People v. Anderson CA5 ( 2022 )


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  • Filed 10/11/22 P. v. Anderson CA5
    NOT TO BE PUBLISHED IN THE OFFICIAL REPORTS
    California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
    publication or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified for publication
    or ordered published for purposes of rule 8.1115.
    IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
    FIFTH APPELLATE DISTRICT
    THE PEOPLE,
    F080207
    Plaintiff and Respondent,
    (Super. Ct. No. CRF53011)
    v.
    DIANE MARIE ANDERSON,                                                                    OPINION
    Defendant and Appellant.
    APPEAL from a judgment of the Superior Court of Tuolumne County. Kevin M.
    Seibert, Judge.
    Nuttall & Coleman, Roger T. Nuttall and Jim Vorhies; Page Law Firm and
    Edgar E. Page for Defendant and Appellant.
    Rob Bonta, Attorney General, Lance E. Winters, Chief Assistant Attorney
    General, Michael P. Farrell, Assistant Attorney General, Eric L. Christoffersen and
    Robert C. Nash, Deputy Attorneys General, for Plaintiff and Respondent.
    -ooOoo-
    Diane Marie Anderson (“Anderson”) was convicted by a jury of several crimes
    arising out of a fatal car crash her husband, Danny Anderson (“Danny”), caused. She
    was a passenger in, and a co-owner of, the vehicle her husband was driving. On appeal,
    she claims the trial court erroneously excluded expert witness testimony and erroneously
    refused a proposed pinpoint instruction. She also alleges cumulative error. We affirm.
    STATEMENT OF THE CASE
    Anderson was charged in an information with being an accessory after the fact to
    gross vehicular manslaughter (Pen. Code,1 §§ 32, 192, subd. (c)(1); count 1), hit and run
    resulting in death or serious injury to another person (Veh. Code, § 20001, subd. (b)(2);
    count 2), misdemeanor destruction of evidence (§ 135; count 3), and misdemeanor
    resisting or obstructing a peace officer (§ 148, subd. (a)(1); count 4). A jury convicted
    her as charged. The court suspended imposition of sentence and ordered her to serve a
    five-year period of probation under terms which included 10 months in jail.
    FACTS
    I.     Prosecution’s case
    On October 21, 2016, at around 4:27 p.m., Officer Joelle McChesney of the
    California Highway Patrol responded to a traffic collision on La Grange Road
    (Highway J-59) just north of Bonds Flat Road in Tuolumne County. On arrival, Officer
    McChesney saw a white Lexus SUV down an embankment on its side, and a white
    Toyota Camry stopped, straddling the northbound shoulder and lane. Both cars were
    severely damaged.
    Four people had been in the southbound Lexus. 16-year-old Trista Hoffman was
    driving, with her mother, Tina Hoffman, in the front passenger seat, her brother, Dillon
    Hoffman, in the backseat behind Tina, and her friend, Annie Jonson, in the backseat
    behind Trista. Trista and Tina were both killed, and Dillon and Annie were severely
    injured; Dillon broke both of his legs and Annie suffered a head injury. Tina was ejected
    from the vehicle and lie dead in the roadway.
    1   Undesignated statutory references are to the Penal Code.
    2.
    Two people were in the Toyota Camry, husband and wife Reinholdt (John) and
    Dorothy Eisemann. Dorothy was driving with John in the passenger seat. John died
    from his injuries and Dorothy suffered lacerations to her arms.
    La Grange Road is a two-lane rural road with one lane going north and one going
    south. The lanes are separated by solid double-yellow lines. The road contains hills,
    turns, and elevation changes.
    Dillon Hoffman testified Trista was driving between 40 and 50 miles per hour. He
    saw a northbound white vehicle cross the double-yellow lines into their lane to pass some
    cars. He described the vehicle that was coming toward them in their lane as “white,
    sportsy and brand-new.” Trista swerved to avoid a collision and lost control of the
    Lexus, which began rolling. Dillon said he saw his mother get ejected out of the front
    window during the rolling.
    Dorothy Eisemann testified she was traveling northbound on J59 with John. Their
    route took them past the House Boat Mini Mart on La Grange Road. Around the area of
    the mini mart, they were behind a vehicle that was going below the speed limit. After
    they passed the mini mart, a white vehicle, travelling at a high rate of speed, “whooshed”
    by, passing her and the vehicle in front of her. She said she used the word “whoosh” to
    convey that the pass was made “at a high velocity.” She said, “I did not hear a whoosh. I
    described the velocity as a whoosh.” She said the passing vehicle was not a sedan like
    her car.
    Just “fractions of seconds” before being passed by the white vehicle, Eisemann
    noticed a car travelling southbound. The southbound vehicle veered onto the shoulder
    and then went airborne and collided with her vehicle with a loud thud.
    Officer McChesney contacted Anderson and her husband, Danny, at the scene.
    Danny said that he was a physician and that he had come upon the accident. Anderson
    told another officer that she and Danny were not involved in the accident, and that they
    3.
    had come upon the accident and stopped to help. Subsequently, both Anderson and
    Danny left the scene.
    On October 22, 2016, CHP Officer Michael McDaniel obtained video footage
    from the House Boat Mini Mart, which was located a short distance south of the accident
    scene on La Grange Road. This video showed a van driving northbound just before the
    accident, followed by the Eisemanns’ Toyota, then by a white SUV. Officer McDaniel
    determined the white SUV to be a 2014—2016 white Acura MDX. Law enforcement
    issued a series of press releases asking for the public’s assistance in locating the white
    2014—2016 Acura MDX.
    CHP Officer Jason Austin reviewed the mini mart footage, and also reviewed
    surveillance footage from a storage facility two miles south of the mini mart. The cars
    were in the same order, but with a more significant gap between the Eisemanns’ Toyota
    and the Acura. Officer Austin obtained a list from the DMV of all the Acura MDX’s in
    Tuolumne, Merced, and Stanislaus Counties. There were 11 in Tuolumne County.
    Officer McChesney reviewed the DMV list and recognized Danny’s name from having
    spoken to him at the accident. Officer McChesney arranged to interview Anderson and
    Danny.
    Officer McChesney and Officer Shawn Snyder interviewed Anderson at her home
    on December 6, 2016. At the same time, Officer Austin and another investigator went to
    Danny’s medical office and interviewed him. Anderson said she was the passenger and
    had seen nothing because she was playing a game on an iPad and was drifting off to
    sleep. Danny told her something was wrong and they needed to stop. After they left the
    scene, the two did not discuss how the collision occurred.
    During the interview, Anderson said she had sold the Acura the previous weekend
    in Southern California. She also said she had seen the press releases and knew the
    accident was caused by a car making a pass, but she did not even consider going in to talk
    to CHP. Anderson’s interview was recorded and played for the jury.
    4.
    The accident investigation was referred to the CHP Multidisciplinary Accident
    Investigation Team (MAIT) in February 2017. The team collected evidence at the scene,
    which included taking photographs and videos, and reviewed police reports. They were
    also able to obtain information from the airbag control module (ACM) of the Eisemanns’
    Toyota. The team also met with Eisemann at the scene and interviewed her there. From
    this evidence, the MAIT reconstructed the accident. The team created two videos, one
    from the northbound perspective and one from the southbound perspective, which
    depicted the collision as they theorized it happened.
    CHP Officer Robert Shaw, a CHP MAIT-certified accident reconstruction expert,
    testified about the MAIT reconstruction. He testified that in his expert opinion Danny
    caused the accident by making a pass over the double-yellow lines and heading directly
    for Trista. He testified there would have been a head on collision had Trista not taken
    evasive action. He stated Trista’s reaction to Danny’s oncoming vehicle was reasonable
    and what most people would do. Shaw said, in reaching his opinion, he considered
    Dillon Hoffman’s testimony as to the speed his sister was driving, which was also
    supported by physical evidence; the location where Eisemann said Danny began his pass
    and the fact she said she could see the Hoffmans’ oncoming vehicle before the Eisemanns
    were passed; the physical evidence at the scene; the surveillance footage from the House
    Boat Mini Mart; and the data from the Eisemanns’ ACM.
    II.    Defense case
    Anderson testified in her own defense. She said she and Danny were driving
    home from Los Angeles at the time of the collision. She stated she did not know Danny
    passed a couple of cars over a double-yellow line. She recalled Danny waking her up,
    telling her something happened, and saying they needed to turn around.
    They arrived at the accident scene and she saw a mangled car and what she
    thought was a body, but she could not tell how the accident happened. She tried calling
    911 but did not have reception. She saw a body of what she perceived to be a teenager on
    5.
    the ground and she checked for a pulse, as she is a nurse. She could not find a pulse and
    found Danny to help. Danny started chest compressions but stopped because the woman
    had died.
    Anderson started to feel dizzy, went over to a police officer and held on to the
    officer’s arm for support, and then went to her car. She testified she was only at the
    accident scene because Danny was a physician. Police asked for her name and address,
    but nobody asked her about the accident and she had no thought she and Danny were
    somehow involved. She did “not really” talk about the accident with Danny in the
    following days because it upset her.
    She later saw an article that police were looking for a white Acura that fled the
    scene, and she showed it to Danny. They did not call police. She testified they had not
    fled the scene and she did not think they had anything to hide. She also said she did not
    like the Acura, which is why she got rid of it.
    Danny also testified for the defense. He admitted passing a Toyota and a minivan
    in front of him in a single pass that took between five and 10 seconds. He thought it was
    safe to pass, and in doing so crossed a double-yellow line. He completed the pass and
    moved back into the northbound lane. At that point, the only oncoming southbound car
    was in the distance. He did not see any southbound cars go out of control.
    Anderson was dozing when Danny passed the cars. He reached over and woke
    Anderson up and said something happened and they needed to go back. He returned to
    the scene and saw several cars and a horrible accident. He tried helping some of the
    injured. He testified his pass did not contribute to the accident and he did not know how
    it occurred.
    Danny said he was at the scene for about 45 minutes and spoke to three law
    enforcement officers. He told them who he was and told them he had not witnessed the
    accident, but he did tell one of them he saw a flash of white in his rearview mirror. They
    asked him for his phone number, which he provided, and was prepared to give them his
    6.
    license, but they said they did not need it. He asked a CHP officer who appeared to be in
    charge if it was okay for him to leave, and the officer said it was. He said he answered all
    of the police’s questions at the scene, and at no point did they suggest he was involved.
    He said he and Anderson never talked about whether they were involved in the
    accident because they were not. He learned law enforcement was looking for an Acura
    that had “fled” the scene, but he did not contact law enforcement because he did not
    “flee” the scene.
    The defense also called Christina Hodge. Hodge was driving southbound near the
    collision. There was a light-colored car in front her, maybe an SUV, and a larger light-
    colored car behind her that then passed her and the car in front of her. They were going
    into a curve at the time of the pass. When the passing vehicle passed the vehicle in front
    of Hodge, the front vehicle lost control, went right, and then went left and hit a vehicle in
    the northbound lane. Before the vehicle behind her made its pass, she did not remember
    any vehicle going northbound.
    She stopped and saw a woman’s or small person’s body on the ground, and one of
    the cars was down the embankment. She thought at first the person was a pedestrian.
    She left the accident site and went to her mother’s house to call 911. During the
    prosecution’s case in chief, a CHP dispatcher testified as to what was in the CAD log for
    this incident, which was admitted into evidence. A CAD log is a log that dispatch creates
    for an incident or for an incoming call. The dispatcher stated that Hodge said she saw the
    collision and was behind the vehicle that lost control. Hodge reported that a female,
    possibly a juvenile, was walking down the road, and that a vehicle was hit, and that this
    vehicle possibly hit the woman, who was in the roadway not breathing.
    Hodge was later contacted by a private defense investigator and gave a recorded
    interview to investigators and attorneys. On the day of the collision, she had just put her
    dog down and told investigators she was very distracted. She testified in a prior
    proceeding she could not identify the location of the collision or the curve in which she
    7.
    claimed the vehicle passed her. But since that prior proceeding, she had met with defense
    counsel more than once who went over a map of the area with her, and now at
    Anderson’s trial could identify spots on the map.
    Also in the prosecution’s case in chief, Officer McChesney testified she
    considered Hodge’s statement that was related in the CAD log. McChesney said she
    called and left a message for Hodge to call her back, but after reading the log of the call,
    McChesney concluded Hodge really did not know what happened. By that point, Officer
    McChesney knew it was Tina Hoffman who was down in the road, not a juvenile who
    had been walking down the road.
    Also during the prosecution’s case in chief, Officer Shaw testified he listened to
    Hodge’s recorded statement after he prepared his report, and he concluded nothing in that
    statement changed his opinion. He stated that if he thought Hodge had credible
    information to add, he would have considered it and changed his report.
    The defense also called expert witness John Tyson, an engineer who does accident
    reconstruction. Tyson testified he was asked to consider whether Hodge’s version of how
    the accident occurred was plausible. He said he did not see any evidence that CHP
    considered Hodge’s version of events, and opined it was possible that the vehicle Hodge
    said passed her caused the collision. However, he also stated there was no evidence
    supporting Hodge’s version of events. He also testified, based on Danny’s testimony that
    he started his pass further south, that Danny could have had enough time to safely
    complete his pass before the point of impact.
    DISCUSSION
    I.     Exclusion of expert testimony
    The day before trial, defense counsel informed the prosecutor that the defense
    intended to call an expert witness, an investigator named Jeffery Hopkins, to testify about
    law enforcement’s investigation of the case and the MAIT accident reconstruction.
    Hopkins was offered to testify that law enforcement’s investigation of the accident was
    8.
    deficient because witnesses were not thoroughly interviewed, and that the MAIT’s
    accident reconstruction was unreliable because it was based on calculations that were
    based on estimates.
    The court held an Evidence Code section 402 hearing regarding Hopkins’s
    possible testimony. According to defense counsel’s proffer, Hopkins would have
    testified Eisemann’s description of a “whoosh” going past her required law enforcement
    to follow-up with her to determine whether Eisemann was instead passed by a car going
    the opposite direction. Law enforcement also should have followed up with Dillon
    Hoffman regarding what was happening in the Hoffman vehicle before the accident,
    particularly because Trista was a student driver. Additionally, the MAIT investigation
    was not requested until four months after the accident, which was too late and thus
    unprofessional. Also, the MAIT took Eisemann to the crash scene seven months after the
    accident to have her point out locations needed for the reconstruction, but she should
    have been asked to point out those important locations much sooner. Also, CHP’s failure
    to interview Christina Hodge was “far below professional standards” and violated law
    enforcement’s “obligation to seek the truth.”
    Defense counsel stated that Hopkins would opine that all these deficiencies weigh
    on the reliability of the MAIT accident reconstruction and Shaw’s conclusion that Danny
    caused the accident. The defense’s theory in this regard was that if Danny was not liable
    for causing the collision, then Anderson could not be liable for the charges against her.
    That is to say, Anderson’s liability for the charged offenses hinged on Danny’s liability
    as the cause of the accident.
    The trial court excluded Hopkins’s testimony because (1) it was not a proper
    subject of expert testimony, and (2) because there was no good cause shown for why the
    9.
    defense did not satisfy its discovery obligation to timely inform the prosecution of
    Hopkins’s proposed testimony.2
    We will affirm the exclusion of Hopkins’s proffered testimony on the ground it
    was not a proper subject of expert testimony. We need not analyze whether it was error
    to exclude the testimony as untimely.3
    A.     Analysis
    “ ‘ “Generally, the opinion of an expert is admissible when it is ‘[r]elated to a
    subject that is sufficiently beyond common experience that the opinion of an expert
    would assist the trier of fact....’ ” ’ [Citations.] However, … “[e]xpert testimony will be
    excluded ‘ “ ‘when it would add nothing at all to the jury’s common fund of information,
    i.e., when “the subject of inquiry is one of such common knowledge that men [and
    women] of ordinary education could reach a conclusion as intelligently as the
    witness.” ’ ” ’ ” (People v. Brown (2016) 
    245 Cal.App.4th 140
    , 156—157 (Brown); see
    Evid. Code, § 801, subd. (a).)
    Additionally, “[s]ome topics are categorically off-limits to expert testimony.
    (See Evid. Code, § 801, subd. (b) [caveat to admissibility where ‘expert is precluded by
    law from using such matter as a basis for his opinion’], § 802 [expert may state basis for
    opinion ‘unless he is precluded by law from using such reasons or matter as a basis for
    his opinion’].)” (Brown, supra, 245 Cal.App.4th at p. 157.) For example, juries are
    competent to decide such things as witness credibility without expert assistance.
    (People v. Wells (2004) 
    118 Cal.App.4th 179
    , 189.)
    2The trial court initially ruled the proffered testimony should also be excluded
    under Evidence Code section 352 because it would require an undue consumption of
    time. However, the court later stated it was not relying on Evidence Code section 352 as
    a ground for excluding the testimony. We therefore need not address this ground.
    3 Anderson does not dispute that her defense team failed to comply with its
    reciprocal discovery obligations. Thus, the only question would be whether excluding
    the testimony was an appropriate sanction for the discovery violation.
    10.
    Here, Hopkins was offered to explain that the accident investigation was deficient.
    In this regard, Hopkins would have critiqued law enforcement officers’ handling of the
    investigation, including their interviewing of witnesses, their decision to not interview
    Hodge, and the MAIT investigators’ use of estimations in reconstructing the collision.
    Hopkins would have ultimately opined that these deficiencies raised a serious question
    about the reliability of the MAIT team’s reconstruction and of Officer Shaw’s opinion
    that Danny caused the accident. We agree with the court’s ruling that Hopkins’s
    proffered testimony was not a proper subject of expert testimony, as nothing in the
    proffered testimony was beyond the jury’s common experience.
    People v. Johnson (1993) 
    19 Cal.App.4th 778
     (Johnson), is instructive. There, the
    appellate court found no abuse of discretion in excluding two expert witnesses, one of
    whom was a professor with a Ph.D. in sociology, on the unreliability or lack of credibility
    of statements or testimony of prison inmates. (Id. at p. 786.) The court explained “there
    was no need for a sociological lecture on the nature of the prison environment—the jury
    learned plenty about that subject from the other evidence …,” and “the prospective
    abandonment of common sense by lay jurors for reliance on paid ‘expert’ testimony
    covering a subject well within a jury’s ken ….” (Id. at p. 791.)
    Similarly, in People v. McDowell (2012) 
    54 Cal.4th 395
     (McDowell), the
    California Supreme Court held that expert testimony was not required to explain how the
    defendant’s childhood could have affected him as an adult. (Id. at pp. 427—428.) There,
    “[t]he essence of [the] proposed testimony was that defendant’s childhood could have
    affected defendant’s behavior as an adult, not how defendant’s specific childhood
    experiences influenced the crimes he committed as an adult.” (Id. at p. 427.) The Court
    found the testimony “was neither technical nor complex, and the trial court could
    reasonably have found that it would not assist the trier of fact because it addressed a
    matter readily understood by lay jurors.” (Ibid.)
    11.
    Here, as in Johnson and McDowell, Hopkins’s proffered testimony covered topics
    commonly understood by jurors. The essence of his testimony was that criminal
    investigations should be thorough, which includes that all potential witnesses be
    interviewed as soon as possible, and that the reliability of an accident reconstruction
    depends on the reliability of the data used to create the reconstruction. This proposed
    testimony was neither technical nor complex, and it pertained to matters readily
    understood by lay jurors. (McDowell, supra, 54 Cal.4th at p. 427.) There was no need
    for expert testimony that law enforcement should conduct thorough investigations and
    that accident reconstructions are only as reliable as the data used to create them, as the
    jurors could rely on their common sense to evaluate the alleged deficiencies in the
    investigation and evaluate the reliability of the MAIT’s accident reconstruction. We
    therefore conclude the court did not abuse its discretion in excluding the proffered expert
    testimony.
    II.    Pinpoint instruction
    First, Anderson contends the trial court erred by refusing to give her proposed
    pinpoint instruction on independent intervening causation. We disagree. Pinpoint
    instructions are appropriate only if they are in accordance with defendant’s theory of the
    case. (People v. Covarrubias (2016) 
    1 Cal.5th 838
    , 873—874.) One of the theories
    Anderson argued to the jury was that there was reasonable doubt that Danny caused the
    fatal accident, and if the jury had reasonable doubt about his liability, by extension they
    would have to find her not guilty on all charges. Under that theory, Danny passed safely,
    and someone else driving the other direction caused the accident. That theory involves
    not an independent intervening cause, but an altogether different cause, and therefore the
    proposed pinpoint instruction was not warranted because it was not at all related to the
    defense theory. There was no error.
    A.     Background
    The court instructed the jury on causation:
    12.
    “An act or omission caused injury if the injury is the direct, natural,
    and probable consequence of the act or omission and the injury would not
    have happened without the act or omission.
    “A natural and probable consequence is one that a reasonable person
    would know is likely to happen if nothing unusual intervenes. In deciding
    whether a consequence is natural and probable, consider all the
    circumstances established by the evidence.
    “There may be more than one cause of the injury. An act or
    omission causes injury only if it is a substantial factor in causing the injury.
    A substantial factor is more than a trivial or remote factor. However, it
    does not have to be the only factor of the cause of the injury.”4
    Anderson requested that the jury be given an instruction on independent
    intervening causation. The defense proposed a written instruction, which it labeled
    “CACI 432,” “Affirmative Defense-Causation: Third-Party Conduct as Superseding
    Cause.” The proposed instruction read:
    “Defendant, Diane Anderson, believes that her husband, Danny
    Anderson, was not the cause of the accident, and that therefore, he was not
    responsible for the collision and the resultant harm. Based upon the
    evidence introduced during the trial of the instant case, you may consider
    the following on the issue of whether or not the prosecution has proved
    beyond a reasonable doubt that the actions of Danny Anderson caused the
    accident:
    “1. That there existed the conduct of a third party which occurred
    separate from the conduct of Danny Anderson;
    “2. That a reasonable person would consider the third party’s
    conduct a highly unusual or extraordinary response to the situation;
    “3. That Danny Anderson did not know and had no reason to expect
    that the third party would act in a negligent manner; and
    4  Written jury instructions are not part of the appellate record. However, we
    observe that the court’s instruction on causation matches CALCRIM No. 240, which is
    entitled “Causation,” with the exception of the last sentence. The last sentence of
    CALCRIM No. 240 reads, “However, it does not have to be the only factor that causes
    the injury.” (Italics added.) We agree with the People’s supposition that this
    inconsequential difference was likely an error in speaking or transcription.
    13.
    “4. That the kind of harm resulting from the third party’s conduct
    was different from the kind of harm that could have reasonably been
    expected from Danny Anderson’s conduct.”
    We observe, in passing, the defense’s proposed instruction deviates from
    CACI No. 432’s language in at least one significant respect. For example, paragraph 1.
    of CACI No. 432 reads, “That [name of third party]’s conduct occurred after the conduct
    of [name of defendant][.]”
    The trial court heard oral argument from the parties on the issue. Defense counsel
    argued that the concept of third-party liability goes to the issue of Danny’s responsibility,
    and also to whether Anderson’s belief that Danny did not cause the accident was
    reasonable. The trial court rejected the proposed pinpoint instruction for being untimely
    submitted and for being unnecessary and inappropriate. The court determined that the
    defense could argue their other-party causation theory under CALCRIM No. 240, and
    that CACI No. 432 was meant to be used “in a completely different context and purpose”
    than what was present here.
    B.     Applicable law
    1.     Law on pinpoint instructions
    “ ‘Upon proper request, a defendant has a right to an instruction pinpointing the
    theory of defense ... if the theory proffered by the defendant is supported by substantial
    evidence’ [citation], the instruction is a correct statement of law [citation], and the
    proposed instruction does not simply highlight specific evidence the defendant wishes the
    jury to consider [citation].” (People v. Jo (2017) 
    15 Cal.App.5th 1128
    , 1174.)
    A defendant is not entitled to a specific pinpoint instruction if it does not relate to
    particular facts or a theory of the defense. (See People v. Reed (2018) 
    4 Cal.5th 989
    ,
    1009.)
    The trial court “ ‘may properly refuse an instruction offered by the defendant if it
    incorrectly states the law, is argumentative, duplicative, or potentially confusing
    [citation], or if it is not supported by substantial evidence.’ ” (People v. Bivert (2011)
    14.
    
    52 Cal.4th 96
    , 120.) “[W]here standard instructions fully and adequately advise the jury
    upon a particular issue, a pinpoint instruction on that point is properly refused.”
    (People v. Canizalez (2011) 
    197 Cal.App.4th 832
    , 857.) “There is no error in a trial
    court’s failing or refusing to instruct on one matter, unless the remaining instructions,
    considered as a whole, fail to cover the material issues raised at trial.” (People v.
    Dieguez (2001) 
    89 Cal.App.4th 266
    , 277.)
    “We review claims of instructional error de novo.” (People v. Lyon (2021)
    
    61 Cal.App.5th 237
    , 253.) “We look to the instructions as a whole and the entire record
    of trial, including arguments of counsel. [Citation.] Where reasonably possible, we
    interpret the instructions ‘ “to support the judgment rather than [to] defeat it.” ’ ”
    (People v. Mason (2013) 
    218 Cal.App.4th 818
    , 825.)
    2.      Law on causation in criminal cases
    We next set forth the principles of causation in criminal cases. “The principles of
    causation apply to crimes as well as torts. [Citation.] ‘Just as in tort law, the defendant’s
    act must be the legally responsible cause (“proximate cause”) of the injury, death or other
    harm which constitutes the crime.’ [Citations.] Thus, in the language of the standard
    jury instruction, to constitute a homicide ‘… there must be, in addition to the death of a
    human being, an unlawful act which was a cause of that death.’ [Citation.] [¶] But the
    law, the Supreme Court has noted, ‘ “defines ‘cause’ in its own particular way.” ’ ”
    (People v. Schmies (1996) 
    44 Cal.App.4th 38
    , 46—47 (Schmies); People v. Brady (2005)
    
    129 Cal.App.4th 1314
    , 1324 (Brady).)
    “In homicide cases, a ‘cause of death of [the decedent] is an act or omission that
    sets in motion a chain of events that produces a direct, natural and probable consequence
    of the act or omission the death of [the decedent] and without which the death would not
    occur.’ [Citation.] In general, ‘[p]roximate cause is clearly established where the act is
    directly connected with the resulting injury, with no intervening force operating.’ ”
    15.
    (People v. Cervantes (2001) 
    26 Cal.4th 860
    , 866 (Cervantes); Brady, supra,
    129 Cal.App.4th at p. 1324.)
    “California courts have adopted the ‘substantial factor’ test for analyzing
    proximate cause. ‘... Under that standard, a cause in fact is something that is a
    substantial factor in bringing about the injury. [Citations.] The substantial factor
    standard generally produces the same results as does the “but for” rule of causation which
    states that a defendant’s conduct is a cause of the injury if the injury would not have
    occurred “but for” that conduct. [Citations.] The substantial factor standard, however,
    has been embraced as a clearer rule of causation—one which subsumes the “but for” test
    while reaching beyond it to satisfactorily address other situations, such as those involving
    independent or concurrent causes in fact.’ ” (People v. Foalima (2015) 
    239 Cal.App.4th 1376
    , 1396.)
    “ ‘ “There may be more than one proximate cause of the death. When the conduct
    of two or more persons contributes concurrently as the proximate cause of the death, the
    conduct of each is a proximate cause of the death if that conduct was also a substantial
    factor contributing to the result. A cause is concurrent if it was operative at the time of
    the death and acted with another cause to produce the death.” ’ ” (People v. Sanchez
    (2001) 
    26 Cal.4th 834
    , 847.) “Indeed, it has long been recognized that there may be
    multiple proximate causes of a homicide, even where there is only one known actual or
    direct cause of death.” (Id. at p. 846.)
    “[T]he ‘defendant may also be criminally liable for a result directly caused by his
    or her act, even though there is another contributing cause.’ ” (Cervantes, 
    supra,
    26 Cal.4th at pp 866—867.) “The defendant is liable for a crime irrespective of other
    concurrent causes contributing to the harm [citation] .... Moreover, a superseding cause
    must break the chain of causation after the defendant’s act before he or she is relieved of
    criminal liability for the resulting harm.” (People v. Wattier (1996) 
    51 Cal.App.4th 948
    ,
    953.)
    16.
    “Intervening causes in criminal cases are typically described as either ‘dependent’
    or ‘independent.’ A dependent intervening cause will not absolve a defendant of criminal
    liability while an independent intervening cause breaks the chain of causation and does
    absolve the defendant. [Citation.] ‘An intervening cause may be a normal or involuntary
    result of the defendant’s original act. Such a cause is said to be “dependent,” and does
    not supersede; i.e., the defendant is liable just as in the direct causation case.’ [Citation.]
    An ‘independent’ intervening ‘act may be so disconnected and unforeseeable as to be a
    superseding cause; i.e., in such a case the defendant’s act will be a remote, and not the
    proximate, cause.’ [Citation.] ... ‘[W]here the negligent conduct of the actor creates or
    increases the foreseeable risk of harm through the intervention of another force, and is a
    substantial factor in causing the harm, such intervention is not a superseding cause.’
    [Citation.] Stated another way, ‘[t]he intervention of a force which is a normal
    consequence of a situation created by the actor’s negligent conduct is not a superseding
    cause of harm which such conduct has been a substantial factor in bringing about.’ ”
    (Schmies, supra, 44 Cal.App.4th at p. 49, fn. omitted; Cervantes, 
    supra,
     26 Cal.4th at
    pp. 871—872.)
    C.     Analysis
    The trial court properly declined to give the requested instruction on independent
    intervening causation because the instruction was not at all related to the defense’s theory
    that someone else besides Danny caused the accident. Anderson theorized that Danny
    safely completed his (illegal) passing maneuver before some other driver’s subsequent
    actions caused the accident. Her theory, therefore, was not one of independent
    intervening causation, but of an altogether different cause.
    Invoking the defense of intervening causation—whether dependent or
    independent—in this case necessarily implies that Danny committed a wrongful act that
    started a chain of causation, and then some other person’s subsequent action broke that
    chain. (Schmies, supra, 44 Cal.App.4th at p. 49.) But again, Anderson’s theory of
    17.
    someone else causing the accident is incompatible with the concept of independent
    intervening causation. The requested instruction was therefore not relevant to the
    defense’s theory. There was no instructional error. In light of this conclusion, we need
    not address whether it was error to reject the proposed instruction as untimely submitted.
    III.   Cumulative error
    Anderson contends the cumulative effect of the errors here requires reversal.
    “ ‘Under the “cumulative error” doctrine, errors that are individually harmless may
    nevertheless have a cumulative effect that is prejudicial.’ ” (People v. Loza (2012)
    
    207 Cal.App.4th 332
    , 365.) There is no error to accumulate.
    DISPOSITION
    The judgment is affirmed.
    SNAUFFER, J.
    WE CONCUR:
    POOCHIGIAN, ACTING P. J.
    DETJEN, J.
    18.
    

Document Info

Docket Number: F080207

Filed Date: 10/11/2022

Precedential Status: Non-Precedential

Modified Date: 10/11/2022