Green v. State , 231 Md. App. 53 ( 2016 )


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  •                  REPORTED
    IN THE COURT OF SPECIAL APPEALS
    OF MARYLAND
    No. 490
    September Term, 2015
    ______________________________________
    JOHN W. GREEN, III
    v.
    STATE OF MARYLAND
    ______________________________________
    Meredith,
    Graeff,
    Friedman,
    JJ.
    ______________________________________
    Opinion by Graeff, J.
    ______________________________________
    Filed: December 1, 2016
    A jury in the Circuit Court for Cecil County convicted appellant, John W. Green,
    III, of first-degree murder, conspiracy to commit first-degree murder, use of a firearm in
    the commission of a felony, and unlawfully wearing, carrying or transporting a handgun.
    The court sentenced appellant to life, all but eighty years suspended, on the murder
    conviction, thirty years, consecutive, on the conspiracy conviction, and twenty years,
    consecutive to the murder count, for the convictions of use of a firearm in the commission
    of a felony and wearing, carrying, or transporting a handgun.
    On appeal, appellant presents the following two questions for this Court’s review:
    1. Did the trial court err in admitting the identification testimony of a key
    State’s witness?
    2. Did the trial court err in allowing the State to present evidence during
    closing argument?
    For the reasons set forth below, we answer these questions in the negative, and
    therefore, we shall affirm the judgments of the circuit court.
    FACTUAL AND PROCEDURAL BACKGROUND
    On October 23, 2013, Jeff Meyers was shot and killed in the driveway of his Cecil
    County residence while sitting in his pickup truck. During the ensuing seven-day trial
    against appellant, the State presented numerous witnesses indicating that the shooting was
    related to stolen money and drugs.
    Appellant admitted at trial that he and Jonathan Copeland drove a Ford Mustang to
    Mr. Meyers’ house on Principio Road the day of the murder, where they confronted
    Mr. Meyers about the theft of money and drugs belonging to Mr. Copeland.1 An altercation
    ensued, and Mr. Meyers was shot and killed.
    Thus, it was not disputed that appellant was present at the time of the murder, and
    that Mr. Copeland, who was taller and skinnier than appellant, was the only other person
    with appellant at the time of the shooting. The contested issue was the identity of the
    shooter.2
    Doris Carter testified that she was driving on Principio Road when she observed a
    Mustang blocking Mr. Meyers’ truck. She observed that the door of the Mustang “was
    open on the driver’s side, and someone was standing there with one foot in the car, one
    foot out of the car, and there was another person standing off to [her] left.” Ms. Carter
    described the person “standing at the car” as “tall and thin,” wearing a black hat “with
    white design, [which] seemed to be like snowflakes.”3 She described the other person as a
    1
    Dawn Watson, Meyers’ girlfriend, testified that Mr. Copeland was Meyers’ heroin
    dealer, and Mr. Meyers’ heroin use had “got[ten] bad.”
    2
    The State, in its closing rebuttal, argued that the jury “could literally boil this [case]
    down to two things, the short stocky guy was the one who fired the gun, and [appellant
    was] the short stocky guy.”
    3
    Other evidence indicated that appellant was wearing the hat, which subsequently
    was found in appellant’s apartment. Detective Lewis testified that the Statement of
    Charges reflected that “a witness saw a short, stocky person wearing a snowflake hat
    shooting into the car.” He testified that the witness was Ms. Carter. Julie Kempton, a
    forensic biologist, testified that two sources of DNA were found on the hat. Appellant was
    a major contributor to the DNA, and although Ms. Kempton could not identify the minor
    contributor, she was able to rule out Mr. Copeland. Finally, appellant testified at trial that
    he was wearing the hat at the time of the shooting.
    -2-
    “short stouter male,” who was wearing a “hoodie” and appeared to be a “white male.”4 As
    she drove past the Mustang, Ms. Carter observed “the short stout person shooting into”
    Mr. Meyers’ truck.5
    Near the end of the State’s direct examination of Ms. Carter, the prosecutor asked
    her if she could identify the “taller skinnier” man if she saw him. Ms. Carter responded:
    “I think so.” After a lengthy conference with the court and opposing counsel, discussed in
    more detail, infra, the prosecutor brought Mr. Copeland into the courtroom. Ms. Carter
    then identified Mr. Copeland as the “taller thin” person who was “wearing the hat” and
    standing next to the black Mustang.
    As indicated, appellant was convicted of murder and related crimes. This appeal
    followed.
    DISCUSSION
    I.
    Identification
    Appellant first contends that the circuit court abused its discretion in allowing
    Ms. Carter to identify Mr. Copeland in court as the “taller thin” man that she saw standing
    outside the driver’s side of the Mustang “wearing the hat.” He asserts that, by “failing to
    provide [him] with complete and accurate information regarding the extent to which
    4
    Detective Lewis testified that, at booking, appellant’s height was 5′6″ and his
    weight was 190 pounds; Mr. Copeland’s height was 5′9″ and his weight was 160 pounds.
    5
    Several other witnesses saw a black Mustang and heard gunshots, but they did not
    witness the actual shooting.
    -3-
    [Ms.] Carter could identify [Mr.] Copeland, both in court and photographically,” the State
    “violated its discovery obligations under Maryland Rule 4-263.” He contends that the court
    should have precluded the identification procedure, and the failure to do so was an abuse
    of discretion and reversible error.
    The State responds in several ways. Initially, it argues that appellant’s claim of a
    discovery violation is unpreserved for this Court’s review. Even if preserved, the State
    contends that there was no violation of the discovery rules, and therefore, appellant’s
    claims are without merit. Finally, the State argues that, even if it did fail to satisfy its
    discovery obligations, any prejudice to appellant was limited, and cross-examination, not
    exclusion of the evidence, was the proper remedy.
    A.
    Discovery Generally
    Maryland Rule 4-263 sets forth the discovery obligations of prosecutors in circuit
    court criminal trials.6 The provisions at issue in this appeal are subsections (d)(3), (6), (7),
    and (9). In this regard, the Rule provides as follows:
    (d) Disclosure by the State’s Attorney. Without the necessity of a request,
    the State’s Attorney shall provide to the defense:
    (3) State’s Witnesses. As to each State’s witness the State’s Attorney
    intends to call to prove the State’s case in chief or to rebut alibi testimony:
    (A) the name of the witness; (B) except as provided under Code, Criminal
    6
    As the State points out, Rule 4-263 has undergone significant changes over time.
    We will apply the 2014 version of the rule that was in effect at the time of appellant’s trial.
    See Riggins v. State, 
    223 Md. App. 40
    , 45 n.1 (2015) (“Md. Rule 4-263(d)(3) was revised
    after appellant was convicted (effective January 1, 2014) . . . . We shall apply the 2013
    version of the rule in effect for appellant’s trial.”).
    -4-
    Procedure Article, § 11-205 or Rule 16-910 (b), the address and, if known
    to the State’s Attorney, the telephone number of the witness; and (C) all
    written statements of the witness that relate to the offense charged;
    ***
    (6) Impeachment Information. All material or information in any form,
    whether or not admissible, that tends to impeach a State’s witness,
    including:
    ***
    (D) an oral statement of the witness, not otherwise memorialized, that
    is materially inconsistent with another statement made by the witness
    or with a statement made by another witness;
    ***
    (G) the failure of the witness to identify the defendant or a co-
    defendant;
    (7) Searches, Seizures, Surveillance, and Pretrial Identification. All
    relevant material or information regarding:
    ***
    (B) pretrial identification of the defendant by a State’s witness;
    ***
    (9) Evidence for Use at Trial. The opportunity to inspect, copy, and
    photograph all documents, computer-generated evidence as defined in
    Rule 2-504.3 (a), recordings, photographs, or other tangible things that
    the State’s Attorney intends to use at a hearing or at trial . . . .
    In Williams v. State, 
    364 Md. 160
    , 171 (2001), the Court of Appeals explained that
    the State’s compliance with these rules is not discretionary. The Maryland Rules of
    Procedure, which have the force of law, “are not mere guides but are ‘precise rubrics’ to
    be strictly followed.” 
    Id. In determining
    whether a discovery violation has occurred, the
    courts look first to the plain meaning of the rule. 
    Id. Accord Johnson
    v. State, 360 Md.
    -5-
    250, 264-65 (2000) (“[T]o effectuate the purpose and objectives of the rule, we look to its
    plain text,” and if the words of the rule are unambiguous, “our inquiry ordinarily ceases
    and we need not venture outside the text of the rule.”).
    The Court further explained:
    [T]he scope of pretrial disclosure requirements under Maryland Rule 4-263
    must be defined in light of the underlying policies of the rule. Inherent
    benefits of discovery include providing adequate information to both parties
    to facilitate informed pleas, ensuring thorough and effective cross-
    examination, and expediting the trial process by diminishing the need for
    continuances to deal with unfamiliar information presented at trial. Specific
    to the mandatory disclosure provisions of Rule 4-263(a), the major objectives
    are to assist defendants in preparing their defense and to protect them from
    unfair surprise. The duty to disclose pre-trial identifications, then, is properly
    determined by interpreting the plain meaning of the Rule with proper
    deference to these policies.
    
    Id. at 172
    (citations omitted).
    B.
    Proceedings Below
    The testimony at issue on appeal occurred on the third day of trial, when the State
    called Ms. Carter, the only eyewitness to the shooting. After she testified regarding what
    she saw, including the “tall and thin” person standing by the driver’s door of the car and
    the “short stout person shooting into the truck,” the following occurred:
    [PROSECUTOR:] All right. As time has gone by though, as you sit -- again,
    as you sit here right now, do you have an image of what the taller skinnier
    one, as you described him, next to the driver’s door looked like?
    [MS. CARTER:] Yes.
    [PROSECUTOR:] And if he was presented to you do you believe that you
    could identify him?
    -6-
    [MS. CARTER:] I think so.
    [PROSECUTOR:] Your Honor, can we approach at this time, please?
    [DEFENSE COUNSEL:] I’m going to object.
    The court then permitted counsel to approach. The jury left the courtroom, and the
    following colloquy ensued:
    [PROSECUTOR:] Your honor, the state’s intention at this time -- and this
    was the reason for the writ for Mr. Copeland[7] -- noting, of course, that the
    defendant is not charged merely with first degree murder[], he is also charged
    with conspiracy to commit first degree murder. He’s charged specifically
    [with] conspiracy with Mr. Copeland.
    It is the state’s proffer to the court that we believe that Ms. Carter, upon
    seeing Mr. Copeland, will be able to positively identify him. It’s very clear
    that from the case law that presence is not protected as fifth amendment
    privilege material. Counsel for Mr. Copeland has already indicated he knows
    what our intentions are for this morning, and he doesn’t believe he has any
    standing to object. He’s already counseled his client on this. And based on
    representations of Mr. Copeland’s attorney, Mr. Copeland understands that
    the state intends to produce the body of Mr. Copeland to at least one witness,
    and we’ve chosen Ms. Carter for identification purposes. I think
    identification of a co-defendant is -- when charged as coconspirators is
    almost as important as identification of the defendant within the court
    process.
    ***
    We intend to have Ms. Carter specifically identify -- this is the first
    prong of this -- identify Mr. Copeland either by face, and say, yes, that’s him,
    or that looks like him or whatever she says, then ask her about the physique,
    whether that’s consistent with the first or the second person or anything to
    that effect. So that’s what we plan to do, and I know counsel has an objection.
    7
    The day before, the State advised the court that it wanted Mr. Copeland present in
    court “for identification purposes” by Ms. Carter. Defense counsel stated: “This is the first
    time I’ve heard that this is going to happen.”
    -7-
    Defense counsel stated that the State was required to advise prior to trial “that
    they’re going to have a witness who identifies the co-defendant.” He then objected to
    bringing Mr. Copeland into court to stand next to appellant and ask Ms. Carter “are these
    the same two people,” which “essentially [is] an identification of [appellant], which no one
    said that anyone is going to identify [appellant].” Counsel stated:
    So I think, first of all, there is a discovery problem in that we have no
    notice that this is going to happen. I mean, that’s -- I think that’s been
    basically admitted that he’s not even sure if she’s going to do it, but clearly
    they -- someone had some idea that she’s going to come in here and say later
    on that she’s come to understand and now she’s able to identify him. So
    there’s that issue.
    And then to have -- I mean, I understand that you can perhaps have
    people for builds and such; but that’s not what we’re doing here. We’re
    doing this to, one, identify Mr. Copeland; two, he intends -- I mean, this is -- I
    don’t think he actually said it, that’s what he’s going to do.
    The court ruled that there would not “be a stand up next to the defendant and have
    them sized up.” It then asked the State why it had not disclosed this information in
    discovery. The prosecutor replied:
    In terms of discovery the state has to turn over that which the state has, and
    civilian witness -- more so than police offices [sic] -- civilian witnesses every
    day get on the stand and say things when they see it for the first time. They
    say things different and supplemental, additional to what they said during the
    interview process, and that is part of the pretrial process in terms of the state
    and the defendant interviewing witnesses and preparing for it, to know these
    things in advance. . . .
    The state has to -- for discovery purposes, the state has to turn over
    that which the state is in possession of under the rules. Now when there are
    statements, written statements, recordings, photos lineups, identification
    processes like that, we’re required to turn them over to the defendant. Excuse
    me.
    -8-
    The reality is, is that Ms. Carter is capable as we hear now from her
    testimony, of testifying to whether or not she recognizes the defendant or not;
    and that is not something that in and of itself has to be discovered [sic] to the
    defendant here. I note that this is co-defendant, not the defendant himself.
    The rules talked about an identification of the defendant. They don’t
    contemplate the identification of other people at the scene.
    The court then asked if Ms. Carter had given a written statement. After confirming
    that there was a report, and that defense counsel had a copy, the colloquy continued, as
    follows:
    THE COURT: So you have that information?
    [DEFENSE COUNSEL:] Yes, your Honor.
    THE COURT: Sufficient to cross the witness?
    [DEFENSE COUNSEL:] Yes, your Honor.
    THE COURT: Assuming on my part that her testimony is that her
    recollection has changed -- well, you’ve said sufficient to cross.
    [DEFENSE COUNSEL:] I still think an identification of the co-defendant,
    whenever you get notice of it -- clearly there was some notice. I mean,
    discovery is an ongoing obligation. That’s something that should be given
    before trial.
    THE COURT: What can you cite in support of that?
    [DEFENSE COUNSEL:] Well, we filed a discovery motion asking for it,
    and I -- I mean-- and essentially I would argue that the identification of the
    co-defendant in this case is -- because he’s a co-defendant is essentially
    identification -- the two go part and parcel on this case.
    The prosecutor then stated that the co-defendant, Mr. Copeland, was interviewed
    and seen by “plenty of other people,” and defense counsel knew that “the co-defendant
    existed. There is no surprise. This is not a surprise witness.” He continued:
    [T]he only claim of surprise is, is that this witness is going to be able to
    identify him. But as the court correctly pointed out, which was part of what
    -9-
    the state’s argument was going to be, is that the defendant has the opportunity
    to cross-examine and get out of her the fact that she did not -- she actually
    went so far as to say that she couldn’t identify anybody.
    ***
    And so [defense counsel] will be able to adequately cross-examine her and
    make the appropriate arguments after she identifies, if, in fact, she does
    identify.
    [DEFENSE COUNSEL:] I just note that there’s a slight difference between
    identification of co-defendant by an eyewitness versus just witnesses as to
    who he is.
    [PROSECUTOR:] I think everybody we’ve listed who’s going to identify
    him is an eyewitness on some level. I don’t see the difference.
    The court then issued its ruling. It stated that it had “looked again at both the
    discovery request and the response,” and it was going to permit the show up, but control it
    “very carefully,” noting that Mr. Copeland was “not to come within the well of the
    courtroom. That means he can stand six feet behind you and next to Detective Lewis.”
    After the jury returned, Mr. Copeland was brought into the courtroom. The
    following then occurred:
    [PROSECUTOR:] Ms. Carter, did you have an opportunity to take a look at
    the individual that was in this courtroom?
    [MS. CARTER:] Yes.
    [PROSECUTOR:] Did you recognize him?
    [MS. CARTER:] Yes. That was the person that was wearing the hat.
    [PROSECUTOR:] Okay. When you say the person that was wearing the
    hat --
    [MS. CARTER:] That was standing outside the car door on the driver’s side.
    [PROSECUTOR:] Okay.
    -10-
    ***
    [PROSECUTOR:] Just a point of clarification, Ms. Carter. When you say
    outside the car door, are you talking about the driver’s side of the Mustang?
    [MS. CARTER:] Yes. The door was open, and he was standing inside --
    with the door open but inside the door, one foot in the car, one foot out of the
    car.
    [PROSECUTOR:] Okay. And as you previously testified about a taller
    skinnier one and a shorter stockier one . . . which of the two --
    [MS. CARTER:] That’s the taller thin one.
    On cross-examination, defense counsel questioned Ms. Carter about her discussions
    with the police “closer to when [the incident] happened.” She denied telling the detectives
    two days after the incident that the person with the snowflake hat shot into the car. She
    agreed that she told the detectives, approximately a week later, that she did not get a very
    good look at the people as she drove by because she was worried about their vehicle in the
    road. She was unable to give any further description of the people involved, other than that
    there were two men, one who was short and stocky, and the other tall and thin, and that one
    was wearing a hat. She noted, however, that “memories start coming back after I talked to
    them, and I didn’t talk to them until now. I’m just telling you what I saw that day and what
    I remember I saw that day.”
    With respect to her identification in court of Mr. Copeland, counsel asked if she had
    “ever been shown a photo of him before.” The following then occurred:
    [MS. CARTER:] I just identified him through just like his eyes and the hat,
    and not because of, you know, what he was wearing today or anything like
    that. I remember he looked at me and I looked at him as I was going by
    because he was right there.
    -11-
    [DEFENSE COUNSEL:] Have you seen his picture in the newspaper or
    anywhere since this happened?
    [MS. CARTER:] Yes, yes, in the Cecil Daily.
    [DEFENSE COUNSEL:] Oh.
    [MS. CARTER:] But I knew when [I] saw that, that was the person driving
    the car -- or standing outside that driver’s door. The other person I’d saw in
    the paper also, and I didn’t know them at all.
    [DEFENSE COUNSEL:] When you -- since -- when was the first time that
    you realized, seeing a picture, that you knew who that person was?
    [MS. CARTER:] When I saw it probably in the paper. I said, oh, wow, that’s
    the guy that was wearing the hat, that’s the guy that was standing outside the
    door.
    [DEFENSE COUNSEL:] So like a year ago?
    [MS. CARTER:] . . . I’m not sure when they put it in the paper.
    [DEFENSE COUNSEL:] But sometime after this case and people were
    charged --
    [MS. CARTER:] Yes.
    Ms. Carter testified that she did not call anyone to tell the detectives that she had
    seen the newspaper photo of one of the men involved, noting that she “didn’t want to be
    here today.” She told the detectives that she knew who Mr. Copeland was when she “went
    over . . . everything again with them, what I saw -- everything that I saw that day.”
    C.
    Preservation
    The State contends that, for two reasons, appellant failed to preserve his discovery
    violation claims for this Court’s review. First, it asserts that, pursuant to Maryland Rule
    4-323(a), a party must object to the admission of evidence “at the time the evidence is
    -12-
    offered or as soon thereafter” for the claim to be preserved, and it argues that, although
    appellant “objected earlier on discovery grounds . . . , he did not object at the time
    [Ms. Carter] testified about her identification.” The State analogizes appellant’s objection
    to a motion in limine, arguing that, when the court denies such a motion to exclude
    evidence, a party can challenge this ruling on appeal only if he or she makes a
    contemporaneous objection at trial when the evidence actually is introduced. Because
    appellant did not do so in this case, and he did not “ask for, or receive, a continuing
    objection regarding [Ms.] Carter’s identification testimony,” the State argues that this issue
    is not preserved for this Court’s review.
    Second, the State contends that appellant’s objection below was based only on the
    argument that the State was required to disclose in discovery an identification of the
    defendant, which encompassed Ms. Carter’s identification of Mr. Copeland as a
    co-defendant. It asserts that the argument on appeal, to the extent that it encompasses
    additional contentions, is not preserved for this Court’s review.
    Several rules are relevant to the State’s preservation arguments. Initially it is well-
    established that Maryland’s appellate courts ordinarily will not consider “any issue ‘unless
    it plainly appears by the record to have been raised in or decided by the trial court.’” King
    v. State, 
    434 Md. 472
    , 479 (2013) (quoting Md. Rule 8-131(a)). Moreover, pursuant to
    Maryland Rule 4-323(a), “[a]n objection to the admission of evidence shall be made at the
    time the evidence is offered or as soon thereafter as the grounds for objection become
    apparent.”
    -13-
    Here, we are not persuaded by the State’s first argument, that defense counsel failed
    to preserve the argument that a discovery violation barred evidence of Ms. Carter’s
    identification given the failure to object to Ms. Carter’s ultimate testimony identifying
    Mr. Copeland.    The Maryland appellate courts have addressed, and rejected, similar
    arguments, particularly where the testimony is admitted minutes after a motion in limine
    ruling. See Norton v. State, 
    217 Md. App. 388
    , 396-97 (2014) (After denial of motion in
    limine to exclude evidence, requiring a defendant to “make ‘yet another objection only a
    short time after the court’s ruling to admit the evidence would be to exalt form over
    substance.’”) (quoting Clemons v. State, 
    392 Md. 339
    , 363 (2006)), aff’d on other grounds,
    
    443 Md. 517
    (2015). See also Dyce v. State, 
    85 Md. App. 193
    , 198 (1990) (“Given the
    temporal proximity between the ruling on the motion in limine and the prosecutor’s initial
    inquiry on cross-examination we shall exercise our discretion under Md. Rule 8-131 and
    consider the issue, notwithstanding the lack of literal compliance with Rule 4-323(a).”).
    Here, when the State, during its direct examination of Ms. Carter, stated that it
    intended to have Ms. Carter attempt to identify Mr. Copeland in court, defense counsel
    objected. The court considered the parties’ arguments, and it permitted the State to
    proceed. Although defense counsel did not object when the State, immediately thereafter,
    had Mr. Copeland brought into the courtroom and asked Ms. Carter if she recognized him,
    we conclude that this issue was sufficiently preserved for this Court’s review.
    The State’s second preservation argument, however, has merit.              Appellant’s
    argument below did not specifically mention Rule 4-263, and in no way can it be construed
    -14-
    as arguing a violation of Rule 4-263(d)(3), (6), or (9). Appellant’s argument regarding a
    discovery violation was limited to the argument that the State was obligated to disclose the
    identification of a co-defendant, particularly when it “essentially” was an identification of
    appellant in this case. Under these circumstances, we agree with the State that appellant’s
    additional claims on appeal are not preserved for this Court’s review. Accordingly, we
    will limit our analysis to the issue raised below, and we will not consider the contentions
    that the State’s failure to disclose Ms. Carter’s identification violated discovery obligations
    pursuant to Rule 4-263(d)(3) (requiring disclosure of “each State’s witness [the
    prosecution] intends to call” to prove its case); (d)(6) (requiring disclosure of information
    “that tends to impeach a State’s witness”); and (d)(9) (allowing inspection of “photographs,
    or other tangible things”). Without in any way suggesting that there was a violation of
    Rule 4-263(d)(3), (6), or (9), our review will be limited to whether the circuit court erred
    in allowing the identification procedure due to a violation of the State’s discovery
    obligations pursuant to Rule 4-263(d)(7) (regarding disclosure of a “pretrial identification
    of the defendant by a State’s witness.”).
    D.
    Standard of Review
    In addressing a claim that the circuit court erred in admitting evidence based on a
    discovery violation, the standard of review by the appellate court depends on the rationale
    of the circuit court. If the circuit court finds that there was a discovery violation, but it
    determines that exclusion of the evidence is not the appropriate sanction, we review that
    -15-
    decision for an abuse of discretion. See 
    Williams, 364 Md. at 178
    (“The remedy . . . for a
    violation of the discovery rule is, in the first instance, within the sound discretion of the
    trial judge. . . . Generally, unless we find that the lower court abused its discretion, we will
    not reverse.”). Where, however, as in this case, the court does not make a specific finding
    regarding whether there was a discovery violation, “we exercise independent de novo
    review to determine whether a discovery violation occurred.” 
    Id. at 169.8
    If we determine
    that the State did violate a discovery rule, we consider whether the admission of the
    evidence was harmless error. 
    Id. E. Discovery
    Regarding Pretrial Identification of the Defendant
    Appellant contends that the State violated Rule 4-263(d)(7), which requires the
    State, “[w]ithout the necessity of a request,” to provide to the defense: “All relevant
    material or information regarding: . . . (B) pretrial identification of the defendant by a
    State’s witness.” He asserts that the State failed to disclose that, after Ms. Carter’s “initial
    vague description of the two men at the scene of the shooting, she positively identified
    8
    The circuit court here did not make a specific finding regarding whether the State
    committed a discovery violation. Rather, the court considered the parties’ arguments,
    reviewed appellant’s discovery request and the State’s response, and simply stated that it
    was “going to permit the show up.” Under the circumstances, we review this case as one
    in which the trial court ruled that there was no discovery violation that precluded the State
    from conducting the show up and eliciting testimony regarding the identification of the co-
    defendant.
    -16-
    Copeland in a photograph and advised police that she was able to positively identify
    Copeland.”9
    Appellant relies on 
    Williams, 364 Md. at 166
    , in which the State advised in
    discovery that a police officer conducting surveillance could testify only “to the general
    description of a man who entered the surveilled premises.” At trial, however, the officer
    specifically identified the defendant as the person who entered the premises. 
    Id. at 168.
    The Court of Appeals held that “the State’s failure to provide Williams with complete and
    accurate information regarding the extent to which Trooper Wilson, a witness closely
    identified with the State, could identify Williams” was a violation of the discovery rule
    requiring disclosure of pretrial identifications of the defendant. 
    Id. at 178.
    Williams, however, is readily distinguishable. The identification in Williams was
    deemed to fall within the ambit of Rule 4-263(d)(7) because it involved an identification
    of the defendant. Here, however, Mr. Copeland was not the defendant on trial.
    9
    The State disputes that it knew pretrial that Ms. Carter could identify
    Mr. Copeland, and there were no factual findings in this regard by the circuit court. We
    note, however, that the State clearly had some reason to believe at trial that Ms. Carter
    could give some form of identification of Mr. Copeland. It proffered that it believed that
    Ms. Carter “will be able to positively identify” Mr. Copeland, although it subsequently
    stated that its intent was to have Ms. Carter “identify Mr. Copeland either by face, and say,
    yes, that’s him, or that looks like him or whatever she says, then ask her about the physique,
    whether that’s consistent with the first or the second person or anything to that effect.”
    Moreover, in responding to the court’s question why the State had not disclosed that
    Ms. Carter could identify Mr. Copeland in some way, the prosecutor stated that the rules
    required that the State disclose the identification of a defendant, not a co-defendant or other
    people at the scene.
    -17-
    Appellant acknowledges this distinction between the cases, but he argues that it “is
    a distinction without a difference,” for either of two reasons. First, he asserts that, although
    Rule 4-263(d)(7)(B) refers only to identifications of the defendant, reading the rule “in
    light of the policies underlying the State’s discovery obligations, in particular the policy
    . . . of assisting ‘defendants in preparing their defense and to protect them from unfair
    surprise” “compels the conclusion” that the Rule includes pretrial identifications “of a
    defendant and a co-defendant.” Second, he asserts that, even if the Rule is read to apply
    only to information regarding identifications of the defendant, it was applicable here under
    the specific facts in this case. In that regard, he asserts that, where the only issue was the
    identity of the shooter, Ms. Carter’s identification of Mr. Copeland as the tall, thin man
    necessarily implied the identification of appellant, the defendant, as the shooter.
    We address first appellant’s contention that Rule 4-263(d)(7)(B) requires disclosure
    of a pretrial identification of, not only a defendant, but also a co-defendant. We begin, as
    we must, with the language of the rule. See 
    Johnson, 360 Md. at 264-65
    (“[T]o effectuate
    the purpose and objectives of the rule, we look to its plain text,” and if the words of the
    rule are unambiguous, “our inquiry ordinarily ceases and we need not venture outside the
    text of the rule.”).
    As indicated, Rule 4-263(d)(7)(B) requires disclosure of “relevant or material
    information regarding . . . pretrial identification of the defendant by a state’s witness.”
    (emphasis added). This language is plain and unambiguous. It does not include a co-
    defendant, or even “a” defendant, but rather, it requires disclosure of pretrial identifications
    -18-
    of “the defendant.” Given this plain and unambiguous language, we hold that the term
    “defendant” does not include co-defendants.
    Indeed, as the State points out, where the intent of Rule 4-263(d) was to require
    disclosure of information regarding co-defendants, as well as defendants, the term co-
    defendant was specifically used. See Md. Rule 4-263(d)(6)(G) (requiring the State to
    disclose impeachment information, including: “[T]he failure of the witness to identify the
    defendant or a co-defendant.”). See also Polek v. J.P. Morgan Chase Bank, N.A., 
    424 Md. 333
    , 351 (2012) (“To determine the plain meaning of language, we consider the statutory
    scheme in which the particular provision or provisions appear.”). The requirement in Rule
    4-263(d)(7)(B) that the State disclose information regarding a pretrial identification of the
    defendant does not encompass identifications of co-defendants or other participants in the
    crime.
    We turn next to appellant’s argument that Ms. Carter’s pretrial identification of
    Mr. Copeland constituted the “identification of the defendant” because, under the facts of
    this case, it “necessarily implied the identification of [him] as the shooter.” Appellant
    explains his contention in this regard as follows:
    Critical to [appellant’s defense that he was present when Mr. Meyers was
    shot, but Mr. Copeland was the shooter] was that the only eyewitness to the
    shooting, Carter, was vague in describing the two men she saw at the scene
    of the shooting, acknowledging that she did not get a good look at [them],
    that she initially could not give much more by way of description than what
    she had testified to - tall and skinny versus short and stocky, one wearing a
    hat, the other a hoodie, and admitting, e.g., that she could not describe any
    facial features or facial hair. Moreover, while Carter insisted, contrary to
    Detective Sewell’s testimony, that she never saw the shooter with the
    -19-
    snowflake hat, this insistence is contrary to all of the evidence putting
    Appellant in possession of that hat.
    The weakness of Carter’s account, absent the positive identification
    of Copeland, created an opening for Appellant to argue that she was mistaken
    about which of the two people was the shooter. The obvious purpose behind
    the State’s orchestrating the in-court identification was to shore-up Carter’s
    identification of Appellant as the shooter, via positive identification of
    Copeland as the non-shooter, and thereby eliminate this opening for the
    defense.
    Appellant relies on this Court’s statement in Simons v. State, 
    159 Md. App. 562
    ,
    575 (2004), in which this Court held that, “when the pretrial statement of an eyewitness
    directly implicates the defendant in the commission of the crime,” it constitutes a pretrial
    identification in the context of the discovery rules.       He asserts that Ms. Carter’s
    identification of Mr. Copeland “implicated” him in the murder and made the identification
    discoverable.
    Appellant’s reliance on Simons is misplaced. In that case, this Court addressed, as
    the Court of Appeals did in Williams, a statement of identification of the defendant.
    Specifically, the issue in Simons was “whether a witness’s testimony placing a defendant,
    previously known to the witness, at the scene of the crime constitutes an identification
    under [the] discovery rules.” 
    Id. at 578
    n.1.
    Appellant cites no persuasive authority supporting his argument that an
    identification of someone other than the defendant falls within the scope of Rule 4-
    263(d)(7)(B) in the circumstance where it suggests, in conjunction with other evidence,
    that the defendant was involved with the crime. If the rule were construed in this regard,
    how would the State know what was required to be disclosed? Here, the reason why
    -20-
    Ms. Carter’s identification permitted the inference that appellant was the shooter was
    appellant’s trial strategy; he testified at trial that he was one of the two men that witnesses
    saw at the crime scene, and Ms. Carter’s identification ruled out the other person. The
    State’s pretrial discovery obligations cannot be dependent on the defense trial strategy,
    which often will be unknown prior to trial.
    We hold that the State’s discovery obligations pursuant to Rule 4-263(d)(7) are
    limited to that set forth by the plain language of the rule, i.e., information regarding
    “pretrial identification of the defendant by a State’s witness.” Because Ms. Carter’s
    identification of Mr. Copeland was of someone other than the defendant, the State did not
    violate this rule in failing to give the defense information that Ms. Carter previously had
    recognized Mr. Copeland’s picture in the newspaper and could (or might) identify
    Mr. Copeland in court. Accordingly, the circuit court did not err in admitting Ms. Carter’s
    identification of Mr. Copeland at trial.
    II.
    Closing Argument
    Appellant next contends that the circuit court “erred in allowing the State to present
    evidence during closing argument.” Specifically, he asserts that, during “rebuttal closing
    argument, over objection, the State replayed portions of recorded telephone discussions
    between [a]ppellant and [Mr.] Copeland.” Appellant contends that allowing the State to
    replay the recordings when they were not introduced into evidence “was analogous to
    permitting the introduction of evidence out of order,” which was an abuse of discretion.
    -21-
    The State contends that the circuit court properly exercised its discretion in allowing
    the prosecutor to replay recordings that had been played during trial for the jury, but were
    not admitted as exhibits.      It contends that appellant’s analogy to “permitting the
    introduction of evidence out of order” is inapposite because the recordings at issue here,
    although not admitted as exhibits, were in evidence after they were played for the jury.
    A.
    Proceedings Below
    Shortly before closing argument, defense counsel objected to the prosecutor playing
    the recordings of the jail house conversations between appellant and Mr. Copeland.
    Counsel stated:
    What was said is evidence, but the State did not offer the CDs into evidence,
    the actual media. They played certain portions. There’s nothing on the record
    that indicates specifically what they played, like time to time, just certain
    things are played, and they are going to randomly pick things. Quite frankly,
    those CDs aren’t in evidence. I would argue that what’s in evidence, it’s the
    testimony through those tapes. He can argue that. I’m not arguing that it’s
    not in evidence what they heard on there. They have heard it. But the actual
    media, if he’s going to that media and play it again, they aren’t in evidence.
    Frankly, there’s nothing in evidence specifying which parts were played and
    I think it should be the jury should rely on their memory as to what the
    evidence is. I mean, I guess we could -- I mean, he could theoretically get a
    transcript and just read it back. That might be the solution for him. Or he can
    argue it. But those CDs are not in evidence and I don’t think he should be
    allowed to play that for the jury.
    The prosecutor argued that the recording that he planned to replay during closing
    argument was “in evidence and available for consideration.” He stated as follows:
    The fact that counsel says that we could get transcripts and replay it means
    that he’s acknowledging that it is something that the jury can consider, which
    means that it is in evidence. . . . Something that’s in evidence in a formal
    -22-
    sense as to what they can take back into the jury room is what he’s referring
    to and he is then conveying that into the other sense of what’s in evidence.
    What’s in evidence is anything that they can consider. If they can consider
    it, if they have heard it, if they have seen it, and in this case they have heard
    it and they have seen it, then they are allowed to consider it and I am allowed
    to refer to it. The fact that I am allowed to refer to it, and by his own words,
    [defense counsel’s] own words, that I could even in his eyes potentially read
    from a transcript is drawing attention to it yet again. That’s no different than
    me playing it again. There’s absolutely no difference between them hearing
    it from a recorded device versus hearing it from some type of transcription
    device. The only fundamental difference here is, and it’s done for procedural
    purposes only, not substantive, procedural purposes only, is that those discs
    for reasons that everybody in this courtroom knows cannot go back into the
    jury room. It doesn’t mean they can’t consider it. It is fair game. I have every
    intention of referring to those quotes. [10]
    After considering further argument, the court overruled defense counsel’s objection.
    It stated:
    The words are in. Whether they came out of the mouth of one of, well, not
    one of the attorneys, but one of the witnesses or off of a screen, those words
    are in. They can’t be taken back. They can be replayed. What I don’t want,
    Mr. [Prosecutor], is them played, those snippets or whatever you want to call
    them, played repeatedly. One shot at them. I think that’s appropriate.
    10
    Although the prosecutor did not elaborate on the reasons at that point, the State
    indicated at an earlier bench conference that it had only a copy of the entire jail call
    recording, and it did not have the “technology to isolate” the portions of the audio
    recordings that the State wanted the jury to hear from the remainder of the recorded
    conversations. Thus, it played a portion of the recordings for the jury, stating: “They will
    be marked for identification purposes only. They will not go into evidence so that [the
    jury] cannot take it back into the jury room and hear the parts that are not played.”
    The State offered to provide transcripts of the audio conversations that were
    prepared by the Sheriff’s Office. Defense counsel objected, arguing that “it’s the jury’s
    job to interpret what is said on the tape, not the sheriff’s office’s.” The court sustained the
    objection, barring the State from publishing the transcripts to the jury or admitting them
    into evidence. Cf. Marshall v. State, 
    174 Md. App. 572
    , 575-80 (2007) (court did not abuse
    discretion in admitting transcript of recording prepared by the Detective assigned to the
    case, where the court instructed the jury that the transcript was only an aid to assist the
    jury, but the jury was required to determine the content of the recording).
    -23-
    [PROSECUTOR:] Understood.
    B.
    Closing Argument
    Before specifically addressing appellant’s claim of error, we will briefly discuss the
    scope of permissible closing argument and the limits thereon. The Maryland appellate
    courts have made clear that an attorney has “‘great leeway in presenting closing arguments
    to the jury.’” State v. Newton, ___ Md. App. ___, No. 1751, Sept. Term, 2015, slip op. at
    10 (filed Sept. 30, 2016) (quoting Pickett v. State, 
    222 Md. App. 322
    , 329 (2015)). Accord
    Degren v. State, 
    352 Md. 400
    , 429 (1999). We have explained:
    [I]t is, as a general rule, within the range of legitimate argument for counsel
    to state and discuss the evidence and all reasonable and legitimate inferences
    which may be drawn from the facts in evidence; and such comment or
    argument is afforded a wide range. Counsel is free to use the testimony most
    favorable to his side of the argument to the jury, and the evidence may be
    examined, collated, sifted and treated in his own way.
    Sivells v. State, 
    196 Md. App. 254
    , 270 (2010) (quoting Mitchell v. State, 
    408 Md. 368
    ,
    380 (2009)), cert. dis’d as improv. granted, 
    421 Md. 659
    (2011).
    The determination whether counsel’s comments in closing were improper and
    prejudicial is a matter within the discretion of the trial court. 
    Sivells, 196 Md. App. at 271
    .
    “An appellate court generally will not reverse the trial court ‘unless that court clearly
    abused the exercise of its discretion and prejudiced the accused.’” 
    Id. (quoting Degren,
    352 Md. at 431.
    Turning to the specific issue raised here, appellant has not cited, and this Court has
    not found, any Maryland opinion addressing whether it is an abuse of discretion for a court
    -24-
    to allow a party to replay during closing argument a recording played to the jury during
    trial. Other courts, however, have addressed the issue and held that it is within the trial
    court’s discretion to permit a party, during closing argument, to replay recordings.
    In Hodges v. State, 
    392 S.E.2d 262
    , 263 (Ga. Ct. App. 1990), the Court of Appeals
    of Georgia stated:
    The replay of a portion of the videotape is not a recall of a witness, but rather
    the verbatim repetition of testimony already in evidence. “Since counsel in
    argument clearly have the right to comment on the evidence, it is not
    improper for them to repeat what testimony was, to read from documents
    which have been admitted in evidence, or to read from admitted transcripts
    of recordings played for the jury.” Ramsey v. State, 
    165 Ga. App. 854
    , 859,
    
    303 S.E.2d 32
    (1983). As the videotape statement had been admitted into
    evidence, we find no abuse of the trial court’s discretion in allowing counsel
    to replay the tape rather than having a transcript prepared and read.
    The Supreme Court of Georgia subsequently agreed with this analysis, holding that counsel
    in closing may “properly replay a portion of a videotape admitted into evidence as it is
    simply the verbatim repetition of testimony already in evidence.” Brown v. State, 
    490 S.E.2d 75
    , 82 (Ga. 1997).
    Other jurisdictions similarly agree. See, e.g., United States v. Muhlenbruch, 
    634 F.3d 987
    , 1001 (8th Cir. 2011) (court did not abuse its discretion in permitting the
    government to play the videotape during closing arguments); People v. Gross, 
    637 N.E.2d 789
    , 791-92 (Ill. App. Ct. 1994) (“[N]o abuse of discretion in the decision to allow the
    replay of limited excerpts of videotaped evidence for the purpose of summary during
    closing argument.”); State v. Bonanno, 
    373 So. 2d 1284
    , 1292 (La. 1979) (“Because the
    tape recorded statements were properly admitted into evidence at trial, the court did not err
    -25-
    in allowing the state to replay the tapes during its closing argument.”); State v. Marinez,
    
    781 N.W.2d 511
    , 519 (Wis. Ct. App. 2010) (determination whether to allow video
    statements during closing argument is a matter within the court’s discretion).
    Defense counsel below recognized that the prosecutor could have read from a
    transcript of the recordings below. This is consistent with Maryland law that “the trial
    judge ha[s] discretion to permit counsel in closing argument to read from portions of the
    trial transcript.” Jackson v. State, 
    164 Md. App. 679
    , 727 (2005), cert. denied, 
    390 Md. 501
    (2006). Accord Yuen v. State, 
    43 Md. App. 109
    , 118 (1979).
    Courts in other jurisdictions have recognized that, because playing a recording
    during closing argument is analogous to reading from a transcript, it is not an abuse of
    discretion to allow a party to replay a recording during closing argument. United States v.
    Guess, 
    745 F.2d 1286
    , 1288 (9th Cir. 1984) (“[T]he use of tape recordings in oral argument
    falls within the discretion of the trial judge as does the use of exhibits or trial testimony
    transcripts.”), cert. denied, 
    469 U.S. 1225
    (1985); Fields v. Commonwealth, 
    12 S.W.3d 275
    , 281-82 (Ky. 2000) (“As for closing argument, attorneys are generally allowed to
    replay excerpts from recorded testimony, which is analogous to reading excerpts from the
    record.”). We agree with this analysis and hold that the trial court has discretion to allow
    a party, during closing argument, to replay portions of a recording admitted into evidence.
    Appellant contends that the court in this case abused its discretion in allowing the
    State to replay the recordings in closing argument because, although the recordings were
    played for the jury, they were not physically admitted into evidence. He asserts that this
    -26-
    “was analogous to permitting the introduction of evidence out of order.” We are not
    persuaded.
    As the circuit court noted, although the recordings themselves were not in evidence,
    “the words [were] in.” Because a party is entitled during closing argument to discuss the
    evidence, counsel may repeat the testimony by replaying the recording that the jury already
    heard in evidence, similar to reading a transcript of testimony. Accordingly, it was not an
    abuse of discretion by the circuit court to permit the prosecutor to utilize the previously
    played recording in closing argument.
    JUDGMENTS OF THE CIRCUIT
    COURT FOR CECIL COUNTY
    AFFIRMED.   COSTS TO BE
    PAID BY APPELLANT.
    -27-