fair
    trial, to a reliable and individualized determination of death eligibility and
    sentence, and to freedom from cruel and unusual punishment.
    At trial, defense counsel objected to the admission of autopsy photographs
    on constitutional grounds and on the grounds that they were cumulative and
    inflammatory. The prosecution argued that the photographs were relevant to show
    defendant‘s premeditation and intent to kill based on the angles and positions of
    the wounds on the victims‘ bodies. Additionally, the prosecution argued that the
    photographs were necessary to rebut the defense argument that he was under the
    influence of methamphetamine because they suggested defendant had good aim.
    The trial court ruled admissible and the prosecutor submitted into evidence
    the following photographs, identified by their prosecution exhibit numbers:
    (1) No. 101, depicting Loper‘s fully clothed body on an autopsy table, with mud
    and dirt on his face and clothes; (2) No. 102, showing the entry and exit wounds
    on Loper‘s right arm; (3) No. 103, depicting Loper‘s body, with blood, and
    showing various gunshot wounds; (4) No. 104, showing the right side of Loper‘s
    body with scrape marks and gunshot wounds on the right arm; (5) No. 105,
    depicting the left side of Loper‘s body, showing gunshot wounds and the medical
    examiner‘s hand holding Loper‘s left hand in an unusual position due to his
    fractured humerus; (6) No. 108, showing Loper‘s left hand after it had been
    cleaned, and showing abrasions and scrapes on the hand; (7) No. 110, depicting
    the right side of Loper‘s head and showing scrapes on the face; (8) No. 180,
    showing Chacko‘s body with injuries on his head; (9) Nos. 181 and 182, depicting
    the gunshot wounds around Chacko‘s belt and trousers; (10) No. 185, showing
    Chacko‘s body with additional gunshot wounds; (11) No. 187, depicting gunshot
    wounds on Chacko‘s chest; (12) No. 189, showing Chacko‘s bruised head;
    (13) No. 228, depicting injuries to the left side of Gao‘s head; (14) No. 229,
    28
    showing gunshot wounds to Gao‘s body; (15) No. 230, showing injuries to the
    right side of Gao‘s head; and (16) No. 232, showing two gunshot entry wounds on
    Yu‘s back.
    We review the trial court‘s decision to admit photographs under Evidence
    Code section 352 for abuse of discretion. (People v. McKinzie (2012) 
    54 Cal. 4th 1302
    , 1351, disapproved on another ground in People v. Scott (2015) 
    61 Cal. 4th 363
    , 391, fn. 3.) ― ‗ ―The court‘s exercise of that discretion will not be disturbed
    on appeal unless the probative value of the photographs clearly is outweighed by
    their prejudicial effect.‖ ‘ ‖ (McKinzie, at p. 1351.) ― ‗To determine whether there
    was an abuse of discretion, we address two factors: (1) whether the photographs
    were relevant, and (2) whether the trial court abused its discretion in finding that
    the probative value of each photograph outweighed its prejudicial effect.‘ ‖
    (People v. Lewis (2009) 
    46 Cal. 4th 1255
    , 1282.)
    The trial court did not abuse its discretion. The photographs demonstrate
    various characteristics of the bullet wounds and other injuries that the victims
    sustained. At the guilt trial, the photographs were relevant to the issue of
    defendant‘s state of mind during the commission of the crimes. They can
    reasonably be seen as supporting the prosecution‘s assertion that defendant
    committed the crimes with the requisite intent to kill and with premeditation.
    They also could be viewed as rebutting the defense‘s contention that defendant
    was impaired by methamphetamine at the time of the crimes. Similarly, in the
    penalty retrial, the photographs were admissible because they demonstrated the
    circumstances of the crimes. (§ 190.3, factor (a).)
    The photos are ―not of such a nature as to overcome the jury‘s rationality.‖
    (People v. Whisenhunt (2008) 
    44 Cal. 4th 174
    , 212.) The photos, though depicting
    homicide victims, are relatively austere and clinical. They are not clearly more
    prejudicial than probative. The defendant‘s claim is therefore without merit
    29
    4. Denials of motions for continuance
    Defendant contends that the trial court erred in denying various defense
    motions for continuances.
    a. Guilt trial
    Defendant filed two motions to continue the start of the guilt trial. The
    court heard argument on February 25, 1999. In the hearing, the court observed
    that the motion requested a five-month continuance but did not request the
    appointment of second counsel. Only on February 22, 1999, three days before the
    hearing on the second motion, had defendant requested the appointment of second
    counsel. The court attributed the delay to the public defender‘s office‘s
    ―improvident‖ decision not to request second counsel until after the change of
    venue motion was granted. The court was also doubtful of the necessity of a
    continuance because the motion was based in part on defense counsel‘s difficulty
    in building rapport with defendant. The court observed that at the time of the
    hearing the case had been pending for 14 months and that defense counsel, who
    was known to be a talented trial lawyer, had been working exclusively on this case
    for nine months. The trial court found that the defense had not established good
    cause for a continuance but said it would appoint a third attorney to defendant‘s
    case if needed. On March 3, 1999, the court denied defendant‘s motion for
    reconsideration.
    b. Penalty retrial
    On December 28, 1999, defendant filed a motion for a continuance of the
    penalty retrial on the grounds that the defense needed more time to prepare for the
    possibility that the prosecution might call additional rebuttal experts and to
    prepare its own mental health evidence. The prosecution had not filed notice of
    intent to call new rebuttal witnesses, and the trial court denied the motion for lack
    of good cause. However, the trial court indicated it would address the possibility
    30
    of a continuance if it became clear that the prosecution would call additional
    witnesses and that the defense needed more time to prepare.
    On March 7, 2000, after two months of jury selection, defendant filed a
    second motion to continue the penalty retrial. Defense counsel explained that the
    motion was similar to the first motion to continue the penalty retrial. The motion
    included a declaration under seal. The court conducted an in camera hearing on
    the motion. The court denied the motion but slightly altered the court‘s schedule.
    c. Analysis
    ―[T]he decision whether or not to grant a continuance of a matter rests
    within the sound discretion of the trial court. [Citations.] The party challenging a
    ruling on a continuance bears the burden of establishing an abuse of discretion,
    and an order denying a continuance is seldom successfully attacked.‖ (People v.
    Beames (2007) 
    40 Cal. 4th 907
    , 920.)
    In denying the motions for a continuance of the start of the guilt-phase trial,
    the trial court explained that the case had been pending for 14 months and that
    defense counsel had been working exclusively on the case for nine months. The
    court readily assigned a second investigator and a second counsel, and even
    expressed willingness to grant a third counsel. Regarding the motions brought
    during the penalty retrial, the trial court determined that the defense did not need
    more time to develop mental health evidence in order to adequately present its
    case in mitigation and that it would only grant a continuance based on the
    possibility that the prosecution would call witnesses not called during the first
    penalty trial if such events actually transpired. On these facts, we cannot conclude
    that the trial court abused its discretion in denying the motions. To the extent
    defendant raises a constitutional claim on the basis of this supposed error, it is
    without merit.
    31
    C. Penalty Phase Issues
    1. Penalty phase retrial
    Defendant claims that section 190.4, subdivision (b), which authorizes the
    court to empanel a second penalty jury after the first penalty jury fails to reach a
    unanimous verdict, is unconstitutional as applied to him. In particular, he argues:
    (1) due to alleged prosecutorial misconduct throughout the first penalty trial, the
    penalty retrial violated his state and federal constitutional rights against double
    jeopardy and to due process and to fundamental fairness; (2) the penalty retrial,
    after eight jurors in the first penalty trial voted against the death penalty, violated
    the Eighth Amendment‘s guarantee of ―heightened reliability‖ in capital cases;
    (3) the penalty retrial violated his right to a fair trial; (4) the penalty retrial violated
    his Eighth Amendment right against cruel and unusual punishment.
    The penalty retrial did not violate defendant‘s state and federal rights
    against double jeopardy. The federal Constitution prohibits a retrial when the
    prosecution commits misconduct with the intent to provoke a mistrial. (Oregon v.
    Kennedy (1982) 
    456 U.S. 667
    , 675–679.) Similarly, the double jeopardy clause of
    the California Constitution bars retrial when misconduct ―results in a defendant‘s
    successful motion for mistrial‖ and either (1) the prosecution intentionally
    committed misconduct to trigger a mistrial or (2) the prosecution believed an
    acquittal was likely, committed misconduct to thwart the acquittal, and the
    misconduct deprived the defendant of the reasonable prospect of an acquittal.
    (People v. Batts (2003) 
    30 Cal. 4th 660
    , 665–666.) Double jeopardy principles do
    not bar retrial if ―the mistrial was justified by ‗manifest necessity‘ — for example,
    a hung jury.‖ (Id. at p. 679.) Here, the trial court did not grant defendant‘s motion
    for a mistrial; rather, it declared a mistrial on its own initiative because the jury
    was deadlocked. Further, the record does not show that the prosecutor committed
    misconduct at the first penalty trial with the intent of triggering a mistrial.
    32
    Accordingly, the double jeopardy protections of the state and federal constitutions
    do not bar the penalty phase retrial.
    Relying on State v. Baker (N.J.Super.Ct.App.Div. 1998) 310 N.J.Super.
    128 [
    708 A.2d 429
    ], defendant further claims that the prosecutorial misconduct in
    the first penalty phase was so extreme that fundamental fairness prohibits the
    prosecution from seeking the death penalty in a retrial. In Baker, after a verdict of
    guilt but before the commencement of the penalty trial, the prosecution
    surreptitiously viewed notes left in the jury room containing a list of reasons to
    convict or acquit. (Baker, at p. 131.) The reviewing court affirmed the trial
    court‘s grant of a motion to preclude the prosecution from seeking the death
    penalty on fundamental fairness grounds. (Id. at pp. 136–140.) Even if we were
    inclined to adopt the principles articulated in Baker, those principles do not apply
    to this case. Defendant has not shown that the prosecutor did anything similar to
    the prosecutor‘s actions in Baker.
    Defendant additionally claims that the penalty phase retrial violated his
    Sixth Amendment right to a fair trial and his Eighth Amendment rights to
    ―heightened reliability‖ in a capital case and to be free from cruel and unusual
    punishment. But as defendant concedes, this court has repeatedly rejected these
    claims. (People v. 
    Davenport, supra
    , 11 Cal.4th at pp. 1192–1194, abrogated on
    other grounds in People v. 
    Griffin, supra
    , 33 Cal.4th at p. 555, fn. 5 [penalty retrial
    does not violate a defendant‘s rights to due process, equal protection of the law, a
    fair trial, or a reliable and proportional sentence under either state or federal
    Const.]; People v. Gonzales (2011) 
    52 Cal. 4th 254
    , 311 [penalty retrial does not
    violate the 8th Amend. or ―evolving standards of decency‖]; People v. Taylor
    (2010) 
    48 Cal. 4th 574
    , 634 [―a penalty retrial following jury deadlock on penalty
    does not, in and of itself, establish a violation of the Eighth Amendment or
    ‗evolving standards of decency that mark the progress of a maturing society.‘ ‖];
    33
    People v. Thompson (1990) 
    50 Cal. 3d 134
    , 178 [―The fact that a first jury
    deadlocked, or the numerical vote of the first jury, is irrelevant to the issues before
    the jury on a penalty retrial.‖]; People v. McDowell (2012) 
    54 Cal. 4th 395
    , 411–
    412 [second penalty retrial after lengthy delays did not constitute cruel and
    unusual punishment].) We see no reason to revisit these precedents.
    2. Admission of non-statutory evidence in aggravation and rebuttal
    evidence
    During the penalty retrial, the prosecution was permitted to introduce much
    of the physical evidence admitted in the guilt trial, including defendant‘s taped
    statement to police detectives and a journal that defendant maintained entitled
    ―Biography of a Crime Spree.‖ Defendant contends that the admission of the
    evidence amounted to the admission of aggravating evidence not approved by
    statute. We disagree. The evidence presented during the guilt trial, including
    defendant‘s statement to police and his journal, was relevant to his state of mind
    during the commission of the capital crimes. Accordingly, the trial court did not
    abuse its discretion in admitting the evidence on the ground that it demonstrated
    the circumstances of the crime under section 190.3, factor (a). (People v. Guerra
    (2006) 
    37 Cal. 4th 1067
    , 1154, overruled in part on other grounds in People v.
    Rundle (2008) 
    43 Cal. 4th 76
    , 151.)
    3. Admission of victim impact evidence
    Defendant claims that the trial court erred in admitting irrelevant victim
    impact evidence during the penalty retrial in violation of his state and federal
    constitutional rights to due process, to a fair trial, to confront witnesses, to a
    reliable and individualized sentencing determination, and to freedom from cruel
    and unusual punishment.
    Before the penalty retrial, defendant filed a motion to exclude certain
    aggravating evidence, including (1) evidence concerning the effect of the Cal
    34
    Spray shooting on victim Thomas Harrison, (2) photographs of James Loper while
    he was alive and of his family members, (3) photographs of Stephen Chacko‘s
    funeral in India, (4) photographs of Besun Yu‘s family and her early life, and
    (5) mannequins that the prosecutor used to demonstrate the wounds that
    defendant‘s victims suffered.
    The trial court allowed Harrison to testify that he was shot, injured, and
    hospitalized, and that he underwent rehabilitation. The court excluded two
    photographs pertaining to James Loper but admitted the remaining photographs.
    Finally, during direct and cross-examination, the trial court permitted the
    prosecution to use wooden mannequins depicting the victims as an aid to
    questioning witnesses about the gunshot wounds that the various victims
    sustained.
    Victim impact evidence is admissible during the penalty phase of a capital
    trial. (People v. Brown (2004) 
    33 Cal. 4th 382
    , 396.) Section 190.3, factor (a)
    permits the prosecution to establish aggravation by offering evidence of the
    circumstances of the crime, including the impact of the crime on surviving victims
    and on a victim‘s family. (People v. 
    Brown, supra
    , 33 Cal.4th at p. 396.)
    We review the admission of photographs for an abuse of discretion.
    (People v. Moon (2005) 
    37 Cal. 4th 1
    , 34.) Photographs of the victim while alive
    and photographs of a victim‘s family are admissible as ―circumstance[s] of the
    offense‖ under section 190.3, factor (a). (People v. Boyette (2003) 
    29 Cal. 4th 381
    ,
    444; People v. Anderson (2001) 
    25 Cal. 4th 543
    , 594; People v. Lucero (2000) 
    23 Cal. 4th 692
    , 714.) The trial court did not abuse its discretion in concluding that
    the photographs of James Loper and his family, of Besun Yu and her family, and
    of Stephen Chacko‘s funeral were admissible under this provision. Nor do we
    conclude, after reviewing the photographs, that the admission of the evidence was
    ―so unduly prejudicial that it render[ed] the trial fundamentally unfair.‖ (Payne v.
    35
    Tennessee (1991) 
    501 U.S. 808
    , 825.) Likewise, the trial court did not abuse its
    discretion in concluding that the photographs of Stephen Chacko‘s funeral were
    not inflammatory and were not likely to be unduly prejudicial.
    We have also previously rejected challenges to the prosecution‘s use of
    mannequins to represent victims during the presentation of aggravating evidence.
    (People v. Medina (1995) 
    11 Cal. 4th 694
    , 753–754 [life-sized mannequin
    representing murder victim admitted into evidence and allowed to remain in the
    jury room during guilt and penalty phase deliberations]; People v. Cummings
    (1993) 
    4 Cal. 4th 1233
    , 1291 [―Mannequins may be used as illustrative evidence to
    assist the jury in understanding the testimony of witnesses or to clarify the
    circumstances of a crime.‖].) And we do not find that the trial court abused its
    discretion in allowing the prosecutor to use the mannequins as a demonstrative aid
    during direct and cross-examination of witnesses during the penalty retrial.
    Finally, defendant argues that the trial court erred in permitting Thomas
    Harrison to testify concerning his period of rehabilitation because the guilt phase
    jury did not convict defendant of attempted murder. Prior to the initial penalty
    trial, defendant submitted a comprehensive motion seeking exclusion of certain
    victim impact testimony, including from Harrison. Although this written objection
    argued it would be error for the court to admit ―any evidence pertinent to the
    attempted murder involving the victim Thomas Harrison,‖ defendant narrowed the
    scope of his objection at a subsequent hearing. At that hearing, Judge Platt and
    both the prosecutor and defense counsel agreed that the fact of Harrison‘s shooting
    was admissible as evidence of ―criminal activity by the defendant which involved
    the use or attempted use of force or violence or the express or implied threat to use
    force or violence‖ under section 190.3, factor (b). This was also the conclusion
    reached at a hearing prior to Harrison‘s testimony during the second penalty trial.
    At this latter hearing, defendant sought an instruction that the prosecution was not
    36
    to ask Harrison questions about the long-term medical, emotional, and financial
    consequences of his injuries so that defendant would not have to object to a
    sympathetic witness describing his injuries. Defendant, however, agreed that
    Harrison could testify to the fact ―he was shot, the circumstances in which he was
    shot, the fact that he was hurt, went to the hospital and had rehabilitation.‖
    Defense counsel‘s statements at this first hearing preserved an objection to
    any testimony by Harrison that went to the impact of his injuries, but defendant
    conceded the admissibility of the fact and extent of those injuries under section
    190.3, factor (b), as violent criminal activity of which the defendant has not been
    convicted at the second hearing. (See People v. Cowan (2010) 
    50 Cal. 4th 401
    ,
    489 [―Section 190.3, factor (b), permits the jury to consider in aggravation violent
    criminal activity by the defendant other than the crimes of which he or she has
    been convicted in the capital trial, regardless of whether such activity led to a
    conviction, but precludes consideration of crimes for which the defendant has been
    prosecuted and acquitted‖].) Judge Platt ruled in defendant‘s favor with respect to
    this limited objection and admonished the prosecutor accordingly. Harrison‘s
    actual testimony did not address the lingering impact of his injuries other than to
    say, ―I have a numbness that runs down inside of my leg. I suffer pain . . . . I‘m
    suffering back pains and, you know, I‘m just — my body‘s not what it used to
    be.‖ To the extent defendant now argues that Harrison‘s testimony in its entirety
    ought to have been excluded as irrelevant under section 190.3, that claim is
    forfeited.
    4. Exclusion of evidence of remorse
    Defendant contends that the trial court abused its discretion in excluding
    evidence of his remorse, that the prosecutor committed misconduct by arguing in
    closing argument that defendant lacked remorse, and that these supposed errors
    37
    violated his state and federal constitutional rights to due process, to a fair trial, to
    effective assistance of counsel, to confront witnesses, to present a defense, and to a
    reliable and individualized sentencing determination. The prosecutorial
    misconduct claim is addressed below. (Post, at pp. 104, 107–108.)
    a. Background
    During the first penalty trial, defendant sought to introduce evidence to
    establish remorse for his crimes. Defendant proffered, inter alia, the testimony of
    Pastors Steve Kilthau and Troy Skaggs. Skaggs, who ran a prison ministry,
    initiated contact with defendant shortly after his arrest. Skaggs met with
    defendant about nine times and corresponded with him for about two years. He
    reported that defendant expressed remorse for his actions and often wept during
    their meetings. Skaggs planned to testify he believed defendant was sincerely
    remorseful.
    Kilthau led a congregation at the Stockton Baptist Church, where victim
    James Loper had been a member. Kilthau initiated contact with defendant six
    months after his arrest. After corresponding with defendant, Kilthau eventually
    met with him. During the meeting, and in his letters to Kilthau, defendant
    expressed remorse. Kilthau would have testified that he believed defendant‘s
    remorse was genuine. Defendant also sought to introduce his correspondence with
    Skaggs and Kilthau as well as his postarrest letters to his family. Finally,
    defendant sought to introduce the testimony of Dr. George Woods, a psychiatrist,
    whose direct testimony would include his belief that defendant was truly
    remorseful.
    The trial court excluded the testimony of Kilthau and Skaggs and
    defendant‘s correspondence with them. The trial court also redacted nine
    expressions of remorse in letters from defendant to his family that were otherwise
    38
    admitted into evidence. The court ruled that this evidence was unreliable because
    defendant‘s various expressions of remorse occurred after his arrest, incarceration,
    and the formulation of his defense strategy, suggesting that the statements were
    untrustworthy and self-serving and thus amounted to inadmissible hearsay.
    Further, the expressions of remorse in the letters ―directly circumvent[ed] the issue
    of cross-examination.‖ Similarly, with regard to the letters from Kilthau and
    Skaggs, the court determined that they were unreliable and could only be admitted
    if defendant chose to testify.
    At first, the trial court did not exclude the testimony of Kilthau and Skaggs
    on the topic of defendant‘s remorse. Instead, the trial court ordered defendant to
    provide a written proffer detailing the content of the conversations between the
    pastors and defendant and the topics of direct examination. The court sought to
    fashion a limiting instruction to guide the testimony but noted: ―[The testimony]
    is relevant, and it is admissible under a state of mind issue.‖
    However, on August 20, 1999, three days after the court‘s initial ruling, and
    after the prosecution filed a motion to reconsider the introduction of the testimony,
    the court reversed course. Citing dicta in People v. Livaditis (1992) 
    2 Cal. 4th 759
    (Livaditis), the trial court determined that it had discretion to exclude the
    testimony if the court found it untrustworthy. The trial court said the timing of the
    contact between defendant and the pastors rendered the testimony unreliable,
    explaining: ―[W]hen you look at the date of the contact, December of 1998, three
    months before the first scheduled trial date, over a year after the defendant had
    been in custody, after there had been considerable examination by the experts in
    terms of state of mind issues as it related to the guilt phase, after all of that had
    been explored, after a defense had been explored and prepared in terms of those
    issues, after all of that and with considerable motive for indicating a remorse and a
    state of mind that is absolutely, absolutely self-serving under the circumstances,
    39
    the court would not have given second thought at all to following the line of
    analysis in Livaditis.‖
    On March 7, 2000, during pretrial hearings in the penalty retrial, defendant
    moved to admit the evidence of remorse that he tried to introduce in the first
    penalty trial, asking the trial court to change its ruling. The trial court denied the
    motion, again citing the ―logic and dicta in Livaditis‖ and explaining: ―I am still
    in the same position that I was [during the first penalty trial] . . . when I
    reconsidered and held that Pastor Kilthau and Reverend Skaggs would not be
    allowed to testify because in my opinion neither reaches, based upon the
    circumstances that occurred, reaches the level of sufficient reliability to testify as
    witnesses.‖
    Also during the penalty retrial, defendant filed a motion to admit the
    testimony of four jurors from the first penalty trial. According to defendant, the
    jurors would have testified to their observations of defendant‘s demeanor during
    the guilt trial and the first penalty trial and that this testimony would help establish
    defendant‘s remorse.
    The trial court heard argument on the issue and denied the motion for four
    reasons. First, allowing the testimony of only four out of 12 jurors, all four of
    whom voted for life without parole during the first penalty trial, would be more
    prejudicial than probative. Second, if the court allowed the four jurors to testify,
    fairness would require the trial court to allow the prosecution to call any of the
    other eight jurors, as well as the courtroom staff and bailiffs, to rebut the testimony
    of the jurors that defendant called. Third, calling former jurors as witnesses could
    potentially violate the sanctity of jury deliberations. Fourth, the trial court noted
    that it could exclude the testimony under Evidence Code section 352 because
    allowing the testimony would potentially give rise to a ―monumental retrial,‖
    40
    especially if the prosecution chose to call members of the first jury who had voted
    for death.
    b. Analysis
    A capital sentencing decision must be individualized, and the sentencing
    authority must be permitted to consider the defendant‘s character. (Lockett v.
    Ohio (1978) 
    438 U.S. 586
    , 604 [―[in] all but the rarest kind of capital case, [the
    sentencer must] not be precluded from considering, as a mitigating factor, any
    aspect of a defendant‘s character or record and any of the circumstances of the
    offense that the defendant proffers as a basis for a sentence less than death‖ (fn.
    omitted)]; Eddings v. Oklahoma (1982) 
    455 U.S. 104
    , 114 [holding that a
    sentencer may not be precluded from considering ―any relevant mitigating
    evidence‖].) Section 190.3 requires the jury to impose a sentence of life
    imprisonment without the possibility of parole if the mitigating factors outweigh
    the aggravating factors, and, as the high court has observed, factor (k) of section
    190.3 directs the jury to consider any ―circumstance that might excuse the crime,
    and it is not unreasonable to believe that a post-crime character transformation
    could do so. . . . [R]emorse, which by definition can only be experienced after a
    crime‘s commission, is something commonly thought to lessen or excuse
    defendant‘s culpability.‖ (Brown v. Payton (2005) 
    544 U.S. 133
    , 142–143.)
    Although defendant had a constitutional right to have the jury hear all
    mitigating evidence counseling against the death penalty, ―a capital defendant has
    no federal constitutional right to the admission of evidence lacking
    trustworthiness, particularly when the defendant seeks to put his own self-serving
    statements before the jury without subjecting himself to cross-examination.‖
    (People v. Jurado (2006) 
    38 Cal. 4th 72
    , 130.) Under Evidence Code section 352,
    a trial court has broad discretion to exclude evidence ―if its probative value is
    41
    substantially outweighed by the probability that its admission will (a) necessitate
    undue consumption of time or (b) create substantial danger of undue prejudice, of
    confusing the issues, or of misleading the jury.‖ In addition, statements from a
    defendant to a third party regarding the defendant‘s state of mind can be
    admissible, but not when made under circumstances that indicate a lack of
    trustworthiness. (Evid. Code, §§ 1250, 1252.)
    We review a trial court‘s decision to exclude evidence for abuse of
    discretion. (People v. 
    Linton, supra
    , 56 Cal.4th at p. 1181.) The decision to
    exclude evidence ―will not be disturbed except on a showing [that] the trial court
    exercised its discretion in an arbitrary, capricious, or patently absurd manner that
    resulted in a manifest miscarriage of justice [citation].‖ (People v. 
    Rodriguez, supra
    , 20 Cal.4th at pp. 9–10.) Here, we cannot conclude that the trial court
    abused its discretion in excluding defendant‘s statements of remorse to Kilthau
    and Skaggs and to his family members or in excluding the testimony of the four
    jurors from the first penalty trial.
    Defendant‘s statements to Kilthau and Skaggs and to his family were
    hearsay and were made after defendant‘s attorneys had begun to work on his
    defense. Under these circumstances, the trial court could reasonably conclude that
    the hearsay statements could be excluded as unreliable under Evidence Code
    section 1252. On the same basis, the trial court could also reasonably conclude
    that defendant‘s statements of remorse in his letters to his family were also
    unreliable under section 1252. We have previously held that a trial court acted
    within the bounds of its discretion in excluding similar evidence of remorse as
    unreliable hearsay evidence. (People v. Smith (2003) 
    30 Cal. 4th 581
    , 629.)
    Nor did the exclusion of Kilthau‘s and Skaggs‘s testimony violate
    defendant‘s federal constitutional right to present mitigating evidence under Payne
    v. 
    Tennesse, supra
    , 
    501 U.S. 808
    , 822, or his federal constitutional right to due
    42
    process. The trial court, in ruling on the admissibility of this testimony, relied on
    
    Livaditis, supra
    , 
    2 Cal. 4th 759
    , 780, to conclude that he was not required to admit
    remorse evidence in a form inadmissible under state law. Where evidence of
    remorse is so unreliable as to be inadmissible under California law, the exclusion
    of such evidence does not violate the general federal constitutional rule that
    evidence that is reliable but otherwise inadmissible under state law must be
    admitted if highly relevant to a critical issue in the punishment phase. (Id. at
    p. 780; see also People v. Edwards (1991) 
    54 Cal. 3d 787
    , 837–838, citing Green v.
    Georgia (1979) 
    442 U.S. 95
    , 97.) ―The court did not prevent defendant from
    presenting evidence of remorse, but only evidence in the form of inadmissible
    hearsay not subject to cross-examination.‖ (People v. 
    Livaditis, supra
    , 2 Cal.4th at
    p. 780.) Specifically, defendant was allowed to introduce Dr. Woods‘s testimony
    that defendant was ―truly remorseful,‖ had ―accept[ed] responsibility‖ for his
    crimes, and that he had cried multiple times during interviews and felt ―terrible‖
    for what he had done. Defendant was not denied his federal right of due process
    by the exclusion of unreliable hearsay evidence as to his remorsefulness.
    Further, the trial court did not abuse its discretion in excluding the
    testimony of the four jurors. Even in the penalty phase the trial court
    ― ‗ ―determines relevancy in the first instance and retains jurisdiction to exclude
    evidence whose probative value is substantially outweighed by the probability that
    its admission will create substantial danger of confusing the issues or misleading
    the jury.‖ ‘ ‖ (People v. Williams (2006) 
    40 Cal. 4th 287
    , 320; see People v.
    Salcido (2008) 
    44 Cal. 4th 93
    , 162.) The trial court could have reasonably
    concluded that the admission of their testimony would be more prejudicial than
    probative and would confuse jurors for the penalty retrial about the ultimate task.
    The trial court also could have reasonably concluded that their testimony would
    43
    have opened the door for the prosecution to call other individuals who attended the
    first penalty trial, thus expending an undue amount of the court‘s time.
    5. Exclusion of mitigating evidence of molestation
    Defendant contends that the trial court erroneously excluded evidence
    proffered to corroborate Dr. White‘s testimony that defendant had been molested
    as a teenager. He maintains that the erroneous exclusion of this evidence violated
    his state and federal constitutional rights to present a defense, to confrontation, to
    due process, to a fair trial, to a reliable, individualized determination of death
    eligibility and sentence, and to freedom from cruel and unusual punishment.
    a. Background
    Defendant was interviewed by defense expert Dr. Gretchen White, a
    psychologist and social historian. According to Dr. White, defendant confided in
    her that on two occasions he had been sexually molested by John Fry, his youth
    intake counselor when he was a ward of the State of Florida as a teenager. Dr.
    White also spoke with two other men, Michael Portbury and David Lamson, who
    claimed to have been sexually molested by John Fry under similar circumstances.
    She also spoke with two Florida police officers who investigated John Fry.
    During the first penalty trial, the defense proffered Dr. White‘s testimony
    that defendant had told her that he had been molested and that she believed him.
    The defense also proffered the testimony of Lamson and Portbury in order to
    corroborate defendant‘s statement that Fry had molested him and to establish the
    effects of Fry‘s molestation on Lamson‘s and Portbury‘s development and, by
    extension, defendant‘s development. Defendant also sought to introduce the
    testimony of the police investigators into the molestation allegations.
    The trial court ruled that the testimony of Lamson, Portbury, and the two
    police investigators was inadmissible because it was irrelevant and was more
    44
    prejudicial than probative. The court allowed Dr. White to testify that defendant
    had told her he had been molested by Fry and allowed the defense to introduce
    court documents from Florida showing that Fry had been convicted of procuring a
    child under the age of 16 for prostitution. The court also allowed Dr. Lisak, the
    previously mentioned clinical psychologist, to testify about the psychological and
    emotional effects that a traumatic sexual experience can have on an adolescent
    boy.
    During the prosecutor‘s cross-examination of the defense experts and
    during his closing argument in the first penalty trial, he attempted to cast doubt on
    the fact that defendant was ever molested and the credibility of the experts‘
    opinions.
    During the penalty retrial, the defense sought to question Dr. White about
    the details of her interviews with Lamson and Portbury rather than introduce the
    testimony of Lamson and Portbury directly. Defense counsel argued that the
    statements were necessary to corroborate defendant‘s allegations of molestation
    and to bolster the credibility of Dr. White‘s opinion, especially in light of the
    prosecutor‘s argument in the first penalty trial that there was no evidence that
    defendant had been molested. During the hearing on the motion to admit the
    testimony, the court asked the prosecutor whether he would stipulate that
    defendant was molested by Fry, and the prosecutor declined. The court then
    agreed to allow Dr. White to testify that her interviews with Lamson and Portbury
    supported her opinion that defendant had in fact been molested. However, the
    court refused to allow Dr. White to testify about the details of her interviews with
    Lamson and Portbury. The court explained: ―The manner in which [defendant]
    was molested carries far less probative value than the fact that he was on [sic] or
    wasn‘t molested. [¶] So when I do a 352 analysis, as I did before, as I‘ve done
    again, that‘s what to have look at. I‘ve got to look not just at the prejudicial effect,
    45
    but I‘ve got to look at the potential probative value. [¶] That issue is available to
    be established by other means, which the court has allowed. So the probative
    value of the manner of the molest, or the manner of the other person‘s molest is
    extremely little, in my opinion. And the probative — or the prejudicial effect is
    great. Because it does open significant doors and collateral issues. [¶] And that‘s
    the basis for the opinion. I don‘t have a problem with, as I think you are entitled
    to say, my expert did contact other persons; and in her opinion, then confirms and
    corroborates the issue. [¶] That I think is fair game.‖ Thus, the court ruled that
    the details of the molestations that Portbury and Lamson reported to Dr. White
    were more prejudicial than probative under Evidence Code section 352, as they
    would introduce new issues and consume significant time without offering much
    insight into defendant‘s own experiences. The court also noted that the admitted
    record of Fry‘s conviction contained Portbury‘s name, which additionally served
    to corroborate defendant‘s claim.
    During the prosecutor‘s closing argument during the penalty retrial, he
    made the following two remarks in passing: (1) ―Number one, we have no proof
    of a molest. . . . Absolutely no relevance to this case‖ and (2) ―[Dr. Lisak] was
    here to testify about generalities based on the hypothetical male. It‘s in your
    notes. I mean, I actually — I just put it in the simplest terms I can think of.
    You‘re here to testify about the hypothetical male, correct? Yes. What
    conclusions do you draw about this case. No. Zero. Zip. [¶] Mitigation value?
    Nothing. I mean, how does that compare. I don‘t even — I don‘t even
    understand. [¶] Dr. Lisak is a professor who teaches, who seems like a nice guy.
    He‘s a professor. He‘s telling you about possibilities, maybe‘s, could have‘s,
    should have‘s, would have‘s. Value, zero.‖ Following the prosecution‘s closing
    argument, defense counsel filed a motion for mistrial based on these two
    statements. The trial court denied the motion.
    46
    b. Limitation on the testimony of Portbury, Lamson, and Dr.
    White
    Defendant contends that the trial court erred in excluding the testimony of
    Portbury and Lamson and in prohibiting Dr. White from the testifying about the
    details of the molestations Portbury and Lamson recounted to her.
    To the extent that defendant claims the trial court erred in excluding the
    testimony of Portbury and Lamson during the first penalty trial, the Attorney
    General argues that claim is moot. We agree. To the extent that defendant claims
    the trial court erred in excluding the testimony of Portbury and Lamson during the
    penalty retrial, the Attorney General argues that the claim is forfeited because the
    defense did not proffer their testimony during the penalty retrial. Defendant
    responds that proffering the testimony of Lamson and Portbury would have been
    futile in light of the fact that Judge Platt had incorporated his previous rulings into
    the penalty retrial proceedings.
    The record indicates that at the start of the penalty retrial, defense counsel
    asked the trial court whether its prior rulings remained in effect such that defense
    motions already made need not be filed again in order to make a record:
    ―MR. LAUB: . . . . [W]e are anticipating that the prosecution in the penalty
    phase retrial is going to introduce a lot of evidence that was part of their guilt
    phase trial under the umbrella of circumstances of the crime. And in order for us
    to know that we are making a record, I guess what we are concerned about is if we
    are not now presenting these issues again, do we have, anything that‘s been
    litigated remains, our position remains as it was.
    ―THE COURT: Correct.
    ―MR. LAUB: We haven‘t waived anything by not reintroducing anything.
    ―THE COURT: No. You do not need to refile each and every motion that
    was previously had. Those rulings are equally binding at this phase of the trial,
    47
    even if this were and there had not been an intervening phase of the trial for which
    there was a hung jury.‖
    Because the record indicates that the trial court informed defense counsel
    that its prior rulings remained binding at the penalty retrial, defendant has
    preserved his claim that the trial court erred in excluding the testimony of Portbury
    and Lamson by proffering their testimony at the first penalty trial. In light of the
    court‘s statements above, defendant would have understood the court‘s ruling
    excluding the testimony of Portbury and Lamson to be equally applicable to the
    penalty retrial. Nonetheless, the trial court did not err in excluding the testimony
    of Portbury and Lamson or in limiting the testimony of Dr. White.
    The trial court determines the ―relevancy of mitigating evidence and retains
    discretion to exclude evidence whose probative value is substantially outweighed
    by the probability that its admission will create substantial danger of confusing the
    issues or misleading the jury.‖ (People v. 
    Guerra, supra
    , 37 Cal.4th at p. 1145,
    overruled in part on other grounds in People v. 
    Rundle, supra
    , 43 Cal.4th at p. 151;
    see Evid. Code, § 352.) Here the trial court reasonably determined that admitting
    detailed testimony from two individuals regarding their own molestation, or
    hearsay testimony by Dr. White as to those two individuals‘ experiences, would
    open the door to a ―mini-trial‖ regarding the accuracy of any particular detail
    Portbury and Lamson recounted. Accordingly, the trial court allowed Dr. White to
    testify that she had been told by Portbury and Lamson that they had been
    molested, without allowing Portbury and Lamson to testify themselves. Because
    Portbury and Lamson would not have testified about whether defendant himself
    was molested, the trial court‘s ruling was a reasonable way of allowing defendant
    to bolster the credibility of his expert witness without creating a distracting dispute
    over the credibility of Lamson and Portbury themselves.
    48
    c. Denial of motion for mistrial
    Defendant claims that the court erred in denying the motion for mistrial
    based on the prosecutor‘s misconduct in arguing there was ―no proof of molest.‖
    We consider and reject this claim below. (Post, at p. 104)
    6. Cross-examination of prosecution expert witness and related
    jury admonition
    Defendant contends that the trial court improperly limited cross-
    examination of prosecution expert Dr. Helen Mayberg and improperly admonished
    the jury regarding two questions that defense counsel posed to Dr. Mayberg. He
    maintains that these alleged errors violated his state and federal constitutional
    rights to confrontation, to due process, to a fair trial, to present a defense, to a
    reliable and individualized sentencing determination, and to freedom against cruel
    and unusual punishment.
    a. Background
    Before trial, defendant was examined by Dr. Wu and Dr. Amen. Dr. Wu, a
    psychiatrist, was qualified as an expert in positron emission tomography. Dr. Wu
    performed a PET scan on defendant and he testified that the PET scan showed
    defendant‘s brain was abnormal. Dr. Amen, also a psychiatrist, was qualified as
    an expert in clinical psychiatry with a specialty in brain imaging. He performed
    SPECT scans on defendant and testified that the scans showed a functionally
    damaged brain that affected defendant‘s thought process and that defendant‘s
    methamphetamine use exacerbated his condition. The defense also called a third
    psychiatrist, Dr. Buchsbaum, who qualified as an expert in nuclear imaging
    science. Dr. Buchsbaum reviewed the scans performed by Dr. Wu and Dr. Amen
    and corroborated their conclusions. The defense presented the testimony of the
    three psychiatrists during the guilt phase to provide the jury with a basis for
    49
    concluding that defendant did not form the specific intent required for murder or
    robbery.
    In rebuttal, the prosecution called Dr. Mayberg, a board-certified
    neurologist. Dr. Mayberg reviewed the tests performed by Dr. Wu and Dr. Amen
    and criticized their conclusions and the conclusions of Dr. Buchsbaum. In
    preparation for her testimony, Dr. Mayberg wanted to see the ―raw data‖
    underlying the tests of Dr. Wu and Dr. Amen, and the prosecution filed a
    discovery request. Neither the prosecutor nor defense counsel knew exactly what
    Dr. Mayberg meant when she requested the ―raw data.‖ But during the second day
    of Dr. Mayberg‘s testimony, it became apparent that she had not received all the
    information that she had requested. Eventually the defense provided the data, and
    the court recessed to allow her time to review the data.
    When Dr. Mayberg‘s testimony resumed, she criticized the defense experts‘
    opinions on the ground that the PET scan was ―normal-appearing‖ and more
    consistent with depression than trauma or long-term use of methamphetamine.
    She opined that the defense experts‘ conclusions were unsupported by the
    statistics upon which they claimed to rely. And she referred to the raw data from
    the SPECT scans as ―garbage,‖ a term that was stricken after defense counsel
    objected.
    During the penalty retrial, the defense called Dr. Amen and Dr. Wu, who
    provided the same testimony that they provided in the guilt phase, this time as
    mitigation evidence. The defense did not call Dr. Buchsbaum during the penalty
    retrial. The prosecution called Dr. Mayberg, whose rebuttal testimony was similar
    to her testimony during the guilt phase. On direct examination, she testified about
    the information she reviewed to prepare for the penalty retrial. In particular, she
    noted she had reviewed the transcripts of the previous phases of the trial. On
    cross-examination, defense counsel attempted to question Dr. Mayberg about the
    50
    testimony of Dr. Buchsbaum, which Dr. Mayberg said she had read before
    testifying as a rebuttal witness in the first penalty trial. The prosecutor objected to
    this line of inquiry, and the defense was given the opportunity to lay appropriate
    foundation outside the presence of the jury.
    Defense counsel argued that because Dr. Mayberg had testified she had
    reviewed Dr. Buchsbaum‘s opinions and compared them with those of the other
    two defense experts, Dr. Buchsbaum‘s testimony was foundational to her
    conclusions during the guilt phase. Further, because Dr. Mayberg would offer the
    same conclusions during the penalty retrial that she had offered during the guilt
    phase, she must have relied on Dr. Buchsbaum‘s testimony in forming the
    opinions she would provide during the penalty retrial.
    The trial court rejected this argument: ―There has been an inappropriate
    foundation laid, insufficient to justify questioning this witness or this expert about
    Dr. Buchsbaum‘s opinion. There is nothing I‘ve heard that said that her opinion
    here is based upon Dr. Buchsbaum‘s testimony. . . . [¶] . . . [¶] You cannot simply
    argue that anything that she has ever read can be questioned and examined. If it
    was not relied upon to express her opinion, it is not admissible within the expert
    opinion.‖ When the defense was allowed to reopen examination, Dr. Mayberg
    claimed that she ―did not rely on Dr. Buchsbaum at all,‖ as Dr. Buchsbaum had
    not performed any scans of his own. The next day, defense counsel reargued his
    position from the prior day. The trial court ruled that defense counsel could not
    question Dr. Mayberg about Dr. Buchsbaum‘s testimony because parties are
    generally ―not allowed to use prior testimony of an individual for cross-
    examination purposes without presenting that witness first and/or having it
    considered.‖
    During subsequent cross-examination, defense counsel attempted to
    question Dr. Mayberg about her characterization of the SPECT scans as ―garbage‖
    51
    before she received the raw data on which her opinion was ultimately based.
    Defense counsel then asked Dr. Mayberg why she ―came to court‖ when she
    ―didn‘t have all the materials necessary to render an opinion.‖ The prosecutor
    objected, and the trial court held a hearing outside the jury‘s presence. During the
    hearing, the court ruled that it would admonish the jury that defense counsel‘s
    question about Dr. Mayberg‘s characterization of the scans as ―garbage‖ was
    improper because that testimony had been stricken in the guilt phase. The trial
    court would also inform the jury that the defense did not provide Dr. Mayberg
    with the raw data she requested until the day Dr. Mayberg testified.
    The trial court admonished the jury as follows: ―Ladies and gentlemen,
    before we proceed, I need to advise you of a couple of things. [¶] First involved
    the question about the prior testimony, that of the doctor referenced Dr. Amen‘s
    materials as garbage was stricken from the record. [¶] That means it is [n]on
    testimony. That means it should not have been referenced in any fashion for any
    reason. And it was extremely improper for [defense counsel] to do so before you.
    [¶] It is again stricken. Period. It was improper questioning. Should not have
    been done. [¶] More importantly, the issue of the information provided the day
    Dr. Mayberg testified. [¶] What occurs in any criminal matter, [] civil cases for
    that matter as well — what occurs is what is called discovery compliance. Where
    information in one side‘s possession is ordered to be turned over to the opposition
    or other side. Either the defense to the prosecution or the prosecution to the
    defense. [¶] [The prosecutor] has made numerous discovery requests as to this
    specific information, which was not provided. It was untimely when it was finally
    provided after Dr. Mayberg had arrived and was to testify. So it was information
    that should have been provided earlier and was not.‖
    52
    b. Limitation of cross-examination of Dr. Mayberg
    Defendant contends that by limiting cross-examination on the subject of Dr.
    Buchsbaum‘s testimony, the trial court inhibited defense counsel‘s ability to
    challenge Dr. Mayberg‘s credibility in violation of his constitutional right ―to be
    confronted with the witnesses against him.‖ (U.S. Const., Amend. VI.) We
    review this claim for abuse of discretion. (People v. 
    Linton, supra
    , 56 Cal.4th at
    p. 1188; see Delaware v. Van Arsdall (1986) 
    475 U.S. 673
    , 679.) Evidence Code
    section 721, subdivision (a) provides that ―a witness testifying as an expert may be
    cross-examined to the same extent as any other witness and, in addition, may be
    fully cross-examined as to (1) his or her qualifications, (2) the subject to which his
    or her expert testimony relates, and (3) the matter upon which his or her opinion is
    based and the reasons for his or her opinion.‖
    Defendant‘s brief may be construed to offer two potential grounds for
    concluding that cross-examination regarding Dr. Buchsbaum‘s testimony was
    proper. First, defendant contends that Dr. Mayberg relied on this testimony in
    forming her opinion. But, as the Attorney General observes, Dr. Mayberg testified
    that she had reviewed Dr. Buchsbaum‘s testimony before the beginning of the
    penalty retrial, but she maintained that her opinion was not based on that
    testimony. This characterization of her opinion appears correct. Dr. Wu and Dr.
    Amen conducted PET and SPECT brain scans on defendant and testified about the
    results of those scans. Dr. Buchsbaum reviewed the scans of Dr. Wu and Dr.
    Amen and testified that he agreed with their conclusions. Dr. Buchsbaum did not
    produce scans of his own. In rebuttal, Dr. Mayberg reviewed the scans conducted
    by Dr. Wu and Dr. Amen and testified that she disagreed with the conclusions of
    the defense experts. Thus, although her opinion about the results of the PET and
    SPECT scans allowed her to criticize the testimony of Dr. Buchsbaum in the guilt
    phase, her opinion was not based on Dr. Buchsbaum‘s testimony. Thus, the trial
    53
    court did not abuse its discretion in sustaining the prosecution‘s objection to this
    line of questioning.
    Second, by citing our decision in People v. Clark (1995) 
    5 Cal. 4th 950
    ,
    defendant‘s brief may be construed to assert that questioning Dr. Mayberg about
    Dr. Buchsbaum‘s testimony was proper because Dr. Mayberg was familiar with
    Dr. Buchsbaum‘s professional publications. (Cf. Clark, at p. 1013 [finding cross-
    examination about the ―scholarly work‖ of another expert to be proper],
    disapproved on another ground in People v. 
    Doolin, supra
    , 45 Cal.4th at p. 421, fn
    22.) But Clark is inapposite. In Clark, we held that a psychiatrist could be asked
    about another psychiatrist‘s scholarly work with which the witness was familiar.
    (Ibid.) Here, defense counsel did not attempt to question Dr. Mayberg about one
    of Dr. Buchsbaum‘s scholarly publications. Instead, defense counsel attempted to
    question Dr. Mayberg about Dr. Buchsbaum‘s testimony during a prior phase of
    trial. In these circumstances, the trial court could justifiably be concerned that
    defense counsel was attempting to elicit Dr. Buchsbaum‘s hearsay opinion through
    cross-examination of Dr. Mayberg without calling Dr. Buchsbaum to the stand.
    Accordingly, the trial court did not abuse its discretion in limiting this line of
    examination.
    c. Jury admonitions
    Defendant contends that the trial court‘s admonition to the jury was
    improper. Specifically, defendant complains that the admonition ―singled out‖
    defense counsel and wrongly suggested that defense counsel had committed a
    discovery violation. Defendant also argues that the trial court erred in failing to
    instruct the jury not to impute any discovery violation to him.
    To be sure, the trial court did single out defense counsel for referring to
    stricken testimony in one of his questions to Dr. Mayberg. But that admonition
    54
    was appropriate under the circumstances as the question referred to facts not in the
    record. Moreover, the trial court‘s admonition to the jury regarding defense
    counsel‘s cross-examination of Dr. Mayberg regarding her supposed willingness
    to testify in the absence of data was appropriate under the circumstances.
    Defendant relies on People v. Bell (2004) 
    118 Cal. App. 4th 249
    (Bell),
    which found prejudicial error in the trial court‘s use of CALJIC No. 2.28 to inform
    the jury about the untimely provision of evidence by defense counsel. That court
    emphasized two aspects of the instruction: First, the instructions stated that ― ‗[i]n
    this case, the Defendant failed to timely disclose the following evidence. . . . ‘ ‖
    (Bell, at p. 254.) Second, ―jurors were told ‗[t]he weight and significance of any
    delayed disclosure are matters for your consideration,‘ ‖ but not told how or
    whether the prosecution was prejudiced by the late disclosure and instead ―simply
    left to speculate . . . that the People were put at an actual disadvantage because of
    the late discovery.‖ (Id. at p. 255.)
    The facts in this case are distinguishable. Here, defense counsel attempted
    to demonstrate that Dr. Mayberg was willing to testify in the absence of sufficient
    evidence or information to support that testimony. The court permitted defense
    counsel to ask that question, but sought — upon the prosecutor‘s objection — to
    clarify for the jury that the reason Dr. Mayberg lacked evidence was that defense
    counsel had failed to comply with a discovery order. Although the trial court
    could have been clearer in attributing the noncompliance to counsel, his use of the
    phrase ―the defense to the prosecution‖ did not assign blame to defendant, as did
    the trial court‘s instruction in Bell. Nor did the trial court instruct or even imply to
    the jury that the weight or significance they assigned Dr. Mayberg‘s testimony
    ought to be affected by the late disclosure. The force of the trial court‘s
    admonition was to correct a possible misperception on the part of the jury that Dr.
    Mayberg had engaged in an impropriety in her prior testimony, and to prevent
    55
    defense counsel from taking advantage of a situation he had created during the
    earlier proceedings. Such an admonition was in the discretion of the trial court
    and did not implicate the concerns of Bell, as it could not be reasonably interpreted
    to cast aspersions on defendant himself and did not instruct the jury to alter the
    weight assigned the evidence presented.
    7. Failure to restrict cross-examination of defendant
    Before the penalty retrial, defendant filed a motion to restrict the
    prosecution‘s cross-examination of him should he decide to testify. In the motion,
    defendant sought to limit the prosecution‘s cross-examination to his general
    personal history, which was the topic about which he planned to testify. The trial
    court declined to rule on the motion because it had not heard the scope of the
    testimony on direct examination. In so ruling, the trial court did not err. The trial
    court indicated its willingness to limit the scope of cross-examination to those
    addressed during direct examination. In explaining its decision to defer a ruling
    on the motion, the trial court acknowledged the general law that cross-examination
    is limited by the scope of direct examination. But the trial court reasonably
    refused to rule of the scope of cross-examination without first hearing the scope of
    the direct examination. (See People v. Panah (2005) 
    35 Cal. 4th 395
    , 437 [―the
    trial court properly declined to provide a ruling in advance of defendant‘s
    testimony‖]; People v. Keenan (1988) 
    46 Cal. 3d 478
    , 513 [―[l]acking complete
    information‖ as to the defendant‘s testimony, ―the court was well within its
    discretion to defer its decision ―on the scope of cross-examination].) We therefore
    deny defendant‘s claim that this ruling violated his federal constitutional right to
    present mitigation evidence as well.
    56
    8. Rejection of proposed jury instructions
    Defendant contends that the trial court erred in refusing to modify the jury
    instructions during the penalty retrial in violation of his state and federal
    constitutional rights to due process, to a fair trial, to a reliable individualized
    sentence determination, and to freedom from cruel and unusual punishment.
    ―In assessing whether the jury was adequately guided under the Eighth or
    Fourteenth Amendment, we ask ‗whether there is a reasonable likelihood the jury
    understood the charge as defendant asserts. [Citations.] We determine how it is
    reasonably likely the jury understood the instruction, and whether the instruction,
    so understood, accurately reflects applicable law. [Citations.]‘ ‖ (People v.
    Barnett (1998) 
    17 Cal. 4th 1044
    , 1161.) ―[T]he standard CALJIC penalty phase
    instructions ‗are adequate to inform the jurors of their sentencing responsibilities
    in compliance with federal and state constitutional standards.‘ [Citation.]
    Moreover, the general rule is that a trial court may refuse a proffered instruction if
    it is an incorrect statement of law, is argumentative, or is duplicative. [Citation.]
    Instructions should also be refused if they might confuse the jury.‖ (People v.
    Gurule (2002) 
    28 Cal. 4th 557
    , 659.)
    Defendant claims that the trial court erred in refusing the following sets of
    instructions:
    First, defendant maintains that the trial court should have modified the
    standard instructions to further guide jurors in understanding their responsibilities
    as penalty phase jurors. In particular, defendant asked that the jurors be instructed
    as follows: ―Your responsibility in the penalty phase is not merely to find facts,
    but also — and most important — to render an individualized, moral
    determination about the penalty appropriate for the particular defendant — that is,
    whether he should live or die.‖ The trial court correctly ruled that this instruction
    was duplicative of CALJIC 8.88, which ―properly instructs the jury on its
    57
    sentencing discretion and the nature of its deliberative process.‖ (People v.
    Valencia (2008) 
    43 Cal. 4th 268
    , 310.)
    Second, defendant contends that the trial court erred in rejecting proposed
    instructions on the limitations of factors in aggravation. Proposed instructions
    Nos. 7 and 8 would have instructed the jury that the guilt phase verdicts and
    special circumstance findings were not aggravating factors. There is no
    reasonable likelihood that the jurors misunderstood this aspect of their
    responsibilities. CALJIC No. 1.00 explained that the fact of being arrested,
    charged, and brought to trial was not evidence in aggravation. Further, CALJIC
    No. 8.85 enumerated the applicable factors to consider, including aggravating
    factors, and emphasized that these were the only factors that could be considered
    in aggravation.
    Third, defendant maintains that the trial court should have provided
    proposed instructions Nos. 11–18, and 21, which would have further guided the
    jury on factors in mitigation. As a threshold matter, defendant has forfeited his
    challenge to the trial court‘s refusal to give proposed instruction No. 11. During
    the second conference on jury instructions, the trial court indicated that the
    proposed instruction was more appropriate for argument than for jury instructions.
    Defense counsel replied, ―I‘ll argue it.‖ Even were defendant‘s challenge not
    forfeited, we have previously rejected the claim that the trial court is required to
    instruct the jury ―that one mitigating factor could outweigh multiple aggravating
    factors.‖ (People v. Jones (2012) 
    54 Cal. 4th 1
    , 79–80.)
    Regarding proposed instructions Nos. 12–18, defendant argued that they
    were necessary to clarify the nature of mitigation evidence. But the trial court
    concluded that the proposed instructions Nos. 12–15 were duplicative of CALJIC
    Nos. 8.85 and 8.88 and that Nos. 16–18 were argumentative. We have previously
    held identical language to defendant‘s proposed instructions Nos. 12–14, which
    58
    address the ―unlimited‖ breadth of mitigating evidence to be duplicative of
    CALJIC Nos. 8.88 and 8.85, subdivision (k), which, respectively, define
    mitigating circumstances broadly and allow the jury to consider ― ‗any other
    circumstance which extenuates the gravity of the crime . . . and any sympathetic or
    other aspect of the defendant‘s character or record . . . whether or not related to the
    offense for which he is on trial‘ ‖ as a mitigating factor. (People v. 
    Jones, supra
    ,
    54 Cal.4th at pp. 82–83.)
    Proposed instruction No. 15 would have added to CALJIC No. 885 the
    following: ―Since you, as jurors, decide what weight to be given the evidence in
    aggravating and the evidence in mitigation, you are instructed that any mitigating
    evidence standing alone may be the basis for deciding that life without possibility
    of parole is the appropriate punishment.‖ We have previously rejected the claim
    that CALJIC No. 8.88 must explicitly instruct jurors that a single mitigating factor
    is sufficient to return a verdict of life without possibility of parole, instead holding
    that this substance is conveyed by CALJIC No. 8.88‘s charge that, ―To return a
    judgment of death, each of you must be persuaded that the aggravating
    circumstances are so substantial in comparison with the mitigating circumstances
    that it warrants death instead of life without the possibility of parole.‖ (Id. at
    pp. 78–80 [listing citations]; see also People v. 
    Valencia, supra
    , 43 Cal.4th at
    p. 310 [―CALJIC No. 8.88 properly instructs the jury on its sentencing discretion
    and the nature of its deliberative process.‖])
    We have found that a trial court did not err in rejecting the language of
    proposed instruction No. 16 (―You may spare the defendant's life for any reason
    you deem appropriate and satisfactory‖) in favor of CALJIC No. 8.88, which
    informs jurors they may weigh mitigating and aggravating circumstances however
    they deem appropriate. (People v. Lenart (2004) 
    32 Cal. 4th 1107
    , 1135.)
    59
    We have declined to find error where the trial court refused to give an
    instruction identical to proposed instruction No. 17 (―You need not find any
    mitigating circumstances in order to return a sentence of life imprisonment
    without possibility of parole. A life sentence may be returned regardless of the
    evidence‖) for two reasons: The first sentence was duplicative of CALJIC No.
    8.85, which instructs jurors that they may consider ―any other circumstance which
    extenuates the gravity of the crime‖ and CALJIC No. 8.88, which instructs jurors
    to assign, to any mitigating factors found as a result, ―whatever moral and
    sympathetic value‖ to the factors that they wish (People v. Hughes (2002) 
    27 Cal. 4th 287
    , 403). The second sentence ―is wrong to the extent that it invites the
    jury to act without regard to the evidence‖ (People v. 
    Lenart, supra
    , 32 Cal.4th at
    p. 1135).
    As to proposed instruction No. 18, which would have made explicit that
    jurors were not required to reach unanimity as to the existence or weight of any
    factors in mitigation, we have held the trial court is ―not required to instruct [the
    jury] that unanimity is not required before a juror may consider evidence to be
    mitigating,‖ (People v. Coddington (2000) 
    23 Cal. 4th 529
    , 641), and that,
    accordingly, the trial court did not err in refusing to instruct the jury with language
    nearly identical to that proposed here. (People v. Chism (2014) 
    58 Cal. 4th 1266
    ,
    1329, cert. den. sub nom. Chism v. California (2014) __ U.S. __, 
    135 S. Ct. 403
    .)
    Proposed instruction No. 21 stated that jurors must resolve reasonable
    doubt as to penalty in favor of life in prison without parole. The trial court
    correctly determined that this was an incorrect statement of law, citing our
    decisions in People v. Musselwhite (1998) 
    17 Cal. 4th 1216
    , 1270, and People v.
    Hines (1997) 
    15 Cal. 4th 997
    , 1069.
    Fourth, defendant contends that the trial court erred in rejecting instructions
    providing guidance on weighing factors in aggravation and mitigation. Proposed
    60
    instruction No. 22 would have instructed the jury to find beyond a reasonable
    doubt that factors in aggravation outweighed factors in mitigation. The trial court
    correctly denied this instruction on the ground that it was contrary to state law.
    (People v. Jones (1998) 
    17 Cal. 4th 279
    , 314.) Proposed instruction No. 23 stated
    that each juror must determine the appropriate penalty for himself or herself and
    not decide issues by chance. The trial court reasonably rejected this instruction
    because CALJIC No. 17.40 adequately instructed the jurors on these points.
    Proposed instruction Nos. 24 and 24A instructed the jurors on the
    possibility and consequences of a hung jury. The trial court correctly concluded
    that these instructions were unnecessary. (People v. Castaneda (2011) 
    51 Cal. 4th 1292
    , 1352 [―a trial court is not required to educate a jury concerning the
    consequences of a deadlock‖].)
    Proposed instruction No. 24B would have replaced the word ―warranted‖ in
    CALJIC No. 8.88 with the word ―justified.‖ The trial court properly concluded
    that CALJIC No. 8.88 was adequate as written. (People v. Page (2008) 
    44 Cal. 4th 1
    , 56–57.) Similarly, the trial court correctly refused to give proposed instruction
    No. 24C because it was ―just an alternative definition to ‗mitigating
    circumstances.‘ ‖
    Proposed instruction No. 26 was a modified version of the concluding
    instruction governing the conduct of jurors during deliberations. The trial court
    correctly ruled that the standard instructions were already adequate and correct.
    Proposed instruction No. 27 was a modified version of CALJIC No. 17.49.
    The trial court rejected the instruction because it appeared to require a special
    finding or statement of reasons supporting the verdict. (See People v. Sanchez
    (1995) 
    12 Cal. 4th 1
    , 82, disapproved on another ground in People v. 
    Doolin, supra
    , 
    45 Cal. 4th 390
    .)
    61
    Proposed instruction No. 28 would have instructed the jury that sympathy
    for the defendant‘s family is not a factor in mitigation but that the jury may
    consider the testimony of family members to the extent that it illuminates some
    positive quality about the defendant. Although the trial court allowed defendant‘s
    brother to testify regarding the potential impact of defendant‘s death on his family,
    the trial court properly ruled that the instruction was argumentative. The trial
    court also could have rejected the proposed instruction on the ground that it was
    duplicative of CALJIC No. 8.85. (See People v. Romero (2008) 
    44 Cal. 4th 386
    ,
    425–426.)
    Proposed instruction No. 29 was a modified version of CALJIC No. 8.85,
    which proposed striking factors that were not relevant to the case and including 33
    mitigating factors not ordinarily contained in CALJIC No. 8.85. The trial court
    properly rejected this instruction, as CALJIC No. 8.85 is an adequate and correct
    instruction. The court is not required to remove inapplicable factors from CALJIC
    No. 8.85 (People v. Rogers (2009) 
    46 Cal. 4th 1136
    , 1179) and is not required to
    enumerate potential factors in mitigation (People v. Noguera (1992) 
    4 Cal. 4th 599
    ,
    648).
    9. Denial of motions for mistrial and to recuse Judge Platt
    a. Background
    During the first penalty phase trial, Judge Platt suffered a mild heart attack
    and disclosed his condition to the jury to explain irregularities in the court‘s
    schedule. Defendant moved for a mistrial and to recuse the judge pursuant to
    Code of Civil Procedure section 170.1, subdivision (a)(6)(A)(i) (―The judge
    believes his or her recusal would further the interests of justice‖) and (a)(7) (―By
    reason of permanent or temporary physical impairment, the judge is unable to
    properly perceive the evidence or is unable to properly conduct the proceeding‖).
    62
    In his motions, defendant argued that Judge Platt‘s disclosure aroused the
    jury‘s sympathy and, as a result, put defense counsel between a rock and a hard
    place. With each decision at trial, defense counsel was forced to choose between
    abstaining from legitimate objections and zealously advocating for defendant‘s
    defense, potentially alienating the jury and jeopardizing Judge Platt‘s health.
    Putting defense counsel to these impossible decisions, defendant argued,
    prejudiced his case during the penalty phase.
    Judge Platt struck the motion to recuse from the record for failure to state
    sufficient legal grounds. He explained that he did not believe his recusal would
    further the interests of justice and ―there is no indication nor information nor facts
    presented in the affidavit that indicate that the judge is unable to properly perceive
    the evidence or is unable to properly conduct the proceedings.‖ Judge Platt
    nonetheless forwarded the motion to recuse to Presiding Judge Sarkisian of
    Alameda County Superior Court.
    Shortly thereafter, Judge Platt suffered a second heart attack, and Judge
    Delucchi was assigned to the case. Defendant again moved for a mistrial, and the
    court denied the motion. Despite Judge Delucchi‘s assignment to the case,
    defendant proceeded with the hearing on the motion to recuse Judge Platt. At the
    hearing, defense counsel conceded that the motion to recuse Judge Platt was moot
    because Judge Delucchi had been assigned to the case, but defense counsel noted
    that he would ―object if [Judge Platt] comes back to preside over the trial and
    replaces Judge Delucchi.‖ Presiding Judge Sarkisian denied the motion.
    Judge Delucchi eventually declared a mistrial because the first penalty
    phase jury could not reach a verdict. In better health, Judge Platt returned to
    preside over the penalty retrial. Defendant did not renew his motion to recuse
    Judge Platt.
    63
    b. Analysis
    Defendant claims that the trial court prejudicially erred by denying his
    motions to declare a mistrial and to recuse Judge Platt. Defendant brought those
    motions during the first penalty phase trial, alleging that Judge Platt‘s health
    condition, the jury‘s knowledge of it, and defense counsel‘s sensitivity to it
    violated his constitutional rights to a fair trial and effective assistance of counsel.
    He now maintains that Judge Platt‘s presence prejudiced him during both the
    penalty phase trials. We separately address his claims as to each trial.
    With respect to the first penalty trial, defendant‘s claims are moot. A claim
    is moot when the grounds for the claim no longer exist. (3 Witkin, Cal. Procedure
    (5th ed. 2008) Actions, § 21, p. 86; see Eye Dog Foundation v. State Bd. of Guide
    Dogs for Blind (1967) 
    67 Cal. 2d 536
    , 541.) As defendant conceded at the hearing,
    Presiding Judge Sarkisian correctly denied his motion to recuse Judge Platt
    because, at the time that it was before the court, Judge Platt was no longer
    supervising the trial. Similarly, even if defendant would have been entitled to a
    mistrial had the first penalty trial resulted in a sentence of death, that trial was
    ultimately inconclusive, and a mistrial was declared. In essence, defendant had
    already obtained the relief to which he would have been entitled if his motion for a
    mistrial had been successful. His challenge to the trial court‘s ruling on his
    motion for a mistrial is therefore moot.
    With respect to the penalty retrial, defendant has failed to preserve his
    claim that Judge Platt should have been recused. ―If a judge refuses or fails to
    disqualify herself, a party may seek the judge‘s disqualification. The party must
    do so, however, ‗at the earliest practicable opportunity after discovery of the facts
    constituting the ground for disqualification.‘ ‖ (People v. Scott (1997) 
    15 Cal. 4th 1188
    , 1207; see § 1180.) At a hearing with Judge Van Oss on October 12, 1999,
    counsel for defendant was notified that Judge Platt would be reassigned to the
    64
    second penalty trial following his recovery. At that hearing the trial court set a
    deadline of October 22, 1999, for any motions for Judge Platt‘s recusal pursuant to
    Code of Civil Procedure section 170.6. This hearing and the announced deadline
    put defendant on notice that Judge Platt would be reassigned and that he should
    raise any objections to that reappointment promptly. Defendant failed to bring a
    motion to recuse Judge Platt from supervising the penalty retrial. Accordingly, he
    has forfeited this claim on appeal.
    10. Juror misconduct
    Defendant contends that there was juror misconduct in his penalty retrial
    and that the trial court erred in denying his motion for a new trial without an
    evidentiary hearing on the alleged juror misconduct. According to defendant, the
    alleged misconduct and the trial court‘s deficient means of addressing it deprived
    him of the constitutional right to an impartial and unbiased jury, to due process of
    law, to a fair trial, to a reliable and individualized determination of punishment
    based on material facts and evidence adduced at trial, and to freedom from cruel
    and unusual punishment.
    a. Background
    As explained more fully below (post, at pp. 107–109), Juror No. 7‘s wife
    overheard certain conversations between the prosecutor and the family of victim
    Besun Yu during trial proceedings, and Juror No. 7 admitted that he and his wife
    had had a brief conversation about the trial. Juror No. 7‘s wife also conversed
    with a juror in the first penalty trial who had come to watch the proceedings in the
    penalty retrial. During that brief conversation, the juror from the first penalty trial
    explained to Juror No. 7‘s wife that the questioning of Quigel was lengthy because
    the defense had to lay a foundation for his testimony. Defense investigator
    Michael Kale recalled the conversation differently. He said he overheard the juror
    65
    from the first penalty trial say to Juror No. 7‘s wife that ―someone couldn‘t be
    swayed.‖ When the trial court interviewed Juror No. 7‘s wife, she testified that
    the juror from the first penalty trial had ―made a comment that there were a couple
    of women on the trial or on the jury, the first trial, that she thought had discussed
    their take of it with Mr. Fox [defense counsel]. [¶] . . . . [¶] . . . and how he might
    use that information to change this trial. I don‘t know where she was going with
    it, but that was my interpretation of it.‖ Speaking to the defense counsel, Juror
    No. 7‘s wife said that she could surmise that defense counsel was not one of the
    previous juror‘s ―favorite people.‖ Defense counsel moved for a mistrial on the
    basis of these facts.
    After the trial court denied the defense‘s motion for a mistrial, defense
    counsel moved to have Juror No. 7 removed from the jury. Defense counsel
    argued that there was a substantial likelihood that Juror No. 7‘s wife, who had
    extraneous information from conversations she overheard in the courtroom, would
    taint Juror No. 7‘s deliberations. The trial court denied the motion, finding that
    ―nothing has been communicated to [Juror No. 7].‖
    After the jury returned a verdict, defense moved for a new trial on the
    grounds that Juror No. 7 had refused to deliberate and several other jurors had
    discussed extraneous matters during deliberations, including the jurors‘ personal
    experiences with drugs and whether defendant would actually be executed if he
    received the death penalty. Six jurors‘ statements taken by a defense investigator
    supported the motion. Three statements were sworn and signed by the jurors. The
    prosecution filed a written opposition.
    According to a signed statement from Juror No. 1, Juror No. 7 ―was angry
    from the beginning,‖ ―discussed that his wife had been questioned in court and
    that it would not be a good idea to bring family members to view the
    proceedings,‖ and ―said that he would never vote for life.‖ Juror No. 1 reported
    66
    that another juror ―discussed his own drug use and drug use of his family members
    and strongly maintained that drugs were not a mitigating factor in this case.‖
    Further, ―[t]here [was] some discussion about what actually would happen to
    Louis Peoples if he were sentenced to death. [Another juror] explained to the
    jurors that Louis would actually be much safer if he were on death row than if he
    were in the general prison population, since he would get his own cell and he
    would be protected. [That same juror] also believed the death penalty would be
    abolished in years to come and Louis would never be executed.‖
    According to a signed statement from Juror No. 3, the jurors ―talked about
    drugs a lot,‖ including several of the jurors‘ personal experiences with drugs.
    Juror No. 3 also mentioned that Juror No. 7 was very angry on account of his
    wife‘s interactions with the trial court. According to Juror No. 5‘s signed
    statement, the jurors believed that defendant would never be executed, and they
    discussed other states that were abolishing the death penalty and the fact that
    California was likely not far behind.
    Defense investigator Karen Fleming‘s report of her interviews with three
    other jurors corroborated the assertions in the three signed statements that the
    jurors had spoken about their personal experiences with drug use and the future of
    the death penalty in California.
    The trial court denied the defense motion for a new trial. The court noted
    that three of the statements supporting the motion were unsworn but nonetheless
    considered all six statements. The court concluded that it could not find that Juror
    No. 7 had refused to deliberate. Instead, Juror No. 7 ―had a position about the
    penalty based upon the evidence, as far as the court can see.‖ Regarding the
    jurors‘ discussions about the future of the death penalty and their personal
    experiences with drugs, the trial court found ―an insufficient basis [to conclude]
    . . . that it impacted or affected their decisionmaking process.‖
    67
    b. Refusal to remove Juror No. 7 and denial of motion for new
    trial
    Defendant contends that the trial court erred in refusing to remove Juror
    No. 7 and in denying his motion for a new trial on the ground that Juror No. 7
    refused to deliberate. ―[W]here a verdict is attacked for juror taint, the focus is on
    whether there is any overt event or circumstance . . . which suggests a likelihood
    that one or more members of the jury were influenced by improper bias.‖ (In re
    Hamilton (1999) 
    20 Cal. 4th 273
    , 294.) ―On appeal, the determination whether
    jury misconduct was prejudicial presents a mixed question of law and fact
    ‗ ―subject to an appellate court‘s independent determination.‖ ‘ [Citation.] We
    accept the trial court‘s factual findings and credibility determinations if supported
    by substantial evidence.‖ (People v. Tafoya (2007) 
    42 Cal. 4th 147
    , 192.)
    After receiving information indicating that Juror No. 7‘s wife may have
    been exposed to the prosecutor‘s conversations with the Yu family, the trial court
    interviewed several witnesses. On the basis of these interviews, the trial court
    found that Juror No. 7 had not been exposed to the information. This finding was
    supported by substantial evidence. Accordingly, defendant‘s claim concerning the
    trial court‘s decision not to remove Juror No. 7 must be rejected.
    Nor did the trial court abuse its discretion in denying defendant‘s
    postverdict motion for a new trial on the basis of juror misconduct. Although the
    postverdict interviews with several jurors suggest that Juror No. 7 was unhappy
    that his wife was interrogated by the trial court, they do not show that Juror No. 7
    had failed to deliberate. One of the other jurors interviewed explained that Juror
    No. 7‘s opinion on the appropriate penalty was formed on the basis of the
    ―planning and execution style of the killings.‖ The trial court reasonably
    concluded that the interview statements were consistent with the possibility that
    68
    Juror No. 7 simply had a strong opinion about the appropriate penalty based on the
    evidence.
    c. Extraneous material
    The trial court did not abuse its discretion in declining to order an
    evidentiary hearing concerning the jurors‘ alleged discussions about their personal
    experiences with drugs and the future of the death penalty. ―The trial court has the
    discretion to conduct an evidentiary hearing to determine the truth or falsity of
    allegations of jury misconduct, and to permit the parties to call jurors to testify at
    such a hearing. [Citation.] Defendant is not, however, entitled to an evidentiary
    hearing as a matter of right. Such a hearing should be held only when the court
    concludes an evidentiary hearing is ‗necessary to resolve material, disputed issues
    of fact.‘ [Citation.] ‗The hearing should not be used as a ―fishing expedition‖ to
    search for possible misconduct, but should be held only when the defense has
    come forward with evidence demonstrating a strong possibility that prejudicial
    misconduct has occurred. Even upon such a showing, an evidentiary hearing will
    generally be unnecessary unless the parties‘ evidence presents a material conflict
    that can only be resolved at such a hearing.‘ ‖ (People v. Avila (2006) 
    38 Cal. 4th 491
    , 604.) ―The trial court‘s decision whether to conduct an evidentiary hearing
    on the issue of juror misconduct will be reversed only if the defendant can
    demonstrate an abuse of discretion.‖ (People v. Dykes (2009) 
    46 Cal. 4th 731
    ,
    810.)
    To the extent that the jurors‘ statements concerned how they were affected
    by what other jurors said about their personal experiences with drugs or the future
    of the death penalty, they are inadmissible under Evidence Code section 1150,
    subdivision (a), as indications of juror mental processes. To the extent that
    defendant alleges juror misconduct on the grounds that both topics were
    69
    mentioned, we have previously held that discussion of this sort, grounded in the
    common knowledge or experience of laypersons, is ―an inevitable feature of the
    jury system‖ (People v. 
    Dykes, supra
    , 46 Cal.4th at p. 812). Specifically, we have
    held that statements of jurors regarding their estimation of the probability of an
    execution ―come within the ambit of ‗knowledge and beliefs about general matters
    of law and fact that find their source in everyday life and experience,‘ which jurors
    necessarily bring to their deliberations.‖ (People v. Cox (1991) 
    53 Cal. 3d 618
    ,
    696, quoting People v. Marshall (1990) 
    50 Cal. 3d 907
    , 950.) As to juror
    discussion of their personal experiences with drugs, we held in People v. Yeoman
    (2003) 
    31 Cal. 4th 93
    , 162 that, ―while certainly a proper subject of expert
    testimony, [this subject] has become a subject of common knowledge among
    laypersons‖ and ―‗ [j]urors cannot be expected to shed their backgrounds and
    experiences at the door of the deliberation room.‘ [Citation.]‖
    11. Supervision of jury deliberations
    Defendant contends that, in several respects, the trial court‘s supervision of
    jury deliberations in the penalty retrial coerced a death verdict in violation of his
    state and federal constitutional rights to due process, to a fair trial, to present a
    defense, to confrontation, to a reliable and individualized sentencing
    determination, and to freedom from cruel and unusual punishment.
    a. Background
    The jury for the penalty retrial began deliberating on May 17, 2000. On
    May 30, 2000, after approximately 20 hours of deliberation, the jury foreperson
    informed Judge Platt that the jury had reached an impasse and requested ―further
    instructions.‖ Rather than poll the jury to determine whether there was a
    reasonable probability of reaching a verdict, the trial court inquired as to the
    number of ballots the jury had taken and the allocation of votes at each ballot. The
    70
    foreperson reported that the jury had taken six ballots. The first ballot was six and
    two, with four undecided. The second ballot was eight and two, with two
    undecided. The third ballot was seven and three, with two undecided. The fourth
    ballot was eight and two, with two undecided. The fifth ballot was nine and two,
    with one undecided. The last ballot was nine and three.
    After learning this information, the trial court advised the jury: ―I‘ve
    calculated up the amount of time that you‘ve actually been in discussions, whether
    it‘s been voting, or whether — the time you‘ve actually been in the deliberation
    room going about your discussions. And it totaled about 20 hours of time that
    you‘ve actually been in there during discussions. [¶] So over the days since the
    17th of May, it has been about 20 hours of actual discussion time. Okay? [¶]
    Now, when one is in the room and doing the discussions, I‘m sure that that
    appears to be a considerable amount of time. [¶] We have come a very long way.
    And the issues that you are talking about are literally life and death issues. And
    the only instruction I can give you at this point in time is 20 hours of discussion
    does not amount to an impasse that we cannot justify going further and having
    further discussion. [¶] At what point in time that is or is not the case, I don‘t
    know. But I think you owe it to yourselves to continue to talk about the matter
    and see if there is further discussion. See if there is any change in any fashion.
    Before we decide whether or not we are truly at an impasse. [¶] So my instruction
    to you at this point in time is, as I said this morning — I didn‘t choose those words
    lightly — it‘s time again to roll up your sleeves and go back to work.‖
    At the end of the day, the court further advised the jury: ―I‘m going to
    reread four of the instructions that have previously been read to you. There is no
    greater or less significance to those instructions. They merely are applicable to the
    issue of how you go about or continue about your deliberations. Other than that,
    they have no greater or less importance. [¶] And because the law says that I have
    71
    to be very careful about what position the court takes, I want to start off with the
    instruction that says I have not intended by anything that I have said or done, or by
    any question that I may have asked, or by any ruling that I may have made, to
    intimate or suggest what you should find the facts to be, or that I believe or
    disbelieve any witness. [¶] If anything I have done or said has seemed to so
    indicate, you will disregard it and form your own conclusions. [¶] The reason I
    wanted to start with that is by telling you that there is a lot of deliberation left to be
    had doesn‘t mean that you need to or should move or change your positions. That
    is entirely up to you as individuals. [¶] But my job and my function is to keep
    things moving as long as I think they can still move. So I have to be very delicate
    in the way I go about doing that. [¶] I want you to continue deliberating. I want
    you to continue discussing until I have to decide that there is or is not the ability to
    reach a verdict. Okay? So it‘s a very touchy issue. [¶] And I don‘t want you to
    misperceive what the court‘s position is. I have no position other than to move
    you along until and if you can reach a verdict. [¶] . . . [¶] The People and the
    defendant are entitled to the individual opinion of each juror. Each of you must
    consider the evidence for the purpose of reaching a verdict, if you can do so. Each
    of you must decide the case for yourself, but should do so only after discussing the
    evidence and instructions with the other jurors. [¶] Do not hesitate to change an
    opinion if you are convinced it is wrong. However, do not decide any question in
    a particular way because a majority of jurors or any of them favor that decision.
    [¶] . . . [¶] The attitude and conduct of jurors at all times are very important. It is
    rarely helpful for a juror at the beginning of deliberation to express an emphatic
    opinion on the case, or to announce a determination to stand for a certain verdict.
    [¶] When one does that at the outset, a sense of pride may be aroused; and one
    may hesitate to change a position, even if shown it is wrong. [¶] Remember that
    you are not partisans nor advocates in this matter. You are the impartial judges of
    72
    the facts. [¶] That‘s the extent of the instructions that I wanted to reread to you at
    this point in time. [¶] And I think I made a comment to counsel at one point after
    you folks had left that the 20 hours or so — now 21 hours, 21 and a half hours —
    that you‘ve spent at this point in time with the issues that you are dealing with is a
    drop in the bucket. [¶] And until I decide that further deliberations are of no avail,
    then I‘ll have you continue to roll up your sleeves and go to work as best you can.
    [¶] One of the ways that I would suggest you do it — and it is merely a suggestion.
    Because obviously now there have been some positions taken. During the
    discussions that you have in the next few days, if you take the other side‘s
    position, advocate it as if it were yours, see whether or not that changes your own
    thoughts about your position. [¶] Discuss it again with the other jurors. Do that
    talking, do that deliberating. And then we‘ll see where we are.‖
    At the end of the next day, May 31, 2000, the jury sent the trial court a note
    indicating that the jury planned to adjourn at 12:30 p.m. on June 1 and not to
    deliberate on June 2. Juror No. 5 also communicated to the court that he or she
    had planned to drive his or her daughter‘s eighth grade class on a trip to Yosemite
    from June 7 to June 9. The trial court brought the jury back and said, ―I don‘t
    have a problem with the [proposed deliberation schedule].‖ The court then
    discussed the class trip with Juror No. 5:
    ―THE COURT: . . . . The more difficult issue, [Juror No. 5], is June 7th,
    8th and 9th. It‘s for your daughter‘s school trip? Going to where?
    ―[Juror No. 5]: Yosemite.
    ―THE COURT: And without you going along, what does that do? Your
    note says that another parent has already backed out. That puts them in difficult
    straits.
    ―[Juror No.5]: Well, I‘m a driver. I‘ll drive kids and chaperone.
    73
    ―THE COURT: What I need you to try to do is see if they can rustle
    somebody else up to do that driving. Okay? ‘Cause if you can do that today when
    you get home, then we‘ll know tomorrow. Try and give them enough lead time.
    [¶] If not, then I‘ll have to take a look tomorrow and see what discussions are
    being had, where you folks are. If there‘s momentum going in the discussion, I
    don‘t want to take the time off. If perhaps it‘s better to take the time off and take a
    breather, we can do that. [¶] So I can‘t tell you yes or no right now. Obviously,
    we‘re getting to some very critical stages. And I‘ve got to try and balance
    everybody‘s interest. Yours as well as the rest of the folks. [¶] So I will try to do
    what I can do. But if you can find whether or not they can take care of that with
    somebody else — [¶] Friday obviously isn‘t a problem, ‘cause we‘re not going on
    Friday. Just the 7th and 8th that I‘ve got problems with. [¶] But see whether or
    not it can be addressed first. And if not, then I‘ll see what can be done. All
    right?‖
    On the morning of June 1, 2000, the jury requested access to certain
    demonstratives that the prosecutor used during closing argument but that were not
    in evidence. Together, the demonstratives formed a timeline of the events
    underlying the crimes for which defendant was convicted.
    Defense counsel objected to allowing the jury to access the demonstratives
    because they were not in evidence. Nonetheless, the trial court allowed the jury
    access. The court admonished the jury that the exhibits were not in evidence and
    that they could only be used to aid in discussions of and deliberations on the
    evidence. The court also indicated that the jury could view other exhibits if they
    so requested. Before sending the demonstratives to the jury, the court marked
    them as court‘s exhibits OOOO, PPPP, and QQQQ.
    A short time later, the jury requested access to certain demonstratives that
    defense counsel used during his closing argument. After some discussion between
    74
    trial counsel and the court to determine which demonstratives the jury wished to
    see, the court eventually allowed the jury to access four demonstratives. The first
    demonstrative, which was marked RRRR, provided defense counsel‘s definition
    of a ―mitigating circumstance.‖ The other three demonstratives, marked court‘s
    exhibits SSSS, TTTT, and UUUU, together formed a list of 22 examples of
    mitigating circumstances. The court complied with the jury‘s request but
    admonished the jury that the exhibits contained defense counsel‘s interpretation of
    the law.
    Shortly thereafter, the jury requested access to another demonstrative used
    during defense counsel‘s closing argument. This demonstrative was a poster
    board offering the defense‘s interpretation of a capital jury‘s task during the
    penalty phase. The demonstrative stated: ―MUST VOTE LIFE IF MITIGATION
    OUTWEIGHS AGGRAVATION [¶] MUST VOTE LIFE IS [sic] MITIGATION
    AND AGGRAVATION ARE EQUAL [¶] MUST VOTE LIFE IF
    AGGRAVATION OUTWEIGHS MITIGATION, BUT NOT SUBSTANTIALLY
    [¶] MUST VOTE LIFE IF AGGRAVATION SUBSTANTIALLY OUTWEIGHS
    MITIGATION, BUT YOU BELIEVE DEATH IS NOT APPROPRIATE [¶]
    MAY VOTE DEATH IF AGGRAVATION SUBSTANTIALLY OUTWEIGHS
    MITIGATION AND YOU BELIEVE DEATH IS APPROPRIATE.‖ This
    demonstrative was marked as court‘s exhibit VVVV.
    The court refused to allow the jury access to this demonstrative during
    deliberations. The court explained that exhibit VVVV was different from exhibits
    OOOO–UUUU because it was a ―comment about the ultimate issue [the jurors]
    are to do. That is their ultimate responsibility in casting a vote.‖
    In the middle of the day on June 1, 2000, the trial court returned to Juror
    No. 5‘s request to take time off from June 7 to June 9:
    75
    ―THE COURT: Before I send you home for the weekend, we need to,
    [Juror No. 5], did you get an answer to —
    ―[Juror No. 5]: Well, my daughter‘s teacher told me that he really needs
    me.
    ―THE COURT: With emphasis added, I take it.
    ―[Juror No. 5]: Right. And that he wants me to call him ASAP as soon as I
    have some indication from you.
    ―THE COURT: All right. Has it been discussed with the rest of the jurors
    about what that does?
    ―[Juror No. 5]: Well, they know about it.
    ―THE COURT: Okay. I want to ask you one more time to exercise. Go
    back, discuss whether to take those three days off. So we‘ll have Monday next
    week at one, and then Tuesday and Wednesday. [¶] Is it Wednesday, Thursday,
    and Friday? So we‘d go Monday, Tuesday of next week. We take the 7th, 8th and
    9th off. Then we‘d come back the 12th. [¶] Why don‘t you go back, talk about
    that, see if that really sets anybody‘s plans askew. [¶] I know we talked about the
    end of June. That still gives us a lot of time for you to be able to deliberate or talk
    about it. [¶] Go back and think about that for a moment and come back and let me
    know, [Juror No. 5], if you would, what the consensus or the agreement is. Then
    I‘ll make a decision. [¶] We‘ve got to let the folks know for their purpose. It‘s an
    important trip to the kids. If we can work around it, I said I‘ll try to work around
    it. [¶] So why don‘t you folks talk about it for a moment.‖ After a short break, the
    foreperson informed the trial court what the jury had decided: ―We discussed it.
    We are going to take those days off, and we are going to have a — we have
    committed ourselves to a concentrated effort thereafter.‖
    On June 6, 2000, the jury returned a verdict of death.
    76
    b. Failure to poll the jury
    According to defendant, the court had ―a duty to determine whether there
    [was] a ‗reasonable probability‘ further deliberations would prove useful in
    resolving differences, and the means to do so is by inquiry of the jurors
    themselves.‖ We review a trial court‘s ―determination whether there is a
    reasonable probability of agreement‖ for an abuse of discretion. (People v. Harris
    (2005) 
    37 Cal. 4th 310
    , 363; see § 1140.) ―While the trial court has a duty to avoid
    coercing the jury to reach a verdict, . . . inquiry as to the possibility of agreement
    is ‗not a prerequisite to denial of a motion for mistrial.‘ ‖ (People v. Bell (2007)
    
    40 Cal. 4th 582
    , 616–617.) Thus, a trial court does not abuse its discretion merely
    by declining to poll the jury as to the likelihood of reaching a unanimous verdict.
    Further, the trial court‘s inquiry was reasonable under the circumstances.
    In People v. Proctor (1992) 
    4 Cal. 4th 499
    , 538, the jury informed the trial court
    that they had reached an impasse in their deliberations and asked for further
    instructions. The trial court asked the foreperson for the allocation of the jurors‘
    votes. We approved that procedure, determining that it was conducted for the
    purpose of determining whether further deliberations would be fruitful. (Id. at
    p. 539.) Here, each successive ballot showed changes in the jurors‘ individual
    determinations, suggesting that the jury had not reached an insurmountable
    impasse. Under these circumstances, the trial court conducted a reasonable
    inquiry into whether it was reasonably probable that further deliberations would be
    productive. Thus, the trial court did not abuse its discretion in declining to poll the
    jury as to the probability of reaching a verdict.
    c. Statements to the jury during deliberations
    Defendant contends that the trial court‘s statements to the jury during
    deliberations coerced the jury to reach a death verdict. In particular, defendant
    maintains that the trial court‘s statement that 21.5 hours of deliberation was a
    77
    ―drop in the bucket‖ and the observation that deliberations could potentially
    continue until the end of the month of June led the jury to believe that they had to
    render a verdict. Defendant also objects to the court‘s suggestion to the jury that
    they ―take the other side‘s position, advocate it as if it were yours, see whether or
    not that changes your own thoughts about your position.‖
    Coercion occurs where ―the trial court, by insisting on further deliberations,
    expresse[s] an opinion that a verdict should be reached.‖ (People v. Rodriguez
    (1986) 
    42 Cal. 3d 730
    , 775.) ― ‗Although the court must take care to exercise its
    power without coercing the jury into abdicating its independent judgment in favor
    of considerations of compromise and expediency [citation], the court may direct
    further deliberations upon its reasonable conclusion that such direction would be
    perceived ― ‗as a means of enabling the jurors to enhance their understanding of
    the case rather than as mere pressure to reach a verdict on the basis of matters
    already discussed and considered.‘ ‖ ‘ ‖ (People v. Debose (2014) 
    59 Cal. 4th 177
    ,
    209.)
    The trial court‘s statements to the jury, given the totality of the
    circumstances, were not coercive. Although the trial court‘s statement that 21.5
    hours of deliberation was a ―drop in the bucket,‖ when read in isolation, could be
    construed as an inducement to reach a verdict, the trial court‘s complete remarks
    do not suggest that the court crossed the line from encouragement to coercion.
    Similarly, the trial court‘s passing remark that deliberations could continue until
    the end of the month was not unreasonable given that the court had previously
    informed jurors that their service could be required until the end of June. Further,
    the trial court permitted the jury flexibility over the schedule of their deliberations.
    The record shows that the trial court was willing to accommodate a wide range of
    personal commitments on the part of the jury. For example, after learning that
    78
    Juror No. 5 could not find a replacement driver for his or her child‘s three-day
    class trip, the court planned to allow the jury to recess for three days.
    Finally, defendant contends that the trial court‘s suggestion to the jury that
    they reverse role-play violates our decision in People v. Gainer (1977) 
    19 Cal. 3d 835
    , disapproved on another ground in People v. Valdez (2012) 
    55 Cal. 4th 82
    ,
    163. In Gainer, we held that ―it is error for a trial court to give an instruction
    which either (1) encourages jurors to consider the numerical division or
    preponderance of opinion of the jury in forming or reexamining their views on the
    issues before them; or (2) states or implies that if the jury fails to agree the case
    will necessarily be retried.‖ (Id. at p. 852.) The lower courts that have addressed
    the kind of instruction that the trial court gave here have determined that it does
    not violate Gainer. (People v. Whaley (2007) 
    152 Cal. App. 4th 968
    , 983.) As the
    court in Whaley concluded, several features distinguish a case like this one from
    Gainer. First, the trial court‘s suggestion that the jurors reverse role-play did not
    require the jurors to consider their minority status on the jury. Second, the court
    instructed the jury with CALJIC No. 17.40, emphasizing that the jurors were to
    use their independent judgment and come to their own individualized
    determinations. Third, the court suggested, but did not order, the jurors to engage
    in the reverse role-playing exercise. Under the circumstances, the instruction did
    not ―direct[] the jury that it was required to reach a verdict, place[] any constraints
    on an individual juror‘s responsibility to weigh and consider the evidence, or
    coerce[] the jurors into abdicating their independent judgment in favor of
    compromise and expediency.‖ (Whaley, at p. 982.)
    d. Jury’s access to certain prosecution and defense exhibits
    Defendant contends that the trial court improperly permitted the jury to
    review certain demonstratives used during the prosecutor‘s closing argument and
    79
    improperly prohibited the jury from reviewing certain demonstratives used during
    defense counsel‘s closing argument. ―[A] trial court‘s inherent authority regarding
    the performance of its functions includes the power to order argument by counsel
    to be reread to the jury or to be furnished to that body in written form. The
    exercise of such power must be entrusted to the court‘s sound discretion.‖ (People
    v. Gordon (1990) 
    50 Cal. 3d 1223
    , 1260, overruled on another ground in People v.
    
    Edwards, supra
    , 54 Cal.3d at p. 835.)
    The trial court allowed the jury, at the jury‘s request, to view three posters
    used during the prosecutor‘s closing argument, which provided the timeline of
    defendant‘s crimes, and four posters used during defense counsel‘s closing
    argument, which offered defense counsel‘s definition and examples of a mitigating
    circumstance. It does not appear that the trial court was stacking the deck against
    the defense. The trial court provided the jury with the exhibits they requested
    from both the prosecution and the defense. Regarding exhibit no. VVVV, the trial
    court determined that this exhibit, unlike the others, too closely addressed the
    jury‘s ultimate task in the penalty phase. The trial court also excluded two defense
    posters that were not responsive to the jury‘s requests. On these facts, we cannot
    say that the trial court‘s decisions were an abuse of discretion.
    e. Denial of motion for mistrial
    At trial, defendant brought a motion for a mistrial on the ground that the
    trial court coerced the death verdict. The trial court denied the motion. Defendant
    now claims that the trial court erred. We review this claim for an abuse of
    discretion. (People v. 
    Gonzales, supra
    , 52 Cal.4th at p. 314.) Because we do not
    find that the trial court erred in its supervision of the jury‘s deliberations, this
    claim must be denied.
    80
    D. Judicial Misconduct Claims
    As an initial matter, defendant has requested that we take judicial notice of
    the decision of the Commission on Judicial Performance removing Judge Platt
    from judicial office two years after the completion of defendant‘s trial (Inquiry
    Concerning Platt (2002) 48 Cal.4th CJP Supp. 227) as well as Judge Platt‘s
    temporary suspension from the practice of law for the same underlying incidents.
    We deny this request as the circumstances giving rise to Judge Platt‘s removal
    from the bench and subsequent suspension are irrelevant to the proceedings
    against defendant.
    1. Ex parte communications
    a. Background
    Judge Michael Platt presided over defendant‘s guilt phase trial, part of his
    first penalty phase trial, and his second penalty phase trial. Before the guilt phase,
    defendant moved to disqualify Judge Platt. Code of Civil Procedure section 170.1,
    former subdivision (a)(6)(C) (now subd. (a)(6)(A)(iii)) requires a judge to be
    disqualified where ―[f]or any reason: [¶] . . . [¶] A person aware of the facts might
    reasonably entertain a doubt that the judge would be able to be impartial.‖ In his
    motion, defendant alleged that Judge Platt had engaged in ex parte
    communications on three occasions, and these communications showed that Judge
    Platt could not be impartial. First, Judge Platt asked Lester Fleming, the District
    Attorney‘s homicide unit supervisor, whether he intended to oppose defendant‘s
    motion to change venue. Fleming indicated that the District Attorney would
    oppose the motion. Second, Judge Platt answered defense funding request
    supervisor Judge Demetras‘s question as to whether the District Attorney would
    oppose the venue motion. Finally, Judge Platt spoke with counsel for defendant‘s
    wife, Carol Peoples, when the latter approached the bench to disclose Mrs.
    Peoples‘s intention to invoke the spousal privilege against testifying.
    81
    San Joaquin County Counsel filed an answer to the motion, and Judge Platt
    and Deputy District Attorney Fleming filed supporting declarations. In Judge
    Platt‘s declaration, he acknowledged all three ex parte conversations, but denied
    any bias against defendant. Defendant responded with a supplemental declaration,
    which asked the court to take judicial notice of a case where Judge Demetras was
    recused for ex parte communications with Judge Platt, who at the time was a
    prosecutor. Defense investigator Michael Kale also filed a declaration detailing
    his interviews with Deputy District Attorney Fleming and Carol Peoples‘s
    attorney.
    Applying the ―objective person‖ standard, Judge Duane Martin determined
    that an average person would view Judge Platt‘s conversation with Carol
    Peoples‘s attorney as the judge‘s attempt to avoid procedural obstacles arising
    from the case‘s publicity, while doing his best to avoid communicating about the
    merits of the case. Judge Martin opined that Judge Demetras‘s question to Judge
    Platt whether the district attorney planned to oppose a venue change was ―just one
    of th[o]se remarks that people will make.‖ Finally, Judge Martin emphasized that
    Judge Platt‘s exchange with Deputy District Attorney Fleming was made in public
    and concluded that Judge Platt‘s question whether Fleming would oppose a venue
    change was merely the judge innocuously trying to plan for future hearing dates.
    After finding no reasonable doubt of impartiality, Judge Martin denied the motion.
    b. Analysis
    Defendant claims Judge Martin erred when he denied the motion to
    disqualify Judge Platt, depriving him of his state and federal constitutional due
    process rights to be tried by a fair and impartial judge.
    To the extent that defendant‘s claim is that his statutory rights under Code
    of Civil Procedure section 170.1 were violated, he has failed to preserve it. An
    82
    order denying a motion to disqualify a judge is ―not an appealable order and may
    be reviewed only by a writ of mandate from the appropriate court of appeal sought
    only by the parties to the proceeding. The petition for the writ shall be filed and
    served within 10 days after service of written notice of entry of the court‘s order
    determining the question of disqualification.‖ (Code Civ. Proc., § 170.3, subd.
    (d).) In People v. 
    Panah, supra
    , 
    35 Cal. 4th 395
    , 444, we observed that the statute
    ―means what it says . . . [and] provides the exclusive means for seeking review of
    a ruling on a challenge to a judge, whether the challenge is for cause or
    peremptory.‖ Since defendant failed to file a petition for a writ of mandate, he has
    forfeited his claim on appeal.
    But we may review defendant‘s claim to the extent that it concerns his state
    and federal constitutional rights to due process. (People v. Chatman (2006) 
    38 Cal. 4th 344
    , 362–363.) Under state and federal law, a defendant has a due process
    right to an impartial trial judge. (Arizona v. Fulminante (1991) 
    499 U.S. 279
    , 309;
    People v. Brown (1993) 
    6 Cal. 4th 322
    , 332.) ―[S]ection 170.3(d) does not apply
    to, and hence does not bar, review (on appeal from a final judgment) of
    nonstatutory claims that a final judgment is constitutionally invalid because of
    judicial bias.‖ (Brown, at p. 335.)
    ―[T]he [federal] due process clause operates more narrowly‖ than Code of
    Civil Procedure section 170.1, subdivision (a)(6)(A)(iii) and justifies judicial
    disqualification only under the ― ‗most ―extreme facts.‖ ‘ ‖ (People v. 
    Cowan, supra
    , 50 Cal.4th at pp. 456–457, citing Caperton v. A.T. Massey Coal Co. (2009)
    
    556 U.S. 868
    , 877, 886–887.) To establish a federal due process violation, ― ‗there
    must exist ― ‗the probability of actual bias on the part of the judge.‘ ‖ ‘ ‖ (Cowan,
    at p. 456.)
    Defendant‘s arguments concerning Judge Platt‘s ex parte communications
    fail to demonstrate a substantial probability of actual bias on the part of Judge
    83
    Platt. Judge Martin‘s review of the disqualification motion is consistent with our
    rulings on ex parte communications involving judges. For example, in People v.
    Mendoza (2000) 
    24 Cal. 4th 130
    , we concluded that an ex parte meeting between a
    judge and a prosecutor on the question of jury misconduct did not establish
    judicial bias. (Id. at pp. 196–197.) We came to the same conclusion in People v.
    
    Brown, supra
    , 
    6 Cal. 4th 322
    , in which a judge informed the defense ex parte that
    efforts to contact jurors after the verdict would not affect a hearing to modify a
    death verdict. (Id. at pp. 328–329, 336–337.) Accordingly, we reject defendant‘s
    claims that his due process rights were violated by Judge Platt‘s ex parte
    communications.
    2. Judicial bias
    Defendant contends that Judge Platt was biased and that he committed
    numerous instances of judicial misconduct in violation of defendant‘s
    constitutional rights to an impartial adjudicator, a fair trial, effective assistance of
    counsel, and his right to be free from cruel and unusual punishment. Defendant
    further contends that Judge Platt, due to his alleged bias, was without jurisdiction
    to impose the death penalty.
    ―A criminal defendant has due process rights under both the state and
    federal Constitutions to be tried by an impartial judge.‖ (People v. 
    Cowan, supra
    ,
    50 Cal.4th at p. 455; see Arizona v. 
    Fulminante, supra
    , 499 U.S. at p. 309; People
    v. 
    Brown, supra
    , 6 Cal.4th at p. 332.) ―[W]hile a showing of actual bias is not
    required for judicial disqualification under the due process clause, neither is the
    mere appearance of bias sufficient. Instead, based on an objective assessment of
    the circumstances in the particular case, there must exist ‗ ―the probability of
    actual bias on the part of the judge or decisionmaker [that] is too high to be
    constitutionally tolerable.‖ ‘ ‖ (People v. Freeman (2010) 
    47 Cal. 4th 993
    , 996,
    84
    quoting Caperton v. A.T. Massey Coal 
    Co., supra
    , 556 U.S. at p. 877.) The high
    court has emphasized that only the most ―extreme facts‖ justify judicial
    disqualification based on the due process clause. 
    (Caperton, supra
    , at pp. 887–
    888.) The high court in Caperton, for example, held that a justice on the West
    Virginia Supreme Court of Appeal violated the defendant‘s due process rights by
    not recusing himself when the president of the defendant corporation, which had
    lost at trial, had donated $3 million to the justice‘s election campaign at a time
    when it was likely that the corporation would seek review in that court. (Id. at
    pp. 886–887.)
    Defendant claims Judge Platt showed his bias in several ways. First,
    defendant says Judge Platt skewed the case against the defense by making
    erroneous rulings in the prosecution‘s favor, including denying defendant‘s
    motions for continuances, excluding evidence of defendant‘s remorse, limiting the
    scope of defense counsel‘s cross-examination of prosecution expert Dr. Mayberg,
    and admonishing the jury that one of defense counsel‘s questions was improper.
    Second, defendant says Judge Platt refused to control numerous instances
    of prosecutorial misconduct, refused to allow defense counsel to object on the
    ground of prosecutorial misconduct in front of the jury, and ―transfer[red]‖ blame
    for the prosecutor‘s misconduct to defense counsel.
    Third, outside the jury‘s presence, Judge Platt used colorful and sometimes
    vulgar and disrespectful language to communicate with defense counsel. For
    example, in discussing the schedule on which trial counsel would be expected to
    prepare proposed jury instructions for the guilt phase, Judge Platt remarked, ―I
    specifically and without equivocation ordered counsel to be available for this case
    and this case only. And I don‘t care if it meant not eating, not sleeping, not taking
    a shit, it absolutely was to have been focused on this case for the entire timeframe
    from the moment I made that order until the conclusion of the trial.‖ On another
    85
    occasion, regarding a proposed modification to the penalty instructions that would
    have further explained the meaning of mitigation factors, Judge Platt said, ―To
    argue it so that [the jurors] are so god damned stupid that they cannot understand
    simple terminology. [¶] And I find offense to that. And assign no significant
    weight in argument to it. [¶] . . . [¶] I have said it before, and I will say it again. If
    our system is so flawed because humans have their heads so far up their ass that
    they cannot understand the issues at hand in this case or these cases, then we
    should eliminate the jury system as a whole. [¶] Enough said on the issue. And
    nothing more will be commented on in that regards.‖ On other occasions, defense
    counsel took issue with Judge Platt‘s demeanor in extended colloquies outside the
    presence of the jury.
    We have held that the trial court did not erroneously deny defendant‘s
    motions for continuances (ante, at pp. 30–31), exclude evidence of defendant‘s
    remorse (ante, at pp. 37–44), limit the scope of defense counsel‘s cross-
    examination of prosecution expert Dr. Mayberg (ante, at pp. 49–54), or admonish
    the jury that one of defense counsel‘s questions was improper (ante, at pp. 54–56).
    Accordingly, these claims are not grounds for finding that Judge Platt was biased
    against the defense.
    To the extent that defendant‘s contention is that Judge Platt showed
    favoritism toward the prosecutor, sometimes even ―transferring‖ blame for his
    misdeeds to defense counsel, the claim is belied by the record. Indeed, the record
    shows many instances in which Judge Platt rebuked the prosecutor, George
    Dunlap, for his strategy and demeanor.
    Defendant‘s assertion that Judge Platt spoke to defense counsel in an
    abusive fashion fails to establish judicial bias. Defendant is correct that Judge
    Platt frequently spoke discourteously and disrespectfully to defense counsel
    throughout trial. There are numerous examples in the record of Judge Platt
    86
    violating canon 3B(4) of the California Code of Judicial Ethics, which says, ―A
    judge shall be patient, dignified, and courteous to litigants, jurors, witnesses,
    lawyers, and others with whom the judge deals in an official capacity, and shall
    require similar conduct of lawyers and of all staff and court personnel under the
    judge‘s direction and control.‖
    Despite Judge Platt‘s failure to comport himself in the manner required by
    our Code of Judicial Ethics, his misconduct was limited to hearings outside the
    presence of the jury and thus did not result in a probability of actual bias. We
    review claims of judicial misconduct on the basis of the entire record. ―A ‗trial
    court commits misconduct if it persistently makes discourteous and disparaging
    remarks to defense counsel so as to discredit the defense or create the impression
    that it is allying itself with the prosecution.‘ [Citations.] Jurors rely with great
    confidence on the fairness of judges, and upon the correctness of their views
    expressed during trials. [Citation.] When ‗the trial court persists in making
    discourteous and disparaging remarks to a defendant‘s counsel and witnesses and
    utters frequent comment from which the jury may plainly perceive that the
    testimony of the witnesses is not believed by the judge . . . it has transcended so
    far beyond the pale of judicial fairness as to render a new trial necessary.‘ ‖
    (People v. Sturm (2006) 
    37 Cal. 4th 1
    218, 1233.)
    The facts on which defendant relies do not suggest that Judge Platt unduly
    influenced the jury. Defendant fails to offer evidence that Judge Platt‘s
    discourteous or improper remarks influenced the jury or otherwise affected the
    trial. As noted, all of defendant‘s examples of inappropriate behavior took place
    outside the presence of the jury. Although Judge Platt‘s behavior outside the
    jury‘s presence may provide context for his behavior in the jury‘s presence,
    defendant offers no compelling examples of prejudicial behavior in front of the
    jury.
    87
    Defendant maintains that the cold record before us does not fully reflect
    Judge Platt‘s bias, in large part because Judge Platt denied defendant‘s motion to
    videotape the proceedings. But the trial court has discretion to decide whether to
    allow the proceedings to be recorded. And the trial court exercised that discretion
    fairly, as the court also denied the prosecution‘s motion to videotape the
    proceedings to show defendant‘s ―jocularity‖ in the courtroom.
    3. Jurisdiction to impose the death penalty
    Defendant makes a twofold argument that Judge Platt was without
    jurisdiction to impose the death penalty. First, according to defendant, Judge
    Platt‘s partiality prevented him from making an independent determination of the
    weight of the evidence in evaluating the propriety of the death penalty under
    section 190.4, subdivision (e). Because defendant has not shown that Judge Platt
    was biased, we reject this argument.
    Second, defendant argues that the trial court lacked jurisdiction to impose
    the death penalty because the court was physically sitting in San Joaquin County
    when it imposed the death penalty. Before trial, the court transferred venue from
    San Joaquin County to Alameda County due to publicity concerns. Judge Platt,
    who sat in San Joaquin County, traveled to Alameda to preside over the trial. The
    guilt phase, the initial penalty phase that ended in a mistrial, and the second
    penalty trial were all conducted in Alameda County with jurors drawn from
    Alameda County. After a verdict had been rendered and the jury dismissed on
    June 6, 2000, in Alameda County, Judge Platt reconvened postverdict proceedings
    in a juvenile division courthouse in San Joaquin County on July 7, 2000. Judge
    Platt clarified at the outset that these proceedings were conducted under the
    ―jurisdiction and authority‖ of the Alameda County Superior Court. Defendant
    88
    himself had been moved from Alameda County to San Joaquin County in the
    interim.
    Although defendant challenges Judge Platt‘s ―jurisdiction,‖ he cites three
    provisions governing venue — sections 1033, 1033.1, and 1036 — in support of
    this challenge. ― ‗[V]enue is not jurisdictional in the fundamental sense; and, both
    in civil and criminal cases, a change of venue from the superior court of one
    county to the same court in another county does not affect its jurisdiction over the
    subject matter of the cause.‘ ‖ (People v. Simon (2001) 
    25 Cal. 4th 1082
    , 1096.)
    Defendant‘s argument is therefore best understood as alleging that Judge Platt
    failed to comport with the rules governing a change of venue. Section 1033.1 is
    inapposite; it requires a hearing where a defendant‘s conviction has been
    overturned on appeal and the case is returned to the trial court, which did not occur
    here. Section 1036 is also inapposite, as it concerns pretrial custody of a
    defendant where there is a change of venue. Section 1033 provides: ―In a
    criminal action pending in the superior court, the court shall order a change of
    venue: [¶] (a) On motion of the defendant, to another county when it appears that
    there is a reasonable likelihood that a fair and impartial trial cannot be had in the
    county. When a change of venue is ordered by the superior court, it shall be for
    the trial itself. All proceedings before trial shall occur in the county of original
    venue, except when it is evident that a particular proceeding must be heard by the
    judge who is to preside over the trial. . . .‖ (Italics added.) Section 1033 states that
    pretrial proceedings may take place in the county of original venue but does not
    address posttrial proceedings. Section 1038 provides that ―[t]he Judicial Council
    shall adopt rules of practice and procedure for the change of venue in criminal
    actions.‖
    Before physically relocating proceedings to San Joaquin County and
    imposing the death sentence, the trial court consulted with the Judicial Council to
    89
    determine whether posttrial proceedings could take place in San Joaquin County.
    The Judicial Council advised the trial court that regardless of where it sat, it would
    still operate under the jurisdiction of Alameda County. Since defendant‘s trial and
    conviction, the Judicial Council has revised the California Rules of Court to
    require ―postverdict proceedings, including sentencing‖ to ―be heard in the
    transferring court.‖ (Cal. Rules of Court, Rule 4.150(b)(3).)
    Judge Platt‘s decision to physically move postverdict proceedings to San
    Joaquin County was proper. Section 1033 explicitly addresses only pretrial
    proceedings and does not specify when ―the trial itself‖ has concluded. The
    change of venue statutory scheme delegates authority to the Judicial Council to
    resolve any such ambiguities. Judge Platt duly consulted with the council, which
    has since promulgated a mandatory rule consistent with its advice here. Judge
    Platt‘s decision is also consistent with the underlying policies of the venue
    statutes. The concerns with jury bias that had led the court to relocate proceedings
    to Alameda County were no longer applicable once the jury had returned a penalty
    verdict and had been excused. Finally, defendant does not allege he was
    prejudiced by the decision to move postverdict proceedings back to San Joaquin
    County. (See People v. Vieira (2005) 
    35 Cal. 4th 264
    , 279 [defendant need not
    show actual prejudice on appeal after judgment challenging a failure to change
    venue but must show a ―reasonable likelihood‖ that a fair trial was not had].)
    E. Prosecutorial Misconduct
    Defendant claims that in both phases of the trial, the prosecutor, George
    Dunlap, committed numerous instances of misconduct in violation of defendant‘s
    state and federal constitutional rights to a reliable determination of guilt, death
    eligibility, and sentence, as well as his rights to present a defense, to confront
    witnesses, and to be free from cruel and unusual punishment.
    90
    ―Prosecutors . . . are held to an elevated standard of conduct. ‗It is the duty
    of every member of the bar to ―maintain the respect due to the courts‖ and to
    ―abstain from all offensive personality.‖ [Citation.] A prosecutor is held to a
    standard higher than that imposed on other attorneys because of the unique
    function he or she performs in representing the interests, and in exercising the
    sovereign power, of the state. [Citation.] As the United States Supreme Court has
    explained, the prosecutor represents ―a sovereignty whose obligation to govern
    impartially is as compelling as its obligation to govern at all; and whose interest,
    therefore, in a criminal prosecution is not that it shall win a case, but that justice
    shall be done.‖ [Citation.] Prosecutors who engage in rude or intemperate
    behavior, even in response to provocation by opposing counsel, greatly demean
    the office they hold and the People in whose name they serve.‘ ‖ (People v. Hill
    (1998) 
    17 Cal. 4th 800
    , 819–820.) ― ‗ ― ‗A prosecutor‘s . . . intemperate behavior
    violates the federal Constitution when it comprises a pattern of conduct ―so
    egregious that it infects the trial with such unfairness as to make the conviction a
    denial of due process.‖ ‘ ‖ [Citations.] Conduct by a prosecutor that does not
    render a criminal trial fundamentally unfair is prosecutorial misconduct under state
    law only if it involves ― ‗ ―the use of deceptive or reprehensible methods to
    attempt to persuade either the court or the jury.‖ ‘ ‖ ‘ ‖ (Hill, at p. 819.) We
    review the trial court‘s rulings on prosecutorial misconduct for abuse of discretion.
    (People v. Alvarez (1996) 
    14 Cal. 4th 155
    , 213.)
    Defendant has requested we take judicial notice of the disciplinary records
    of the prosecutor, George Dunlap, who has been suspended twice by the California
    State Bar. We deny this request as the circumstances giving rise to the
    disciplinary proceedings against Mr. Dunlap are irrelevant to the proceedings
    against defendant.
    91
    1. Improper language and gestures
    Defendant notes that the prosecutor used improper language and made
    improper gestures in relation to defense counsel‘s representation of his client. In
    particular, the prosecutor repeatedly characterized defendant‘s arguments or the
    testimony of defendant‘s experts as ―ludicrous,‖ ―ridiculous,‖ ―preposterous,‖
    ―outrageous,‖ ―offensive,‖ ―shock[ing]‖ or ―bull,‖ and engaged in numerous
    ―theatrics‖ such as slamming books, making facial expressions, laughing,
    throwing his hands in the air, and sighing audibly. Although some of the
    prosecutor‘s behavior was unprofessional, the facts recited above do not constitute
    prosecutorial misconduct. Using colorful or hyperbolic language will not
    generally establish prosecutorial misconduct. (People v. Stitely (2005) 
    35 Cal. 4th 514
    , 559–560.) Neither does making overly dramatic gestures. And importantly,
    almost all of the occurrences cited by defendant occurred outside the presence of
    the jury.
    2. Argumentative questions
    Defendant observes that the prosecutor asked numerous argumentative
    questions when cross-examining defense witnesses. To list a few examples, the
    prosecutor asked defense expert Dr. Lisak, ―how many hours are you into them
    for?‖ He said to defense expert Dr. Buchsbaum, ―Let‘s quit guessing for awhile
    and look at the facts.‖ He said to defense expert Dr. Wu, ―It‘s a pain in the butt to
    get these test scores.‖ And he asked prosecution expert Dr. Mayberg, ―Did you
    have a heart attack last night when you looked at the raw data?‖ During direct
    examination in the penalty retrial, Dr. Wu testified that defendant‘s PET scans
    revealed abnormal functioning and that additional stress could cause ―catastrophic
    failure‖ akin to ―thin ice on a pond.‖ During cross-examination, the prosecutor
    asked the following series of questions:
    ―Q. Thin ice on a pond. Do you recall that, Doctor?
    92
    ―A. Yes, Mr. Dunlap.
    ―Q. Thin ice on a pond.
    ―A. Yes.
    ―Q. So what does that make James Loper? [¶] Skating on thin ice on a
    pond, Dr. Wu?
    ―Mr. Fox: Judge, I‘ll object. That is argumentative.
    ―The Court: Sustained.‖
    This objection was properly sustained. The prosecutor did not ―seek to
    elicit relevant, competent testimony‖ (People v. Chatman, supra,38 Cal.4th at
    p. 384) from Dr. Wu. This last question instead sought to apply Dr. Wu‘s
    testimony to the prosecution‘s theory of the case. While improper, asking this
    question does not constitute prejudicial misconduct, especially where, as here,
    defendant‘s objection to it was correctly sustained at trial. The ―critical inquiry on
    appeal is not how many times the prosecutor erred but whether the prosecutor‘s
    errors rendered the trial fundamentally unfair or constituted reprehensible methods
    . . . to attempt to persuade the jury.‖ (People v. Hinton (2006) 
    37 Cal. 4th 839
    ,
    864.) The prosecutor‘s argumentative questions in this case did not meet this
    standard.
    3. Personal attacks on defense counsel
    Defendant argues that the prosecutor personally attacked defense counsel in
    front of the court and in defense counsel‘s absence. On October 4 and 12, 1999,
    defense counsel was absent from the proceedings due to a medical problem. On
    October 12, second-chair defense counsel Charles Slote was also absent. The
    prosecutor observed that the prosecution team and the trial court had traveled two
    hours to the appearance for no reason. The trial court ordered defense counsel to
    93
    appear personally on October 18 or to produce a statement from his physician
    indicating when he would be ready to proceed.
    On October 18, Slote presented a note from a county health clinic doctor
    stating that defense counsel would return by November 1. The prosecutor
    questioned whether the note was authored by a doctor or a nurse practitioner, and
    he observed that the note did not indicate the nature of defense counsel‘s ailment.
    The prosecutor expressed frustration with delaying the trial process further and
    questioned whether defense counsel was purposefully delaying.         This conduct
    does not constitute prosecutorial misconduct. If defense counsel was seriously ill,
    he was certainly entitled to an absence from the trial. But the prosecutor was
    entitled to inquire as to the duration of defense counsel‘s expected absence and to
    probe the trial court to take action to determine that information.
    4. Deceptive tactics
    Defendant contends that the prosecutor committed misconduct by engaging
    in deceptive practices and ignoring trial court orders. As defendant notes, Dunlap
    flouted the following trial court orders (1) not to use the word ―murder‖ or its
    cognates to refer to the homicides at issue in the guilt phase trial, (2) not to
    examine Rodney Dove regarding drug tests that he performed on other employees
    of Charter Way Tow, (3) not to mention a nonfunctioning shotgun found at
    defendant‘s apartment, and (4) not to display wooden mannequins representing
    each of the five victims when the mannequins were not being used as
    demonstratives. Defendant is correct that this conduct was improper.
    In a close case, a prosecutor‘s violation of the trial court‘s orders in limine
    could have a prejudicial effect on the jury and thus could rise to the level of
    prejudicial misconduct. Here, however, defendant has not shown prejudice. On
    nearly every occasion that Dunlap violated the trial court‘s orders in limine, the
    94
    trial court sustained a defense objection to Dunlap‘s question. With respect to the
    prosecutor‘s question that elicited testimony regarding the shotgun, for example,
    the trial court emphatically and unequivocally instructed the jury that they were
    not to consider the shotgun in their deliberations, that it was antique and of no
    relevance to the case, and that it was ―a violation of the court‘s order to have that
    question asked.‖ This was sufficient to forestall any improper inferences on the
    part of the jury. A party is generally not prejudiced by a question to which an
    objection has been sustained. (People v. Mayfield (1997) 
    14 Cal. 4th 668
    , 755,
    disapproved on another ground in People v. 
    Scott, supra
    , 61 Cal.4th at p. 390, fn.
    2.)
    5. Misrepresentation to the trial court
    Defendant contends that the prosecutor intentionally misrepresented the
    nature of a discovery violation involving Dr. Amen‘s data. The prosecution called
    Dr. Mayberg as a rebuttal expert witness during the guilt phase in response to the
    testimony of Drs. Wu, Amen, and Buchsbaum. In preparation for Dr. Mayberg‘s
    testimony, the prosecution requested on Dr. Mayberg‘s behalf discovery of the
    ―raw data‖ underlying the tests of Dr. Wu and Dr. Amen. Neither the prosecutor
    nor defense counsel knew exactly what Dr. Mayberg meant when she requested
    the ―raw data.‖ But during the second day of Dr. Mayberg‘s testimony, it became
    apparent that she had not received all the information she had requested. Defense
    counsel believed that the information had been provided to the prosecution, but he
    could not produce a receipt of discovery. Eventually the defense provided the
    data, and the court recessed to allow Dr. Mayberg time to review it.
    During cross-examination of Dr. Mayberg in the penalty retrial, defense
    counsel asked Dr. Mayberg how she could be willing to testify when she ―didn‘t
    even have all the materials necessary to render an opinion.‖ The prosecutor
    95
    objected, and the trial court held a hearing outside the jury‘s presence. During the
    hearing, the prosecutor characterized defense counsel‘s line of questioning as
    ―intentional misconduct,‖ as defense counsel intended to mislead the jury into
    believing it was Dr. Mayberg‘s fault that she did not review all of the relevant
    data. Regardless of whether the prosecutor correctly characterized defense
    counsel‘s questions as ―intentional misconduct,‖ the record does not suggest that
    the prosecutor misrepresented the nature of the discovery dispute in the guilt
    phase. Accordingly, we reject defendant‘s claim.
    6. Opening and closing statements
    Defendant contends that Dunlap committed prosecutorial misconduct by
    making improper remarks in his opening and closing statements. ― ‗[A]
    prosecutor is given wide latitude to vigorously argue his or her case and to make
    fair comment upon the evidence, including reasonable inferences or deductions
    that may be drawn from the evidence.‘ ‖ (People v. 
    Dykes, supra
    , 46 Cal.4th at
    p. 768.) We address each of the remarks to which defendant assigns error below.
    Defendant challenges certain comments that the prosecutor made in the first
    penalty trial. As noted, the first penalty trial was ultimately inconclusive, and a
    mistrial was declared. His challenge to the prosecutor‘s opening and closing
    statements in that trial, therefore, is moot.
    During the prosecutor‘s closing argument in the guilt trial, he stated:
    ―When you want to compare experts — Dr. Wu, Dr. Buchsbaum, Dr. Amen —
    you compare ‘em to People‘s expert. Dr. Mayberg. [¶] There is no comparison.
    Dr. Mayberg is so much more capable, with no agenda, and serving the bottom
    line to you.‖ Defendant contends that this was impermissible ―vouching‖ by the
    prosecutor. ―A prosecutor may comment upon the credibility of witnesses based
    on facts contained in the record, and any reasonable inferences that can be drawn
    96
    from them, but may not vouch for the credibility of a witness based on personal
    belief or by referring to evidence outside the record.‖ (People v. Martinez (2010)
    
    47 Cal. 4th 911
    , 958.) The prosecutor‘s remark was reasonable commentary on the
    credibility of the witnesses and would not have been understood by the jury to
    vouch for the witnesses‘ credibility based on the prosecutor‘s personal beliefs or
    evidence outside of the record.
    Also during closing argument in the guilt trial, the prosecutor remarked:
    ―[T]he defense really comes down to one sentence. I mean, it really does. . . . The
    defense can be summed up in one sentence. [¶] And it‘s counsel, when he talked
    to Dr. Mayberg, and he said Dr. Mayberg, do you believe it‘s appropriate for the
    State to execute someone with a brain abnormality? [¶] That‘s the relevance of it.
    That‘s the relevance of it. [¶] Bull. This evidence has no business in this stage of
    the trial.‖ Subsequently, the prosecutor continued: ―And [the defense] brought in
    Dr. Wu, Dr. Amen, and Dr. Buchsbaum. [¶] I could feel you members of the jury,
    during initial direct examination by counsel, your pens moving furiously. [¶] I
    mean, it‘s like oh, my goodness, what do we have here? I could see it. You were
    burning up your lines. Just burning it up. [¶] And then all of a sudden, day two of
    cross-examination came about. And some of you started to go okay, wait a
    minute. This is a little funky. [¶] Then all of a sudden Dr. Amen comes on. Pens
    weren‘t moving so fast anymore. Expecting the long cross-examination. And it
    came. Stopped taking notes. [¶] When Dr. Buchsbaum came in, about had
    enough. Because this is bull.‖
    Defendant challenges these statements on two grounds. First, defendant
    maintains that these statements improperly injected the prosecutor‘s personal
    opinions into the trial. Second, he contends that the statements misstate the law.
    Both claims are forfeited by defense counsel‘s failure to ―make a timely and
    specific objection to the alleged misconduct and request the jury be admonished to
    97
    disregard it.‖ (People v. Seumanu (2015) 
    61 Cal. 4th 1293
    , 1339.) ―A defendant
    will be excused from the necessity of either a timely objection and/or a request for
    admonition if either would be futile.‖ (People v. 
    Hill, supra
    , 17 Cal.4th at p. 820.)
    Defendant argues such an objection would have been futile but offers no reason
    for this conclusion besides a generalized accusation of unfairness in Judge Platt‘s
    conduct. However, Judge Platt frequently admonished the prosecutor throughout
    all phases of the trial. (See ante, at p. 86.) Without greater specificity as to why
    this particular objection would have fallen upon deaf ears, we cannot conclude that
    it would have been futile for defendant to object to statements made during the
    guilt phase closing arguments.
    Even if not forfeited, the first challenge lacks merit. ― ‗Harsh and vivid
    attacks on the credibility of opposing witnesses are permitted, and counsel can
    argue from the evidence that a witness‘s testimony is unsound, unbelievable, or
    even a patent lie.‘ ‖ (People v. 
    Valencia, supra
    , 43 Cal.4th at p. 305.) While
    characterizing the testimony of defense witnesses as ―bull‖ is of dubious
    persuasive value, it falls within the prosecutor‘s wide latitude to comment on the
    evidence during closing argument.
    Although it is a narrower question, the prosecutor‘s remark regarding the
    relevance of defense counsel‘s question to Dr. Mayberg, taken in context, does not
    misstate the law. In the guilt trial, the prosecutor stated that the defense experts‘
    testimony was only relevant to the question of what punishment defendant
    deserved and he observed that the evidence had ―no business in this stage of the
    trial [i.e., the guilt phase].‖ The testimony of Drs. Wu, Amen, and Buchsbaum
    was admitted on the theory that it could undermine elements of the charged crimes
    related to defendant‘s state of mind. Accordingly, the evidence was relevant to
    both phases of trial. Before and after making his remark about relevance,
    however, the prosecutor did not dismiss the significance of such evidence for
    98
    defendant‘s state of mind. Rather, he argued that defendant‘s alteration of the gun
    between the shootings revealed his clarity of thought and that defense experts did
    not present more comprehensive testing because it would reveal that ―[t]here‘s
    nothing wrong‖ with defendant. In the context of the prosecutor‘s direct
    engagement with this testimony, the challenged remark is best read as arguing that
    the question of appropriate punishment was not properly before the jury and
    defense expert testimony was relevant only to defendant‘s ability to form specific
    intent.
    Whether or not the jury could have misconstrued the prosecutor‘s remark,
    any error was harmless. The trial court instructed the jury that the attorneys‘
    closing statements were not evidence and that if anything the attorney said
    conflicted with the court‘s instructions, the jury must follow the instructions.
    Regarding the defense experts‘ testimony, the trial court instructed the jury as
    follows: ―In several of the crimes charged, there must exist a union or joint
    operation of act or conduct and a certain mental state in the mind of the
    perpetrator. Unless the mental state exists, that crime to which it relates is not
    committed. [¶] . . . [¶] You have received evidence regarding a mental disease,
    mental defect or mental disorder of the defendant at the time of the commission of
    the crime charged. [¶] You should consider this evidence solely for the purpose of
    determining whether the defendant actually formed the required specific intent,
    premeditated, deliberated, or harbored malice aforethought, which is an element of
    the crimes charged in the Information. [¶] You have received evidence regarding
    a mental defect or disorder of the defendant Louis Peoples at the time of the
    commission of the crimes charged. [¶] The defense has presented evidence
    through expert witnesses that Mr. Peoples‘ brain was abnormal in certain respects.
    [¶] You should consider this evidence solely for the purpose of determining
    whether Louis Peoples actually formed any required specific intent, premeditated,
    99
    deliberated, or harbored malace [sic] aforethought, or formed any other required
    specific intent described in the instructions pertinent to the special circumstances.
    [¶] You should consider the evidence of mental defect or mental disorder
    separately or in combination with any evidence of the defendant‘s intoxication
    solely for the purpose of determining whether the defendant Louis Peoples
    actually formed the required specific intent, premeditated, deliberated or harbored
    malace [sic] aforethought, which is an element of the crimes charged in Count 11,
    special circumstance attached to Count 11, and the crimes charged in Count 12 or
    13, or any lesser crimes pertinent to these counts on which you have been
    instructed.‖ We presume the jurors followed this instruction (People v. Smith
    (2007) 
    40 Cal. 4th 483
    , 517), and no evidence suggests otherwise. Accordingly, it
    is not ―reasonably probable that a result more favorable to [the defendant] would
    have been reached in the absence of the error.‖ (People v. Watson (1956) 
    46 Cal. 2d 818
    , 836.)
    Defendant next contends that the prosecutor impermissibly presented
    argument, rather than previewing the facts, in his opening statement in the penalty
    retrial. In particular, he observes that the prosecutor made the following remarks
    in his opening statement, each of which prompted an objection that the trial court
    sustained: ―Serial killer. The systematic, repeated, intentional, premeditated and
    deliberate killing of another person‖; ―Mr. Peoples has five special circumstances.
    I want to remind you, clarify something. It‘s not the aggregate of all five that
    make Mr. Peoples eligible for the death penalty. Each and every individual
    special circumstance‖; ―There‘s no sign of forced entry. It‘s a skilled job.
    Someone knew what they were doing‖; ―We go first. The defense may or may not
    put on case. I assume they will. Seen it before. Typical story. Bad life. Bad
    childhood. Drugs. Poor me. What you‘re going to hear. Guaranteed.‖
    100
    ―The function of an opening statement is not only to inform the jury of the
    expected evidence, but also to prepare the jurors to follow the evidence and more
    readily discern its materiality, force, and meaning.‖ (People v. Dennis (1998) 
    17 Cal. 4th 468
    , 518.) Even if the examples listed were improper, none of them ―was
    so aggravated that any potential harm could not have been avoided by an
    admonition.‖ (Ibid.) As the trial court sustained defense counsel‘s objections and
    instructed the jury that the prosecutor‘s opening statement was not evidence, the
    alleged errors was harmless.
    Defendant next challenges the following 10 statements in the prosecutor‘s
    closing argument:
    (1) ―Does he get additional punishment for Stephen Chacko? As a jury,
    do you look at this as a circumstance to consider in deciding whether or not, my
    gosh, there‘s two of them now? [¶] Do we walk out and tell Anice Chacko that
    her husband‘s death is a freebie? That it has no value?‖
    (2)   ―Serial killer, ladies and gentleman. I mean, serial killer. What is it?
    Systematic, routine, premeditated, intentional killing of innocent people.‖
    (3)   ―As you sit here and you think about robberies, you‘ll see definitions
    in there of fear. Imagine what Stephen Chacko was thinking when he saw this gun
    pointed at him. Imagine. Imagine the noise in that store. [¶] You want to talk
    about mercy for this man, this killer, this systematic, routine killer. Imagine the
    noise that this gun would create inside a room such as this. And, now, imagine
    that it‘s being fired at you. Imagine that for Stephen Chacko.‖
    (4) ―He comes back. He sees nobody there, and here comes Jun Gao. He
    pulls this gun out. [¶] This gun is unloaded. It is safety strapped and checked by
    these bailiffs. If I pointed the gun at one of you, you would be upset. You would
    be scared because guns kill. [¶] If I took this gun and pointed it at someone, you
    would be offended.‖
    101
    (5) ―That‘s Dr. Kent Rogerson. He‘s testified upwards of several hundred
    times. He advises the defense routinely. [¶] Myself and Mr. Fox know . . . . He
    knows me.‖
    (6) ―Jim Esten, retired custodial officer, comes in here. And he is very
    clear to say I don‘t represent the Department of Corrections. He is very clear on
    that. He‘s very clear to say that the Department of Corrections, I do not speak for
    them, period. That should stop the conversation, but we‘ll go on. [¶] He goes on
    to say that the Department of Corrections uses the criteria — and I‘ll look at my
    notes — the best indicator of behavior is your prior incarceration. That‘s what he
    said. That‘s bull.‖
    (7) ―In the last trial he [James Esten] got tore up or got questioned
    extensively about that. So what does he tell you this time? I read your opening
    statements, so I know the facts a little better. That was his testimony.‖
    (8) ―Number one, we have no proof of a molest. God forbid there is a
    molest. Absolutely no relevance to this case. [¶] Dr. Lisak drew absolutely no
    parallels. Dr. Lisak absolutely made no diagnosis.‖
    (9) ―I want to start out by saying that is very, very clear Mr. Peoples, the
    boy, is not on trial. Mr. Peoples, the man, who made choices is on trial. [¶]
    Counsel wants to talk about childhood . . . . [¶] . . . [¶] Here the man who is on
    trial is Louis Peoples, the 37 year old.‖
    (10) ―Dr. Woods came in and said Mr. Peoples expresses genuine remorse.
    That‘s the only remorse you hear from, from a defense expert. Because there‘s no
    remorse in those crimes. There‘s no remorse when he guns down James Loper
    and shoots him nine times and then calls Cal Spray for his job back. [¶] There is
    no remorse when he guns down Thomas Harrison and laughs about it to Michael
    Liebelt. There‘s no remorse whatsoever about Stephen Chacko when he laughs
    about it to his wife. [¶] There is no remorse when he leaves Besun Yu on the floor
    102
    to die with two bullets in her back fighting for her life. And he has the audacity to
    write in the book ha, ha.‖
    The Attorney General argues that defendant has forfeited his challenge to
    statements (6) through (10) because defense counsel failed to contemporaneously
    object to these statements or request a curative admonition at trial. Although
    defendant did not object to these statements during the prosecutor‘s closing
    argument, he did move for a mistrial the following day in the proceedings,
    challenging statements (7) through (10). In People v. Collins (2010) 
    49 Cal. 4th 175
    , 225 (Collins), we held a claim of prosecutorial misconduct during cross-
    examination was preserved despite defense counsel‘s failure to object at trial,
    where the next question from the prosecutor triggered an objection and extended
    colloquy between judge and both counsel in chambers. In People v. Adams (2014)
    
    60 Cal. 4th 541
    , 577 (Adams), we held that a postverdict motion for a new trial was
    insufficient to preserve a claim of prosecutorial misconduct for statements made
    during closing arguments. Defendant‘s motion here is distinguishable from both
    prior cases; although there was no immediate discussion among judge and counsel
    regarding the propriety of the remarks, defendant challenged those remarks before
    the jury had begun deliberating and well before a verdict had been reached.
    The instant facts, in light of the underlying purpose of the forfeiture rule,
    more closely resemble Collins than Adams. Our reasons for requiring
    contemporaneous and specific objection to a prosecutor‘s alleged misconduct
    argue in favor of finding defendant‘s claims preserved here. ― ‗It is now well
    settled that an appellate court will not consider a claim as to the misconduct of
    counsel in argument unless objection is so made.‘ [Citation.] ‗The reason for this
    rule, of course, is that ―the trial court should be given an opportunity to correct the
    abuse and thus, if possible, prevent by suitable instructions the harmful effect upon
    the minds of the jury.‖ ‘ [Citation.]‖ (People v. 
    Seumanu, supra
    , 61 Cal.4th at
    103
    p. 1341.) Unlike in Adams, defendant here raised the issue before defense closing
    arguments began, thus providing the trial court with an opportunity to admonish
    the jury prior to the start of deliberations. Moreover, defendant‘s objections were
    specific enough for the trial court to craft suitable corrective instructions.
    Although neither their form nor their timing was ideal, defendant‘s objections to
    statements (7) through (10) by way of a motion for a mistrial put the court on
    notice that misconduct was alleged in time for the court to instruct the jury and
    correct any error. Accordingly, defendant has forfeited his challenge to statement
    (6) and preserved his challenges to statements (7) through (10).
    Defendant‘s challenge to statement (2) fails on the merits. The prosecutor‘s
    characterization of defendant as a ―serial killer‖ was a fair comment on the
    evidence and fell within the wide latitude permitted prosecutors during closing
    argument in the penalty phase of a capital trial. Statements (3) and (4) also were
    not improper remarks for closing argument. Prosecutors may ask juries to put
    themselves in the shoes of the victim. (People v. Jackson (2009) 
    45 Cal. 4th 662
    ,
    691–692.)
    Statement (8) was also a reasonable comment on the evidence. As
    explained ante, at pages 44–48, defendant confided in Dr. Gretchen White that on
    two occasions he had been sexually molested by John Fry, his youth intake
    counselor when he was a ward of the State of Florida as a teenager. Dr. White
    also spoke with two other men, Michael Portbury and David Lamson, who
    claimed to have been sexually molested by John Fry under similar circumstances.
    During the hearing on a motion to admit the testimony of Portbury and Lamson,
    the court asked the prosecutor whether he would stipulate that defendant was
    molested by Fry. The prosecutor declined. The trial court then excluded the
    testimony of Portbury and Lamson but allowed Dr. White to testify that defendant
    and two other men had told her they had been molested by Fry. The court also
    104
    allowed the defense to introduce court documents from Florida showing that Fry
    had been convicted of procuring a child under the age of 16 for prostitution.
    The trial court denied defendant‘s motion for a mistrial, which was based in
    part on statement (8). ―[W]e review a ruling on a motion for mistrial for an abuse
    of discretion, and such a motion should be granted only when a party‘s chances of
    receiving a fair trial have been irreparably damaged.‖ (People v. Ayala (2000) 
    23 Cal. 4th 225
    , 283.) The trial court did not abuse its discretion in denying the
    motion. As noted, the prosecution did not stipulate to the fact that defendant was
    molested and instead chose not to focus on that aspect of the mitigation evidence
    during cross-examination of defense witnesses. Given that the only evidence that
    defendant was molested was the testimony of Dr. White, the prosecutor‘s lone
    statement that there was ―no proof of molest‖ seems a reasonable commentary on
    the weight of the evidence and therefore does not amount to prosecutorial
    misconduct.
    Defendant‘s challenge to statement (9) — that ―Mr. Peoples, the man,‖ and
    not ―Mr. Peoples, the boy,‖ was on trial — is also without merit. As the trial court
    concluded, ―That is accurate. It is argument. It is the man Mr. Peoples who is on
    trial. [¶] It was not argued that a court or a jury could not consider nor is it
    improper to consider the impact of the effects of a person‘s childhood. That was
    not the reference made.‖ The trial court did not abuse its discretion in denying the
    motion for mistrial to the extent that it was based on this challenge.
    The Attorney General contends that defendant has forfeited his challenge to
    statement (10) because he failed to contemporaneously object during the
    prosecutor‘s closing argument. As noted, defense counsel raised statement (10) as
    one of the grounds for a mistrial on the day after the prosecutor‘s closing argument
    and this is sufficient to preserve the claim. Moreover, with particular regard to
    this statement, defense counsel raised an objection before the prosecutor‘s closing
    105
    argument because the prosecutor had informed counsel that he planned to
    reference redacted letters to show that defendant was not remorseful for his
    crimes. Accordingly, the claim is not forfeited. However, defendant‘s challenge
    fails.
    During closing argument, the prosecutor argued that defendant‘s conduct
    during and directly after the crimes demonstrated a lack of remorse. Such
    comments on the nature of the crime and its commission are proper. (See People
    v. Crittenden (1994) 
    9 Cal. 4th 83
    , 147 [finding prosecutor‘s argument on remorse
    proper where comments ―referred to defendant‘s callous behavior after the killings
    and occurred during the prosecutor‘s review of the circumstances and nature of
    the[] crimes and of defendant‘s activities after their commission‖].) Additionally,
    the prosecutor‘s comments on the testimony of Dr. Woods, specifically his
    opinion regarding defendant‘s remorse, constituted a permissible evaluation of,
    and comment on, the evidence. The prosecutor said Dr. Woods‘s opinion that
    defendant expressed ―genuine remorse‖ was the ―only remorse you hear from,
    from a defense expert.‖ That statement was true; Dr. Woods‘s opinion was the
    only admitted evidence of remorse. Although defendant sought to introduce other
    evidence of remorse, the trial court made specific findings that the proffered
    evidence was unreliable. Because the prosecutor‘s comments regarding a lack of
    remorse were within the bounds of permissible argument, they do not show the
    deceptive or reprehensible conduct necessary for a finding of prosecutorial
    misconduct. Finally, the prosecutor‘s reference to a redacted letter from defendant
    to his wife after his arrest as a ―love letter‖ was not misconduct. The prosecutor
    did not argue that the letter indicated a lack of remorse; instead, the prosecutor
    juxtaposed defendant‘s words with photographs of the victims. Such use is not
    deceptive or reprehensible.
    106
    As the Attorney General concedes, statements (5) and (7) referred to facts
    not in evidence and were therefore improper. Nevertheless, it is not reasonably
    possible that statements (5) and (7) affected the death verdict. (People v. Brown
    (1988) 
    46 Cal. 3d 432
    , 448.) Both remarks were brief and tangential to the issues
    in the case, and the trial court correctly sustained defense objections to these
    statements.
    With respect to statement (1), we have previously found no misconduct in
    the use of the term ―freebie‖ in a multiple murder prosecution where the
    prosecutor argued that, absent a sentence of death, one of those murders would go
    unpunished. 
    (Adams, supra
    , 60 Cal.4th at p. 578; People v. 
    Rogers, supra
    , 46
    Cal.4th at p. 1174 & fn. 23.) Even assuming the prosecutor‘s use of ―freebie‖ was
    improper, it is not reasonably possible, in light of the totality of the penalty phase
    evidence, that the jury would have returned a different verdict if the prosecutor
    had not made statement (1).
    7. Public conversations with victim’s family
    Defendant contends that the prosecutor committed prosecutorial
    misconduct by engaging in conversations with a victim‘s family within earshot of
    Juror No. 7‘s wife during the penalty retrial. On April 20, 2000, Michael Quigel
    testified for the defense in the penalty retrial. After Quigel‘s testimony, the
    prosecutor spoke with the family of victim Besun Yu within earshot of Juror
    No. 7‘s wife, who had come to attend the trial. Defense counsel observed this
    conversation and moved for a mistrial. After the jury was excused for the day, the
    trial court held a hearing to determine the extent of the potential contamination of
    the jury.
    The trial court first interviewed Juror No. 7‘s wife. Juror No. 7‘s wife
    testified that the prosecutor conversed with the Yu family about ―the timeline, I
    107
    guess, of what would be happening between now and I guess when you are done
    here.‖ The prosecutor indicated that the trial ―would probably end sooner than
    expected. That the trial would probably go to the jurors sooner than expected.‖
    She also testified that Quigel‘s ―name came up, but honestly, I don‘t — I was
    trying really hard to just look somewhere else and not [hear].‖
    At the end of this exchange, the trial court admonished Juror No. 7‘s wife
    as follows: ―I‘m going to instruct you as well that there is to be no mention of
    what we‘re talking about now. There is to be no mention of what you overheard
    in conversation, absolutely not. If it happens, then we will have to start this trial
    all over again.‖
    The trial court next interviewed Juror No. 7. Juror No. 7 testified that at
    lunch he and his wife briefly spoke about Quigel. His wife had said: ―The man in
    the jumpsuit was interesting.‖ Juror No. 7 responded: ―It surprised me, too.‖
    When asked what surprised him, Juror No. 7 responded that a man in custody had
    taken the stand.
    The trial court then interviewed relatives of victim Besun Yu — Karen Tan,
    Jack Yu, David Yu, Kwei-Yu Chu. Regarding Quigel, David Yu testified that the
    prosecutor had said defense counsel had changed strategies by calling him, while
    Kwei-Yu Chu testified that Quigel did not like the prosecutor. The other members
    of the Yu family did not remember any conversation about Quigel.
    Finally, the court interviewed defense investigator Michael Kale. Kale
    testified that the prosecutor had said that he was angry with Quigel and that Quigel
    was either ―sleazy‖ or ―slimy.‖
    The trial court denied the motion for a mistrial, saying: ―The issue is as to
    any damage or prejudice to the defendant by any of the activity had disseminating
    to a juror. There was none. . . . [¶] . . . It was not an idle motion. It was
    absolutely reckless to make any comment related to the case or otherwise about
    108
    the time of day, the weather, or anything else in the presence of persons whom you
    do not know the identity of. It absolutely is inexcusable. Absolutely. It is not a
    small error and it came so close to being sufficient conduct to justify a mistrial had
    any information been exposed to or disseminated unintentionally to the jury. And
    it is absolutely inexcusable. [¶] I don‘t find it intentional. I have observed counsel
    make far too much contact after court has been concluded with far too many
    people present. . . . And what is innocuous comment by others is not innocuous
    comment by either counsel or court staff, including myself. It will not be tolerated
    in any fashion under any circumstance for the remainder of the trial, and I will
    sanction significantly if I find my order violated.‖
    After an extensive set of interviews, the trial court found that the
    prosecutor‘s behavior was ―reckless‖ but not intentional, and that no prejudice had
    resulted to defendant because no extraneous information had been shared with
    Juror No. 7. This finding was not an abuse of discretion. (See People v. 
    Alvarez, supra
    , 14 Cal.4th at p. 213.)
    F. Cumulative Error
    Defendant claims that the cumulative effect of the court‘s errors in both the
    guilt and penalty phases resulted in a fundamentally unfair trial and a miscarriage
    of justice. We reject this claim because there is no reasonable possibility,
    considering the record as a whole, that the trial court‘s few errors in this case
    prejudiced defendant.
    G. California’s Death Penalty Statute
    Defendant raises several challenges to California‘s death penalty scheme
    that we have repeatedly rejected. We decline to revisit our prior holdings, as
    follows:
    109
    Delay in carrying out a death sentence does not by itself constitute cruel
    and unusual punishment, nor does it prevent fulfillment of legitimate purposes of
    punishment. (People v. Salcido (2008) 
    44 Cal. 4th 93
    , 166 [―delay, whether in the
    appointment of counsel on appeal or in processing the appeal, or both, does not
    inflict cruel or unusual punishment within the meaning of the state or federal
    Constitution‖]; People v. Young (2005) 
    34 Cal. 4th 1149
    , 1230 [a death sentence
    still serves legitimate penological purposes even after extraordinary delay on
    appeal].)
    Section 190.2 is not impermissibly broad, and section 190.3, factor (a) does
    not result in arbitrary and capricious death judgments. (People v. Jackson (2014)
    
    58 Cal. 4th 724
    , 773 [§ 190.2 is not impermissibly broad and § 190.3, factor (a)
    does not allow for the arbitrary and capricious imposition of the death penalty];
    People v. 
    Valdez, supra
    , 55 Cal.4th at p. 179 [in ―permitting jurors to consider the
    ‗circumstances of the crime,‘ section 190.3, factor (a), does not result in the
    arbitrary and capricious imposition of the death penalty‖].)
    CALJIC No. 8.88‘s use of the phrase ―so substantial‖ is not so vague that it
    will lead to arbitrary and capricious sentencing decisions. (People v. Lomax
    (2010) 
    49 Cal. 4th 530
    , 595 [the phrase ―so substantial‖ in CALJIC 8.88 is not
    impermissibly vague].) The use of the adjective ―extreme‖ under section 190.3,
    factor (d), or as read in CALJIC No. 8.85, in describing mitigating circumstances
    does not impermissibly hinder the jury‘s meaningful consideration of mitigating
    factors. (People v. Rountree (2013) 
    56 Cal. 4th 823
    , 863.) The phrase ―whether or
    not‖ in section 190.3, factors (d) through (h) and (j) does not unconstitutionally
    suggest that the absence of a mitigating factor is to be considered as an
    aggravating circumstance. (People v. Banks (2014) 
    59 Cal. 4th 1113
    , 1207–1208,
    disapproved on another ground in People v. 
    Scott, supra
    , 61 Cal.4th at p. 391, fn.
    3; People v. Cook (2006) 
    39 Cal. 4th 566
    , 618 [―CALJIC No. 8.85‘s use of the
    110
    phrase ‗whether or not,‘ is not an invitation to jurors who find ‗a factor not
    proven‘ to then ‗use that factor as a factor favoring imposition of the death
    penalty.‘ ‖].)
    ―The federal Constitution does not require the jury to make written findings
    unanimously concluding beyond a reasonable doubt that the aggravating factors
    exist. . . . ‖ (People v. Merriman (2014) 
    60 Cal. 4th 1
    , 106; see People v. 
    Valdez, supra
    , 55 Cal.4th at p. 179 [jury‘s findings regarding the presence of aggravating
    factors need not be unanimous]; People v. Mills (2010) 
    48 Cal. 4th 158
    , 214 [jury
    not required to render specific written findings on the aggravating factors].)
    We have previously rejected claims that California‘s death penalty statute
    violates international norms of decency. 
    (Adams, supra
    , 60 Cal.4th at p. 678;
    People v. 
    Banks, supra
    , 59 Cal.4th at p. 1208 [― ‗death penalty as applied in this
    state is not rendered unconstitutional through operation of international laws and
    treaties‘ ‖].) Defendant does not convince us to reconsider this holding.
    111
    CONCLUSION
    The judgment is affirmed.
    LIU, J.
    WE CONCUR:
    CANTIL-SAKAUYE, C. J.
    WERDEGAR, J.
    CHIN, J.
    CORRIGAN, J.
    CUÉLLAR, J.
    KRUGER, J.
    112
    See next page for addresses and telephone numbers for counsel who argued in Supreme Court.
    Name of Opinion People v. Peoples
    __________________________________________________________________________________
    Unpublished Opinion
    Original Appeal XXX
    Original Proceeding
    Review Granted
    Rehearing Granted
    __________________________________________________________________________________
    Opinion No. S090602
    Date Filed: February 4, 2016
    __________________________________________________________________________________
    Court: Superior
    County: Alameda
    Judge: Michael E. Platt
    __________________________________________________________________________________
    Counsel:
    Phillip H. Cherney, under appointment by the Supreme Court, for Defendant and Appellant.
    Kamala D. Harris, Attorney General, Dane R. Gillette, Chief Assistant Attorney General, Gerald A. Engler,
    Assistant Attorney General, Glenn R. Pruden and Donna M. Provenzano, Deputy Attorneys General, for
    Plaintiff and Respondent.
    Counsel who argued in Supreme Court (not intended for publication with opinion):
    Phillip H. Cherney
    214 South Johnson Street
    Visalia, CA 93291
    (559) 732-6852
    Donna M. Provenzano
    Deputy Attorney General
    455 Golden Gate Avenue, Suite 11000
    San Francisco, CA 94102-7004
    (415) 703-1303
    

Document Info

Docket Number: S090602

Citation Numbers: 62 Cal. 4th 718

Filed Date: 2/4/2016

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (75)

People v. Mendoza , 99 Cal. Rptr. 2d 485 ( 2000 )

People v. Avila , 43 Cal. Rptr. 3d 1 ( 2006 )

People v. Salcido , 44 Cal. 4th 93 ( 2008 )

People v. Ayala , 96 Cal. Rptr. 2d 682 ( 2000 )

Eye Dog Foundation v. State Board of Guide Dogs for the ... , 67 Cal. 2d 536 ( 1967 )

People v. Yeoman , 2 Cal. Rptr. 3d 186 ( 2003 )

People v. Sturm , 39 Cal. Rptr. 3d 799 ( 2006 )

People v. Valencia , 74 Cal. Rptr. 3d 605 ( 2008 )

People v. Sapp , 2 Cal. Rptr. 3d 554 ( 2003 )

People v. Page , 44 Cal. 4th 1 ( 2008 )

People v. Simon , 108 Cal. Rptr. 2d 385 ( 2001 )

People v. Griffin , 15 Cal. Rptr. 3d 743 ( 2004 )

People v. Coddington , 97 Cal. Rptr. 2d 528 ( 2000 )

People v. Cowan , 50 Cal. 4th 401 ( 2010 )

People v. Castaneda , 51 Cal. 4th 1292 ( 2011 )

People v. Dykes , 46 Cal. 4th 731 ( 2009 )

People v. Vieira , 25 Cal. Rptr. 3d 337 ( 2005 )

People v. Collins , 49 Cal. 4th 175 ( 2010 )

People v. Lancaster , 58 Cal. Rptr. 3d 608 ( 2007 )

People v. Lucero , 97 Cal. Rptr. 2d 871 ( 2000 )

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