No. 00CA1367Colorado Court of Appeals.
March 14, 2002 Certiorari Denied September 9, 2002[*]
City and County of Denver District Court No. 99CR0678; Honorable Lawrence A. Manzanares, Judge.
JUDGMENT AFFIRMED
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Ken Salazar, Attorney General, Cheryl Hone, Assistant Attorney General, Denver, Colorado, for Plaintiff-Appellee.
Forrest W. Lewis, P.C., Forrest W. Lewis, Denver, Colorado, for Defendant-Appellant.
Division I
Metzger and Kapelke, JJ., concur.
Opinion by JUDGE ROTHENBERG.
[1] Defendant, Hubert Underwood, appeals the judgment of conviction entered on a jury verdict finding him guilty of aggravated incest and sexual assault on a child by one in a position of trust. We affirm. [2] At trial, the prosecution presented evidence that one morning, while defendant’s sixteen-year-old daughter (the victim) was sleeping, defendant entered her room and “laid down beside” her. He asked if she wanted a back massage, and although she said no, he proceeded to rub her back. He then moved his hands near her breasts, removed her pants, and forced her to have sexual intercourse with him. I. Exclusion of Evidence
[3] Defendant first contends the trial court abused its discretion by precluding cross-examination of the victim about a miscarriage she had had after the offense occurred, but before she had reported it to police. The trial court disallowed such evidence under CRE 403, reasoning that it might make the victim appear promiscuous and was unfairly prejudicial to the prosecution. We perceive no abuse of discretion.
We therefore conclude the trial court did not abuse its discretion in determining the
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probative value of the miscarriage evidence was substantially outweighed by the danger of unfair prejudice to the prosecution, and in disallowing this evidence. See People v. Delgado, 890 P.2d 141
(Colo.App. 1994).
II. Child Hearsay
[9] Defendant next contends the trial court abused its discretion in allowing the victim’s mother and a mental health expert to testify about statements made by the victim. We disagree.
(1) Whether the statement was made spontaneously;
(2) whether the statement was made while the child was still upset or in pain from the alleged abuse;
(3) whether the language of the statement was likely to have been used by a child the age of the declarant;
(4) whether the allegation was made in response to a leading question;
(5) whether either the child or the hearsay witness had any bias against the defendant or any motive for lying;
(6) whether any other event occurred between the time of the abuse and the time of the statement which could account for the contents of the statement;
(7) whether more than one person heard the statement; and
(8) the general character of the child.
[12] People v. District Court, 776 P.2d 1083, 1089-90 (Colo. 1989). [13] The trial court’s decision to admit child hearsay statements will not be overturned absent an abuse of discretion. People v. Hansen, 920 P.2d 831 (Colo.App. 1995). [14] According to the evidence presented at trial, the victim and her mother began arguing while driving back from a doctor’s appointment. The mother asked the victim what was causing her erratic behavior, and the victim reported that defendant had touched her intimately. The mother immediately drove to the emergency room of a nearby hospital where the victim told a therapist that defendant had forced her to have sexual intercourse with him. [15] At trial, both the mother and the therapist were called to testify about the victim’s statements. The trial found the victim’s statement to her mother was reliable and was an “outcry” made by the victim while explaining “her depression and behavior and mood swings.” [16] We conclude the trial court did not abuse its discretion in admitting this testimony. While the victim’s statement to her mother was made in response to questioning, the mother’s questions were not leading. The charged incident occurred approximately a year before the victim made this statement, and other stressful events had intervened. However, there was evidence the victim was still very upset over the incident with defendant, and no evidence suggested she had a motive to accuse him falsely. [17] Defendant’s sole objection to the testimony of the therapist was that the victim’s statement to her mother “tainted” her later statement to the therapist. But, because we conclude the trial court did not abuse its discretion in admitting the victim’s statement to her mother, we reject this related contention.III. Similar Transaction Evidence
[18] Defendant next contends the trial court erred in admitting testimony of other acts committed by him as similar transaction evidence. He maintains that such evidence did not satisfy § 16-10-301, C.R.S. 2001, or CRE 404(b), and that the court’s failure to give a contemporaneous limiting instruction as to certain testimony was plain error requiring reversal. We are not persuaded.
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A. Standard for Admitting Other Acts Evidence
[19] Section 16-10-301 and CRE 404(b) govern the admission of similar transaction evidence in sexual offense cases. People v. Martinez, 36 P.3d 154 (Colo.App. 2001).
[22] Section 16-10-301(4) provides the procedures that apply when the prosecution introduces such evidence:The prosecution may introduce evidence of other acts of the defendant to prove the commission of the offense as charged for any purpose other than propensity, including: Refuting defenses, such as . . . recent fabrication; showing a common plan, scheme, design, or modus operandi, regardless of whether identity is at issue and regardless of whether the charged offense has a close nexus as part of a unified transaction to the other act; [or] showing motive, opportunity, [or] intent . . . .
[23] In order to introduce evidence of other sexual acts committed by the defendant, the prosecution also must satisfy CRE 404(b) and the four-part test established in People v. Spoto, 795 P.2d 1314 (Colo. 1990). SeePeople v. Martinez, supra. CRE 404(b) provides:(a) The prosecution shall advise the trial court and the defendant in advance of trial of the other act or acts and the purpose or purposes for which the evidence is offered.
(b) The trial court shall determine by a preponderance of the evidence whether the other act occurred and whether the purpose is proper under the broad inclusionary expectations of this section.
(c) The evidence of other acts may not be admitted until the trial court finds that the prosecution has by evidence or offer of proof established a prima facie case for the charged offense.
(d) The trial court shall, at the time of the reception into evidence of other acts and again in the general charge to the jury, direct the jury as to the limited purpose or purposes for which the evidence is admitted and for which the jury may consider it.
[24] The Spoto test requires that: (1) the proffered evidence relate to a material fact; (2) the evidence be logically relevant; (3) the logical relevance be independent of the intermediate inference, prohibited by CRE 404(b), that the defendant has a bad character and acted in conformity with such bad character; and (4) the probative value of the evidence not be substantially outweighed by the danger of unfair prejudice. People v.Spoto, supra.Evidence of other crimes, wrongs, or acts is not admissible to prove the character of a person in order to show that he acted in conformity therewith. It may, however, be admissible for other purposes, such as proof of motive, opportunity, intent, preparation, plan, knowledge, identity, or absence of mistake or accident.
B. Other Daughter’s Testimony
[25] Defendant next contends the trial court abused its discretion by allowing another one of his daughters (the other daughter) to testify about an incident three years before the charged offense in which he forced the other daughter to have sexual intercourse with him. The other daughter testified that defendant entered her bedroom, started rubbing her back and sides, removed her shorts, and had intercourse with her. The circumstances were remarkably similar to those involving the victim. However, defendant contends this evidence was not logically relevant independent of the inference that he has a bad character. We disagree.
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[27] The trial court allowed the other daughter to testify about the incident with defendant because it showed a common scheme or plan and modus operandi, which are permissible purposes under § 16-10-301(3) and CRE 404(b). Its remoteness did not undermine its relevancy for these purposes. See § 16-10-301(1); People v. Janes, 942 P.2d 1331 (Colo.App. 1997). Thus, because this testimony demonstrated how defendant had performed sexual acts with his daughters, it was logically relevant independent of the prohibited inference that defendant acted in conformity with his bad character during the act charged. [28] We therefore reject defendant’s contention that the trial court abused its discretion in admitting the other daughter’s testimony.C. Motel Incident
[29] Defendant next contends the trial court abused its discretion in allowing the victim and another witness (a former boyfriend of the victim) to testify about defendant’s actions at a motel with the victim three and a half years before the charged incident. Defendant maintains that such evidence did not meet the foundational requirements of §16-10-301(4) and therefore was improperly admitted. We are not persuaded.
and also as part of the res gestae. While the court did not specifically determine whether the purpose in admitting the evidence was proper, it found, and we agree, the earlier incident was similar to the charged incident to the extent that defendant initiated contact both times by giving the victim back rubs in the morning. This evidence suggested a common scheme or plan by defendant in initiating sexual contact and was evidence of his modus operandi. Those purposes were proper under §16-10-301(3) and (4)(b). [34] The trial court also did not determine whether the other act had occurred and whether the prosecution established a prima facie case for the charged offense as required by § 16-10-301(4)(b) and (c). However, the prosecution’s offer of proof detailed the motel incident and the charged offense sufficiently to meet these requirements. [35] We reject defendant’s related contention that the motel incident was not sufficiently similar to the charged offense and failed to satisfy theSpoto test. Although the trial court did not determine the admissibility of this evidence under Spoto, we conclude the evidence of the motel incident was sufficiently similar and met the requirements of Spoto. SeePeople v. Martinez, supra. [36] Because it demonstrated a common scheme or plan and modus operandi, evidence that defendant rubbed the victim’s back at the motel related to a material fact, that is, whether defendant actually committed
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the charged act with the requisite knowledge. The evidence also was logically relevant because it made it more probable that defendant committed the charged act than without this evidence. Further, the testimony concerning the motel incident showed a pattern in the manner in which defendant initiated contact with the victim, and the logical relevance of the evidence therefore was independent of any inference that defendant was a person of bad character.
[37] Nor do we agree with defendant that the probative value of this evidence was substantially outweighed by its prejudicial effect. The victim and her former boyfriend did not describe the incident in great detail and the victim’s description of the motel incident was relatively minor, especially in comparison to her testimony in support of the charged offense that defendant had forced her to have sexual intercourse with him. [38] We therefore perceive no abuse of discretion by the trial court in allowing the testimony about the motel incident. D. Failure to Give a Limiting Instruction
[39] Relying on People v. Roberts, 738 P.2d 380 (Colo.App. 1986), defendant next contends the trial court erred in failing to give the jury a contemporaneous instruction, pursuant to § 16-10-301(4)(d), explaining the limited purpose for which the jury could consider the motel incident testimony. We agree the trial court erred, but conclude reversal is not required.
[42] In People v. Roberts, supra, the defendant was convicted of aggravated incest. The unlawful sexual contact consisted of an incident in which he allegedly had caressed his daughter’s breasts through her clothes. Pursuant to § 16-10-301, the prosecution was permitted to introduce the daughter’s testimony about a number of uncharged sexual acts, including petting, fellatio, and intercourse, to which the defendant had subjected her over the course of ten years. [43] A panel of this court ordered a new trial, concluding the trial court had committed plain error under § 16-10-301 by failing to give a limiting instruction at any time during the trial. The panel reasoned that, “[g]iven the large number and the egregious nature of the other sexual contacts testified to by the daughter, the trial court’s failure to instruct the jurors as to the limited purpose for which they could consider such evidence seriously prejudiced defendant’s right to a fair trial on the charged offense.” People v. Roberts, supra, 738 P.2d at 382. [44] We conclude the circumstances here are distinguishable from those inRoberts. The evidence of defendant’s conduct at the motel was relatively minor when compared to the other evidence that he had forced both of his daughters to have sexual intercourse with him. Although the victim’s former boyfriend recalled that she had told him defendant “groped” her breasts at the motel, the victim’s own testimony regarding the incident was that defendant had massaged her back and moved his hands near her breasts without touching them.While the results of these cases turn on their particular facts, each decision echoes a common theme that is consistent with our plain-error standard of review — namely, that plain error will be found only if we can say with fair assurance that the trial court’s failure to give the statutory cautionary instruction so undermined the fundamental fairness of the trial as to cast serious doubt on the reliability of the judgment of conviction.
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[45] Further, while Roberts recognized the trial court’s duty to give a contemporaneous limiting instruction under § 16-10-301(4), it did not establish a per se rule requiring automatic reversal upon the court’s failure to do so, in the absence of any objection by counsel. The plain error cases continue to “turn on their particular facts.” People v.Wilson, supra, 838 P.2d at 290; see also People v. Opson, 632 P.2d 602, 605 (Colo.App. 1980) (because § 16-10-301 contains “mandatory rather than merely directory language,” trial court did not err in giving limiting instruction over defendant’s objection). [46] In People v. McClure, 779 P.2d 864 (Colo. 1989), the supreme court cited Roberts as partial support for its conclusion that the trial court committed plain error by failing to give a limiting instruction before admitting testimony under § 13-25-129, the child hearsay statute. [47] However, in People v. Wilson, supra, the supreme court emphasized that McClure was not a per se rule requiring automatic reversal, and it disapproved a narrower interpretation of McClure by a panel of this court. The supreme court stated: “McClure should not be read for the proposition that a trial court’s failure to give the statutory cautionary instruction [required by § 13-25-129(2)] will always constitute plain error.” People v. Wilson, supra, 838 P.2d at 290; see People v.Diefenderfer, 784 P.2d 741 (Colo. 1989) (clarifying that McClure was a fact specific decision). [48] After analyzing the particular facts presented in Wilson, the supreme court concluded — contrary to the determination of a panel of this court — that there was no plain error. The Wilson court analyzed the facts in earlier cases such as McClure, and focused on a number of relevant factors. Those factors included: the number of witnesses testifying; the credentials of the witnesses as experts; concern that the jury might give increased weight to the expert testimony; the bolstering effect of the testimony upon the credibility of the child victim; and whether the trial court gave a cautionary instruction in its general charge to the jury and supplemented it with an instruction on the credibility of witnesses. [49] In an analogous context, divisions of this court have considered alleged instructional errors regarding the admission of similar transaction evidence under CRE 404(b). The divisions have acknowledged the trial court’s duty to give a contemporaneous limiting instruction when evidence of a prior conviction or similar transaction is admitted. Nevertheless, after examining the particular facts presented, the divisions have consistently concluded the trial court’s failure to give such an instruction did not automatically require reversal under the plain error standard. See People v. Garcia, supra (trial court’s failure to give limiting instruction before admitting evidence of previous convictions not plain error); People v. Harris, 892 P.2d 378 (Colo.App. 1994) (failure to give limiting instruction before admitting evidence of co-conspirator’s prior convictions not plain error); People v. Taylor, 804 P.2d 196 (Colo.App. 1990) (where the defendant was charged with multiple counts of arson, trial court’s failure to give limiting instruction before admitting evidence concerning each count charged not plain error); People v. Lucero, 724 P.2d 1374 (Colo.App. 1986) (in child sexual assault case, failure to give limiting instruction before admitting evidence of similar transaction not plain error); see alsoPeople v. Gladney, 194 Colo. 68, 72, 570 P.2d 231, 233 (1977) (supreme court agreed “it would have been the better practice” to instruct the jury regarding the limited purpose of the evidence at the time it was admitted, but concluded that failure to do so did not constitute plain error). [50] While these decisions were analyzed in the context of § 13-25-129 or CRE 404(b), they offer some guidance with respect to the harmful effect of the testimony regarding the motel incident admitted here pursuant to § 16-10-301. As to that incident, only two witnesses testified for the prosecution, and only the victim had personal knowledge of what had occurred. She was not offered as an expert and her testimony about the event was very brief, especially when compared to the evidence of the charged offense. [51] Further, in its final charge to the jury, the trial court gave an instruction that substantially tracked the pattern jury instruction onPage 773
similar transaction evidence. See CJI-Crim. 4:02 (1983). While that instruction referred back to the court’s earlier limiting instruction given when the other daughter testified, the trial court also gave the standard instruction regarding the credibility of witnesses and instructed the jury that “[t]he defendant cannot be tried or convicted of any act not charged in the information.” The information charged conduct that occurred in Colorado between December 1 and 31, 1997, whereas the motel incident had occurred in Texas over three years earlier. Thus, it is highly unlikely that the jury in this case was confused or that it construed the court’s final limiting instruction as a reference solely to the other daughter’s testimony.
[52] In summary, we agree with defendant — and the People concede — the trial court should have given a limiting instruction before allowing testimony concerning the motel incident. However, we cannot say with fair assurance the trial court’s failure to give the limiting instruction so undermined the fundamental fairness of the trial as to cast serious doubt on the reliability of the judgment of conviction. Accordingly, we conclude there was no plain error and reversal is not required. [53] Judgment affirmed. [54] JUDGE METZGER and JUDGE KAPELKE concur.