State of Minnesota v. Justin Dillard Thomas ( 2017 )


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  •                                  STATE OF MINNESOTA
    IN COURT OF APPEALS
    A16-0051
    State of Minnesota,
    Respondent,
    vs.
    Justin Dillard Thomas,
    Appellant.
    Filed January 17, 2017
    Affirmed
    Connolly, Judge
    St. Louis County District Court
    File No. 69DU-CR-14-2831
    Lori Swanson, Attorney General, Edwin W. Stockmeyer, Assistant Attorney General,
    St. Paul, Minnesota; and
    Mark S. Rubin, St. Louis County Attorney, Duluth, Minnesota (for respondent)
    Cathryn Middlebrook, Chief Appellate Public Defender, Jodi Proulx, Assistant Public
    Defender, St. Paul, Minnesota (for appellant)
    Considered and decided by Connolly, Presiding Judge; Bjorkman, Judge; and
    Reilly, Judge.
    SYLLABUS
    In the absence of expert testimony proffered by a party, it is not an abuse of
    discretion for the district court to refuse to give a jury instruction informing a jury of recent
    social and scientific developments in assessing evidence.
    OPINION
    CONNOLLY, Judge
    After a jury convicted appellant on charges of being a felon in possession of a
    firearm and of first-degree aggravated robbery, he was given an enhanced sentence of 180
    months. He challenges his conviction and his sentence. We affirm.
    FACTS
    In August 2014, appellant Justin Thomas, a black male then 24, and another male
    approached J.S., a white male, who was walking down a street. Appellant pointed a gun
    at J.S.’s chest, told him to empty his pockets, and frisked him. J.S. described his assailant
    to the police as an African-American with lighter skin, whose hair was in a ponytail, who
    had a goatee and a mustache, and who was wearing a dark jacket and a black and red
    baseball cap with the name of a Chicago team. When the police found appellant, he was
    removing his hair from a ponytail; he was wearing a reversible jacket with the red side out
    and the dark side in, and he had a red and black baseball cap with the logo of another
    Chicago team concealed in his jacket sleeve. While the police were speaking with
    appellant, a police dog following a scent from the scene of the assault approached appellant
    and indicated that the scent trail stopped there. Appellant was then shown to J.S., who
    identified him as the man with the gun.
    2
    Appellant was charged with one count of first-degree attempted aggravated robbery,
    one count of second-degree assault, one count of being a felon in possession of a firearm,
    and first-degree aggravated robbery.1
    Based on appellant’s 2003-2004 juvenile adjudications of felony aggravated battery
    and felony theft of a motor vehicle in Illinois; his 2008 convictions of felony first-degree
    burglary, felony terroristic threats, interfering with a 911 call, and four counts of
    misdemeanor fifth-degree assault; his 2012 convictions of driving without a valid license;
    his 2013 convictions of driving after suspension of his license; and his 2014 conviction of
    misdemeanor fifth-degree assault; the state gave notice of its intent to have appellant
    sentenced as a dangerous offender, a repeat offender, and a defendant unamenable to
    probation.
    Before trial, appellant, without offering any evidentiary support or seeking a
    hearing, moved to have the jury instructed to consider “whether the witness and
    defendant’s difference of race affected the accuracy of [J.S.’s] identification [of
    appellant],” an addition to CRIMJIG 3.19, the cautionary instruction on identification
    testimony.
    At trial, appellant declined to testify. The state’s principal witness was J.S. J.S.
    testified that he was “110% sure” that appellant was the man who had held a gun pointed
    at his chest when he saw appellant’s face during a “show up” arranged by police on the
    night of the crime. When asked on cross-examination, “But you’re 110% positive?” J.S.
    1
    A count of receiving stolen property was dismissed during trial.
    3
    answered, “Oh [appellant’s] face, yes.” When asked, “[I]s it fair to say, can we agree that
    you weren’t 110% positive?” J.S. replied, “No, sir. I was 110% positive due to the face,
    sir. The facial features, the hair – ”
    On redirect examination, J.S. was again questioned about his identification of
    appellant.
    Q.      You testified that you saw when you were in the back
    seat of the squad car and the officer drove you to
    [appellant’s] location, you were 110% sure after you
    saw him that it was him.
    A.      Yes, ma’am. It just happened like ten minutes before
    that, so . . . it was pretty fresh in my memory at the time.
    It is still fresh in my memory right now, his face.
    ....
    Q.      And you indicated that despite the confusion about hats,
    . . . whether or not he had a hood, you were 110% sure
    because of the face.
    A.      Yes, ma’am.
    Q.      That’s your testimony?
    A.      Yes, ma’am.
    Q.      What about [appellant’s] face makes you 110% sure?
    A.      It was the goatee.
    ....
    Q.      You saw the front [of appellant]?
    A.      Yes, ma’am.
    Q.      And it was dark; right?
    A.      Yes, ma’am.
    Q.      You could still see [appellant’s] face; is that your
    testimony?
    A.      Yes, ma’am.
    Following a jury trial, appellant was found guilty of attempted aggravated first-
    degree robbery, second-degree assault, being a felon in possession of a firearm, and first-
    degree aggravated robbery. He waived a jury determination of aggravating sentencing
    factors and was sentenced to 180 months on the aggravated robbery charge and a
    4
    concurrent 60 months on the felon-in-possession-of-a-firearm charge, an upward departure
    of 69 months.
    ISSUES
    1. Did the district court abuse its discretion in refusing to instruct the jury to
    consider the racial disparity between J.S. and appellant when deciding if J.S.’s
    identification of appellant was reliable?
    2. Did the state prove appellant’s identity beyond a reasonable doubt?
    3. Did the record support the appellant’s enhanced sentence?
    ANALYSIS
    1.     Racial-Disparity Jury Instruction
    The refusal to give a requested jury instruction lies within the discretion of the
    district court and will not be reversed absent an abuse of discretion. State v. Cole, 
    542 N.W.2d 43
    , 50 (Minn. 1996). The focus of the analysis is whether the refusal resulted in
    error. State v. Kuhnau, 
    622 N.W.2d 552
    , 555 (Minn. 2001). “An instruction is in error if
    it materially misstates the law.” Id. at 556. Appellant does not argue that the instruction
    given, CRIMJIG 3.19 (the cautionary instruction on eyewitness identification), materially
    misstated the law.
    Appellant proposed an addition to that instruction; he wanted the jury to also
    consider “whether [J.S.’s and appellant’s] difference of race affected the accuracy of
    [J.S.’s] identification [of appellant].” The district court declined to add this language on
    the ground that the Minnesota Supreme Court has not modified CRIMJIG 3.19 to include
    cross-racial identification as a factor in evaluating identification testimony. Appellant
    5
    argues that the refusal to instruct the jury on cross-racial identification was an abuse of
    discretion.
    This is an issue of first impression. In State v. Miles, 
    585 N.W.2d 368
     (Minn. 1998),
    our supreme court addressed the issue of cross-racial eyewitness identification in the
    context of expert testimony. Id. at 371-72. In that case, the defense moved the court to
    admit the expert testimony of Dr. Edith Green on the reliability of eyewitness
    identification. Id. at 370-71.
    The defense specifically wanted to introduce testimony
    regarding the potential for error in eyewitness identification,
    citing principally the lack of correlation between reliability of
    the identification and the level of certainty of the witness, and
    the lack of reliability of cross-racial identifications relating
    particularly to the identification testimony of . . . the . . .
    eyewitness.
    Id. at 370.
    In upholding the district court’s decision to exclude the testimony, a unanimous
    supreme court held that, “[t]he admissibility of expert testimony is within [the] discretion
    [of the district court] and is guided by Minn. R. Evid. 702.” Id. at 371. The supreme court
    stated that, “[i]f the expert testimony will be helpful to the jury in fulfilling its
    responsibilities, the evidence may be admitted. . . . It is the trial court’s responsibility to
    scrutinize the proffered expert testimony as it would other evidence and exclude it where
    irrelevant, confusing, or otherwise unhelpful.” Id. (quotation omitted).
    In affirming the exclusion of this evidence, the Miles court relied on two earlier
    supreme court decisions, State v. Helterbridle, 
    301 N.W.2d 545
     (Minn. 1980), and State v.
    Barlow, 
    541 N.W.2d 309
     (Minn. 1995). In Helterbridle, the supreme court stated:
    6
    [W]e do not mean to suggest that we think the broader issue of
    reliability of eyewitness identification testimony is
    unimportant. Rather, we simply believe that requiring trial
    courts to admit this sort of evidence is not the answer. There
    is no one answer to the problem, but there are a number of
    safeguards to prevent convictions of the innocent based on
    unreliable eyewitness identification. Prosecutors do not have
    to prosecute if they think the evidence is unreliable. . . .
    Effective cross-examination and persuasive argument by
    defense counsel are additional safeguards. Proper instruction
    of the jury on the factors in evaluating eyewitness
    identification testimony and on the state’s burden of proving
    identification beyond a reasonable doubt are other safeguards.
    The requirement of jury unanimity is also a safeguard. Finally,
    this court has the power to grant relief if it is convinced that the
    evidence of a convicted defendant’s guilt was legally
    insufficient.
    Helterbridle, 301 N.W.2d at 547, quoted in Miles, 585 N.W.2d at 372.
    Barlow, another unanimous decision from our supreme court, concluded that such
    expert testimony was properly excluded. 541 N.W.2d at 313. It stated:
    [T]he proffered testimony did not go to the reliability of any
    particular witness or the particular circumstances of the
    identification, and its potential for helpfulness was minimal at
    best. Hence, we cannot say that the trial court abused its broad
    discretion in deciding to exclude the testimony of defendant’s
    expert.
    Barlow, 541 N.W.2d at 313. All of these cases remain the law of our state.
    In the memorandum supporting his proposed jury instruction, appellant relied on
    two cases from other jurisdictions, Commonwealth v. Gomes, 
    22 N.E.3d 897
     (Mass. 2015)
    and State v. Henderson, 
    27 A.3d 872
     (N.J. 2011). Neither case has any precedential value
    in Minnesota. See Mahowald v. Minn. Gas Co., 
    344 N.W.2d 856
    , 861 (Minn. 1984)
    7
    (acknowledging that foreign authorities can be persuasive but are not binding). Moreover,
    both cases are readily distinguishable.
    Gomes “conclude[d] that the [district court] judge did not err by declining to instruct
    the jury about these [scientific] principles [regarding eyewitness identification] where the
    defendant offered no expert testimony, scholarly articles, or treatises that established that
    these principles were so generally accepted that a standard jury instruction stating [them]
    would be appropriate.” Gomes, 22 N.E.3d at 900 (quotation omitted). But the Gomes
    court, having received and reviewed “the Report and Recommendations of the Supreme
    Judicial Court Study Group on Eyewitness Evidence,” went on to conclude that “there are
    [five] scientific principles regarding eyewitness identification that are so generally
    accepted that it is appropriate in the future to instruct juries regarding these principles so
    that they may apply the principles in their evaluation of eyewitness identification
    evidence.” Id. These five principles did not include racial disparity. Id. at 911-16.
    However, the provisional model jury instruction in an appendix to the opinion provided
    that, “if [the] witness and offender are of different races,” the jury be instructed that
    “research has shown that people of all races may have greater difficulty in accurately
    identifying members of a different race than they do in identifying members of their own
    race.” Id. at 921-22.
    Henderson followed a remand during which a special master “presided over a
    hearing that probed testimony by seven experts and produced more than 2,000 pages of
    transcripts along with hundreds of scientific studies” in order to “evaluate scientific and
    other evidence about eyewitness identifications.” Henderson, 27 A.3d at 877. The New
    8
    Jersey Supreme Court adopted the report in large part, id., and observed that “[c]ross-racial
    recognition continues to be a factor that can affect the reliability of an identification.” Id.
    at 907. The opinion requested the drafting of new jury instructions to reflect the report and
    specified that the instruction on cross-racial identification was to be given “whenever
    cross-racial identification is in issue at trial.” Id. at 926.
    Because both Gomes and Henderson were decided following and in light of
    intensive scientific studies mandated by the supreme courts of Massachusetts and New
    Jersey respectively, they are clearly distinguishable: Minnesota has no such body of
    evidence on which to rely and, as the district court noted, the Minnesota Supreme Court
    “has not modified the jury instruction [i.e., CRIMJIG 3.19] to take those things [e.g. cross-
    racial identification] into account.”2
    The district court also noted that whether to admit expert testimony on cross-racial
    identification “[was] not before the Court [here] because there [was] no such witness that’s
    been offered to the Court in this particular case.” Because appellant had not offered an
    expert witness to testify on cross-racial identification, the district court had no basis for
    instructing the jury on the issue. Therefore, if the instruction had been given, the jury
    would not have heard evidence to which it could apply. Moreover, as the state points out,
    2
    Appellant also relied on a 2009 report of the National Academy of Sciences,
    Strengthening Forensic Science in the United States: A Path Forward, which has been
    cited in connection with fingerprint evidence by the supreme court in State v. Hull, 
    788 N.W.2d 91
    , 109-10 (Minn. 2010) (Meyer, J., concurring) and by this court in State v. Dixon,
    
    822 N.W.2d 664
    , 668 (Minn. App. 2012). The report is a 350-page document whose index
    does not refer to either race or eyewitness identification, and appellant does not explain its
    relevance to the issue of cross-racial identification or specify any part of it pertaining to
    that issue.
    9
    expert testimony, not a jury instruction, is the appropriate way of educating jurors: an
    expert witness can apply theory to the particular facts of a case and is subject to cross-
    examination, while a jury instruction does not apply theory to the particular facts before
    the jury and is unopposed. See State v. MacLennan, 
    702 N.W.2d 219
    , 233-35 (Minn. 2005)
    (expert testimony on battered-child syndrome admissible if it met the standard of Minn. R.
    Evid. 702); State v. Hennum, 
    441 N.W.2d 793
    , 797-99 (Minn. 1989) (expert testimony on
    battered-woman syndrome admissible if it met the standard of Minn. R. Evid. 702).3
    Appellant argues further that misidentification of him as one of the men who
    attempted to rob J.S. is his theory of the case and relies on Kuhnau, 622 N.W.2d at 557,
    for the proposition that “[a] defendant is entitled to an instruction on his theory of the case
    if there is evidence to support it.” But appellant cites no evidence indicating that he had
    been misidentified based on cross-racial differences. Moreover, “the trial court has
    discretion not to instruct the jury on the [defendant’s] theory.” State v. Vasquez, 
    644 N.W.2d 97
    , 99 (Minn. App. 2002).
    Finally, even if the omission of the requested instruction was error, the error was
    harmless. The jury was instructed to carefully consider J.S.’s testimony in light of certain
    specified factors. Appellant’s counsel attacked J.S.’s credibility repeatedly in closing
    argument. Evidence independent of J.S.’s identification of appellant implicated appellant
    3
    But see Henderson, 27 A.3d at 925 (“Jury charges offer a number of advantages [over
    expert testimony]: they are focused and concise, authoritative (in that juries hear them from
    the trial judge, not a witness called by one side), and cost free; they avoid possible
    confusion to jurors created by dueling experts; and they eliminate the risk of an expert
    invading the jury’s role of opining on an eyewitness’ credibility.”) quoted in Gomes, 22
    N.E.3d at 917.
    10
    in the crime. Instructing the jury on cross-racial identification would not have altered the
    verdict.
    The day may come when our supreme court wishes to endorse a jury instruction
    regarding cross-racial identification and reassess its decisions regarding the admissibility
    of expert testimony on eyewitness identification. But that is not our role. “[T]he task of
    extending existing law falls to the supreme court or the legislature, but it does not fall to
    this court.” Tereault v. Palmer, 
    413 N.W.2d 283
    , 286 (Minn. App. 1987), review denied
    (Minn. Dec. 18, 1987). One thing is clear: it is not an abuse of discretion for a district court
    to refuse to give such an instruction when there has been no expert testimony to support
    giving the instruction.
    2.     Sufficiency of the Evidence as to Identification of Appellant
    If the jury, acting with due regard for the presumption of innocence and the
    requirement of proof beyond a reasonable doubt, could reasonably have concluded that the
    defendant was guilty of the charged offense, this court will not disturb the verdict.
    Bernhardt v. State, 
    684 N.W.2d 465
    , 476-77 (Minn. 2004). This court must assume that
    the jury believed the state’s evidence and disbelieved any evidence to the contrary. State
    v. Moore, 
    438 N.W.2d 101
    , 108 (Minn. 1989). This is particularly true when the matter
    depends on conflicting testimony. State v. Pieschke, 
    295 N.W.2d 580
    , 584 (Minn. 1980).
    “The testimony of an eyewitness that the accused is the person who committed the crime
    is a legitimate means of proving a defendant’s guilt” and “[a]ny details affecting the
    reliability of the testimony . . . go to the weight the trier of fact should give to the testimony,
    11
    not to its admissibility.” State v. Mosley, 
    853 N.W.2d 789
    , 798 (Minn. 2014).4 The jury,
    not the reviewing court, is responsible for weighing the credibility of eyewitness testimony;
    thus, “the positive and uncontradicted testimony of a victim may be sufficient by itself to
    support a conviction.” State v. Foreman, 
    680 N.W.2d 536
    , 539 (Minn. 2004). J.S.’s
    testimony was positive and uncontradicted; it was sufficient to support appellant’s
    conviction. See 
    id.
    Appellant relies on State v. Gluff, 
    285 Minn. 148
    , 151-53, 
    172 N.W.2d 63
    , 65-66
    (1969) (reversing a conviction on the ground that the victim’s identification of the
    defendant was not trustworthy), but Gluff is distinguishable here, as it was in Foreman.
    See Foreman, 680 N.W.2d at 539 (distinguishing Gluff on the ground that “the witness had
    seen the perpetrator for only a short time and there had been errors in the lineup process”).
    Here, J.S. identified appellant within minutes of the incident; in Gluff, seven days elapsed
    before the victim, who had been working as a motel registration clerk when held up by
    robbers, was shown hundreds of photographs, selected the photograph of a man who had
    stayed at the motel about two weeks earlier, and then identified the man in the photograph
    as one of the robbers. Gluff, 285 Minn. at 149-50, 
    172 N.W.2d at 64
    . Here, J.S. had
    observed very specific details of appellant’s appearance; in Gluff, the victim said she had
    only seen him for 30 seconds before becoming aware that he was holding a gun, which was
    the only thing she looked at for the rest of the robbery. 
    Id. at 150
    , 
    172 N.W.2d at 64
    . Here,
    J.S. described his assailant as having the facial hair, skin color, and hair style of appellant,
    4
    Appellant did not challenge the admissibility of J.S.’s identification of him at trial.
    12
    wearing a jacket that was the color of the inside of the reversible jacket appellant was found
    wearing, and wearing a baseball cap of a Chicago team that used the same colors as the
    Chicago team whose cap appellant had. In Gluff, the victim described the robbers as 19 or
    20 and “unshaven but clean-cut” but identified an individual who was 32, with receding
    hair, a facial cyst, and a facial scar, none of which she mentioned in her description. 
    Id.,
    172 N.W.2d at 64
    .
    Moreover, in Gluff, “[t]here was no corroboration of the identification.” 
    Id. at 151
    ,
    
    172 N.W.2d at 65
    . Here, J.S.’s identification of appellant was corroborated by four facts.
    First, appellant’s appearance matched J.S.’s description of an African-American with
    lighter skin, whose hair was in a ponytail, who had a goatee and a mustache, and who was
    wearing a dark jacket (one side of appellant’s reversible jacket was dark) and a black and
    red baseball cap. Second, when the police found appellant, he was removing his hair from
    the ponytail, the dark side of his jacket had been put on the inside, with the red side visible,
    and the cap was concealed in the jacket sleeve. Third, appellant appeared to have recently
    exerted himself: he was sweaty and said he was hot, although the temperature was in the
    50s. Fourth, a police dog independently tracked a human scent from the scene of the
    incident directly to appellant.       Thus, J.S.’s identification of appellant was not
    uncorroborated. Appellant’s reliance on Gluff is misplaced.
    3.     The Dangerous-Offender Sentence
    “We review a sentencing court’s departure from the sentencing guidelines for [an]
    abuse of discretion.” State v. Geller, 
    665 N.W.2d 514
    , 516 (Minn. 2003). A sentence will
    be affirmed if the district court’s decision was legally permissible and supported by the
    13
    record. State v. Vickla, 
    793 N.W.2d 265
    , 269 (Minn. 2011). Under 
    Minn. Stat. § 609.1095
    (2016), the dangerous-offender statute, the sentencing court considers the defendant’s
    criminal history. State v. Neal, 
    658 N.W.2d 536
    , 546 (Minn. 2003). “Having “[t]wo or
    more prior convictions for violent crimes” when being sentenced for another violent crime
    renders a defendant liable to an enhanced sentence. 
    Minn. Stat. § 609.1095
    , subd. 2.
    At the time appellant was sentenced for first-degree aggravated robbery in October
    2015, he had a 2013 conviction for third-degree assault, and 2008 convictions for first-
    degree burglary and felony terroristic threats. All four crimes are “violent crimes” under
    the dangerous-offender statute. 
    Minn. Stat. § 609.1095
    , subd. 1 (d). Appellant does not
    dispute that he meets the statutory criteria for sentencing as a dangerous offender, nor does
    he argue that the district court’s decision was not legally permissible or is not supported by
    the record. See Vickla, 793 N.W.2d at 269.
    Appellant argues that the district court failed to state on the record that appellant
    met the statutory criteria and to make specific findings supporting its conclusion that
    appellant is a dangerous offender. The district court said to appellant:
    [Your] prior record . . . shows at least seven prior
    assaults, some of them significant, other[s] perhaps not so
    significant, as well as other felony behavior.
    I understand . . . that you are only 25 years old, but
    given the circumstances, the Court believes that the [s]tate has
    established that you are a dangerous offender with prior
    felonies that put you in the enhanced sentence situation.
    There is no requirement that a district court state the specific felonies that put an offender
    into the dangerous-offender category, only that it “determine[] on the record at the time of
    sentencing that the offender has two or more prior convictions for violent crime.” Minn.
    14
    Stat. § 609.1095, subd. 2(1). The district court said that the state had established “prior
    felonies that put [appellant] in the enhanced sentence situation,” i.e., in the dangerous-
    offender category; it did not need to specify which of appellant’s seven undisputed felony
    convictions were involved.
    Appellant also argues that “[t]he record was insufficient to find that [he] was a
    dangerous offender” because five years elapsed between committing his second felony and
    his third (July 30, 2007, to April 4, 2013). But appellant was not released from prison after
    the 2007 conviction until April 21, 2011, and he was under parole supervision until
    May 25, 2012. His record supports the determination that he is a danger to public safety
    as defined in 
    Minn. Stat. § 609.1095
    , subd. 2(2)(i) (providing that a defendant who has two
    or more prior convictions for violent crimes “is a danger to public safety” if his past
    criminal behavior indicates a “high frequency rate of criminal activity or juvenile
    adjudications, or long involvement in criminal activity including juvenile adjudications”).
    Finally, appellant relies on State v. Branson, 
    529 N.W.2d 1
     (Minn. App. 1995) (in
    which the defendant’s criminal involvement extended over 18 years), review denied (Minn.
    Apr. 18, 1995) and State v. Kimmons, 
    502 N.W.2d 391
     (Minn. App. 1993) (in which the
    defendant committed eight prior felonies), review denied (Minn. Aug. 16, 1993), to argue
    that a more extensive criminal record than his is “necessary to support a finding that a
    defendant is a ‘dangerous offender.’” But the criteria for dangerous offenders are set out
    15
    in the statute, and the fact that other offenders have accumulated more extensive criminal
    records does not preclude appellant from meeting those criteria.5
    DECISION
    In light of appellant’s failure to offer any expert-witness support for his request that
    the jury be instructed on cross-racial identification, there was no abuse of discretion in the
    denial of that request; the evidence as to appellant’s identity was sufficient for the jury to
    reasonably have concluded that appellant was guilty; and appellant met the statutory
    criteria for sentencing as a dangerous offender.
    Affirmed.
    5
    In his pro se brief, appellant argues that he is entitled to a new trial because the district
    court “never obtained [his] consent to charge the jury . . . regarding his failure to testify
    [i.e., CRIMJIG 3.17].” But the transcript indicates that the district court read CRIMJIG
    3.17 to appellant and told him that whether the instruction would be read to the jury “is a
    decision you and your attorney have to make.” Appellant’s attorney then addressed
    appellant: “Now, we know this instruction. You just heard it. I agree with the judge [and]
    would recommend that we use it. Would you like it used at this time?” Appellant
    answered, “Yes, I would.” Thus, appellant’s consent to reading the jury instruction on his
    failure to testify was obtained. For this argument, appellant relies on State v. Thompson,
    
    430 N.W.2d 151
     (Minn. 1988), but that case does not support his position or his request
    for a new trial. “[A] defendant is [not] entitled to a new trial simply because the record on
    appeal is silent as to whether the defendant and his attorney wanted the instruction . . . .”
    
    Id. at 153
    . Here, the record is not silent: appellant’s pro se argument fails.
    16
    

Document Info

Docket Number: A16-51

Judges: Connolly, Bjorkman, Reilly

Filed Date: 1/17/2017

Precedential Status: Precedential

Modified Date: 11/12/2024