State of Iowa v. Montez Guise , 921 N.W.2d 26 ( 2018 )


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  •               IN THE SUPREME COURT OF IOWA
    No. 17–0589
    Filed December 14, 2018
    STATE OF IOWA,
    Appellee,
    vs.
    MONTEZ JAVON LAMONT GUISE,
    Appellant.
    On review from the Iowa Court of Appeals.
    Appeal from the Iowa District Court for Cerro Gordo County,
    Colleen D. Weiland, Judge.
    The State seeks further review of a court of appeals decision
    reversing the sentence of the defendant.    DECISION OF COURT OF
    APPEALS VACATED; DISTRICT COURT JUDGMENT AFFIRMED.
    Mark C. Smith, State Appellate Defender, Melinda J. Nye, Assistant
    Appellate Defender, and Nicholas Jones, Law Student, for appellant.
    Thomas J. Miller, Attorney General, Sharon K. Hall, Assistant
    Attorney General, Carlyle D. Dalen, County Attorney, and Gina A.
    Jorgensen, Assistant County Attorney, for appellee.
    2
    WIGGINS, Justice.
    On appeal, for the first time, the defendant raised the issue that the
    court’s use of the Iowa Risk Revised risk assessment tool (IRR) in
    sentencing the defendant violated his due process rights. The defendant
    also claimed the court used an unproven or unprosecuted offense when it
    sentenced him. We transferred the case to the court of appeals. The court
    of appeals reversed the defendant’s sentence finding there is “no legislative
    authority supporting the use of the IRR at sentencing.” The State asked
    for further review, which we granted. On further review, we find the court
    of appeals erred in reaching an issue not preserved by the defendant. We
    further find the defendant failed to preserve error on his due process claim
    and the record is insufficient to reach the due process claim on direct
    appeal.   We also find the district court did not use an unproven or
    unprosecuted offense when it sentenced the defendant.         Therefore, we
    vacate the court of appeals decision finding there is “no legislative
    authority supporting the use of the IRR at sentencing” and affirm the
    judgment of the district court.
    I. Background Facts and Proceedings.
    On December 31, 2016, Montez Guise went to his ex-girlfriend
    M.J.’s Mason City apartment and entered the premises. At that time, there
    was a valid no-contact order between Guise and M.J., with M.J. being the
    protected party. Guise left the apartment, taking the apartment key and
    M.J.’s rent money with him. M.J. barricaded the door, fearing Guise would
    return. Guise returned shortly thereafter, kicked down M.J.’s apartment
    door, and started breaking items in the home.
    The dispatcher sent Mason City police officers to M.J.’s apartment
    for a welfare check after receiving reports that M.J. and her friend Gloria,
    who was also inside the apartment, were in danger. When officers arrived,
    3
    Guise prevented M.J. and Gloria from answering the door. The officers
    kicked down the door and arrested Guise as he was trying to escape out
    of an apartment window.
    The State charged Guise with burglary in the second degree, a class
    “C” felony, in violation of Iowa Code sections 713.1 and 713.5 (2017) and
    false imprisonment, in violation of Iowa Code section 710.7, a serious
    misdemeanor. On February 6, 2017, Guise pled guilty to burglary in the
    second degree as part of a plea agreement. The court released him to the
    department of correctional services on pretrial release pending sentencing.
    Under the plea agreement, for Guise’s burglary charge, the State
    recommended a ten-year prison sentence, suspended; probation; and a
    one-thousand dollar fine, suspended. In exchange for his plea, the State
    dismissed the false imprisonment and related simple misdemeanors, and
    refrained from asserting the habitual offender enhancement.
    On February 23, the department of corrections reported Guise had
    violated his conditions of release. The department of corrections reported
    Guise failed to show up for a probation appointment, violated his no-
    contact   order,   resisted   arrest,   and   was   in   possession   of   drug
    paraphernalia.     The State charged him with the additional charge of
    interference with official acts, a serious misdemeanor, stemming from his
    arrest on the violation of the no-contact order. Guise pled guilty to this
    charge prior to sentencing.
    On March 14, the Mason City probation/parole office filed Guise’s
    presentence investigation report (PSI), which it had prepared at the
    direction of the district court. The PSI stated the interviewer completed an
    IRR. The IRR recommended Guise be supervised at an intensive level.
    Guise did not object to the district court’s use of the PSI at sentencing and
    4
    made only one correction after reviewing the PSI—his explosive attitude
    only refers to him while on methamphetamine.
    On March 20, the court sentenced Guise. At the sentencing hearing,
    the State recommended the sentence in the plea agreement for the
    burglary charge. For Guise’s interference with official acts resulting in the
    bodily injury charge, the State recommended one year in jail, suspended;
    probation for two years; and fines. In other words, the State recommended
    no jail time.
    The district court rejected the sentence recommended by the State
    for the burglary charge and sentenced Guise to prison for an indeterminate
    term, not to exceed ten years. For the interference with official acts charge,
    the district court also rejected the sentence recommended by the State and
    sentenced Guise to ninety days in jail, to be served concurrently with the
    burglary sentence.
    Guise filed a motion of appeal from the final judgment and
    sentencing. We transferred the case to the court of appeals. The court of
    appeals vacated the district court’s sentence and remanded, holding there
    is “no legislative authority supporting the use of the IRR at sentencing.”
    The State requested further review, which we granted.
    II. Issues.
    In his brief on appeal, Guise did not raise the issue decided by the
    court of appeals. Rather, he contends the district court violated his due
    process rights by using the IRR. In the alternative, he argues the court
    abused its discretion by considering the IRR without understanding the
    purpose and limitations of the IRR. The alternative argument is in essence
    a due process argument. Thus on further review, we will not consider
    whether there is legislative authority supporting the use of the IRR at
    sentencing.
    5
    We will consider whether the district court violated Guise’s due
    process rights by consideration of and reliance on the IRR in imposing its
    sentence. Second, if counsel did not preserve error on this issue, whether
    counsel provided ineffective assistance of counsel by failing to object to the
    sentencing proceeding because the court’s consideration of and reliance
    on the IRR violated Gordon’s due process rights.          Third, whether in
    sentencing Gordon, the district court abused its discretion by relying on
    an unproven or unprosecuted offense.
    III. Whether on Direct Appeal or Under an Ineffective-
    Assistance-of-Counsel Claim, the Court Infringed on Guise’s Due
    Process Rights Based on Its Use of the IRR at Sentencing.
    Today, we filed an opinion in State v. Gordon, ____ N.W.2d ____ (Iowa
    2018). In Gordon, we held a defendant could not raise this due process
    argument for the first time on appeal when the defendant did not bring the
    issue to the district court at the time of sentencing.            Id. at ___.
    Furthermore, we held we could not address this due process issue under
    the rubric of ineffective assistance of counsel because the record is
    insufficient to reach this claim. Id.
    Here, Guise not only failed to raise a due process issue at the time
    of trial, but as in Gordon, he told the court it could rely on the information
    in the PSI. For this reason, we find Guise failed to preserve his due process
    claim for direct appeal. Additionally, we cannot reach Guise’s due process
    claim on direct appeal under the rubric of ineffective assistance of counsel.
    See id. Of course, Guise may bring a separate postconviction-relief action
    claiming ineffective assistance of counsel based on due process, if he so
    wishes.
    6
    IV. Whether in Sentencing Guise, the District Court Abused Its
    Discretion by Relying on an Unproven or Unprosecuted Offense.
    As we said in Gordon,
    We review sentencing decisions for an abuse of
    discretion when the sentence is within the statutory limits.
    We will find an abuse of discretion when “the district court
    exercises its discretion on grounds or for reasons that were
    clearly untenable or unreasonable.” A ruling is untenable
    when the court bases it on an erroneous application of law. If
    the evidence supports the sentence, the district court did not
    abuse its discretion.
    “A court may not consider an unproven or
    unprosecuted offense when sentencing a defendant unless
    (1) the facts before the court show the accused committed the
    offense, or (2) the defendant admits it.” “In determining a
    defendant’s sentence, a district court is free to consider
    portions of a presentence investigation report that are not
    challenged by the defendant.”         Finally, if a defendant
    challenges a sentence claiming the court used an illegal factor
    at sentencing, a defendant need not object at sentencing for
    us to address the issue on appeal if the issue can be decided
    without further evidence.
    Id. at ____ (citations omitted) (first quoting State v. Thompson, 
    856 N.W.2d 915
    , 918 (Iowa 2014); then quoting State v. Witham, 
    583 N.W.2d 677
    , 678
    (Iowa 1998); and then quoting State v. Grandberry, 
    619 N.W.2d 399
    , 402
    (Iowa 2000)).
    At the sentencing hearing, after announcing Guise’s sentence, the
    district court judge listed the fees it would impose on Guise. In doing so,
    the district court mentioned “a $100 domestic abuse surcharge.” Defense
    counsel said, “Excuse me, Your Honor. There would be no domestic abuse
    surcharge on this.” The court then responded, correcting itself, “I’m sorry,
    I was thinking about the underlying assault.      You’re right.   But it’s a
    burglary so you’re right.” Guise argues this exchange indicates the district
    court judge considered the underlying assault when determining Guise’s
    sentence.
    7
    “The fact that the sentencing judge was merely aware of the
    uncharged offense is not sufficient to overcome the presumption that his
    discretion was properly exercised.” State v. Ashley, 
    462 N.W.2d 279
    , 282
    (Iowa 1990). To overcome the presumption “there must be an affirmative
    showing that the trial judge relied on the uncharged offenses.” 
    Id.
    Guise does not make such a showing. The district court judge did
    not reference to domestic assault at any time while discussing his
    reasoning behind the sentence he imposed.        Moreover, as the court of
    appeals pointed out, and as Guise concedes, intent to commit an assault
    was an element of the offense of second-degree burglary.         
    Iowa Code § 713.1
    .
    Thus, because there is no affirmative showing the district court
    relied on a domestic assault in determining Guise’s sentence, and Guise
    admitted to assaultive intent, we find the district court did not abuse its
    discretion by erroneously discussing a domestic abuse surcharge.
    V. Disposition.
    We vacate the court of appeals decision finding there is “no
    legislative authority supporting the use of the IRR at sentencing.” We do
    not reach Guise’s due process arguments because Guise failed to raise the
    issue in the district court and the record is insufficient to reach the issue
    on direct appeal under the rubric of ineffective assistance of counsel. We
    also find the district court did not use an unproven or unprosecuted
    offense when it sentenced Guise. Therefore, we affirm the judgment of the
    district court.   Guise may bring a separate postconviction-relief action
    claiming ineffective assistance of counsel based on due process, if he so
    wishes.
    DECISION OF COURT OF APPEALS VACATED; DISTRICT COURT
    JUDGMENT AFFIRMED.
    All justices concur except Appel, J., who concurs specially.
    8
    #17–0589, State v. Guise
    APPEL, Justice (concurring specially).
    I concur in the result in this case as I agree that the burden falls on
    Guise to object to the risk assessment tool information presented in the
    presentence investigation report (PSI) prior to sentencing. We have held
    that “a district court is free to consider portions of a presentence
    investigation report that are not challenged by the defendant.” State v.
    Grandberry, 
    619 N.W.2d 399
    , 402 (Iowa 2000).
    It might be appropriate to not require a contemporaneous objection
    to information in a PSI report when a district court’s reliance on the
    information is reasonably unanticipated.       Reliance on the statistical
    assessment in a PSI report, however, is not such an unanticipated
    development     that    the    generally    applicable    requirement      of
    contemporaneous objection is inapplicable.
    A sentencing hearing “must measure up to the essentials of due
    process.” State v. Ashley, 
    462 N.W.2d 279
    , 281 (Iowa 1990) (emphasis
    omitted) (quoting State v. Delano, 
    161 N.W.2d 66
    , 72 (Iowa 1968)). Due
    process in the sentencing context includes a right to be sentenced based
    upon accurate information, Townsend v. Burke, 
    334 U.S. 736
    , 741, 
    68 S. Ct. 1252
    , 1255 (1948), and a fair opportunity to challenge purportedly
    adverse facts and circumstances that might impact sentencing. By not
    timely objecting, however, Guise’s counsel waived the potential due
    process challenges.
    The failure to make a contemporaneous objection is of course not
    fatal to an ineffective-assistance-of-counsel attack, but the record is
    barren of any meaningful information about the statistical information
    presented in the PSI. The PSI simply states, “As part of the PSI interview
    process, an Iowa Risk Revised was completed indicating the Defendant
    9
    should be supervised at an intensive level.” There is literally nothing more
    in the record. Thus, even in the context of an ineffective-assistance claim,
    it is hard to know exactly whether or how counsel breached his duty and
    whether the defendant has been prejudiced.
    Guise claims it was ineffective assistance for counsel to fail to
    provide the court with accurate information about the Iowa Risk Revised
    (IRR), (which Guise assumes is a risk assessment tool) and to advise the
    court about limitations on the proper use of the IRR in sentencing. Citing
    Malenchik v. State, 
    928 N.E.2d 564
     (Ind. 2010), and State v. Loomis, 
    881 N.W.2d 749
     (Wis. 2016), cert. denied, 
    137 S. Ct. 2290
    , 2290 (2017), Guise
    asserts that in order to provide accurate information consistent with due
    process, the reference to a risk assessment tool in the PSI report should
    have been accompanied by clear information about its limitations.
    Specifically, Guise claims that his counsel should have informed the
    court that the validity of risk assessment tools such as the IRR depends
    upon whether the assessments were normed to local populations.                           In
    addition, Guise asserts that the district court should have been apprised
    that studies have raised questions about the disproportional impact of risk
    assessment tools toward minority offenders. 1 Guise also notes that the
    district court should have been advised that valid risk assessment tools
    1There    is a substantial body of literature exploring whether various risk
    assessment tools result in disproportionate racial impact. See, e.g., Jessica M. Eaglin,
    Against Neorehabilitation, 
    66 SMU L. Rev. 189
    , 215 (2013); Rick Jones, The Siren Song of
    Objectivity: Risk Assessment Tools and Racial Disparity, 42-APR Champion, Apr. 2018, at
    5; Andrew D. Selbst, Disparate Impact in Big Data Policing, 
    52 Ga. L. Rev. 109
    , 109 (2017);
    Jennifer L. Skeem & Christopher T. Lowenkamp, Risk, Race, and Recidivism: Predictive
    Bias and Disparate Impact, 54 Criminology 680, 680 (2016); Sonja B. Starr, Evidence-
    Based Sentencing and the Scientific Rationalization of Discrimination, 
    66 Stan. L. Rev. 803
    ,
    803 (2014); Tal Z. Zarsky, An Analytic Challenge: Discrimination Theory in the Age of
    Predictive Analytics, 14 I/S: J.L. & Pol’y for Info. Soc’y 11, 12 (2017); see also Shaina D.
    Massie, Note, Orange Is the New Equal Protection Violation: How Evidence-Based
    Sentencing Harms Male Offenders, 
    24 Wm. & Mary Bill Rts. J. 521
    , 522 (2015) (discussing
    disproportionate impact of risk assessment tools based on sex).
    10
    must be monitored and periodically renormed. Loomis, 881 N.W.2d at
    763–64. Further relying on Loomis, Guise asserts that his lawyer should
    have argued to the district court that the use of risk assessment tools
    should be limited as in Loomis to “(1) diverting low-risk prison-bound
    offenders to a non-prison alternative; (2) assessing whether an offender
    can be supervised safely and effectively in the community; and (3)
    imposing terms and conditions of probation, supervision, and responses
    to violations.” Id. at 767. Lastly, Guise claims the court should have been
    informed that the risk assessment tool, in light of its limitations, should
    not be used to determine the length and severity of a sentence. Id. at 769.
    Guise’s argument that due process requires accurate information
    about risk assessments beyond a mere conclusion, as demonstrated by
    Malenchik and Loomis, is certainly not frivolous. Certainly the shiny legal
    penny of a new risk assessment tool should be carefully scrutinized by the
    courts. See United States v. C.R., 
    792 F. Supp. 2d 343
    , 462 (E.D.N.Y.
    2011) (“Evidence-based sentencing . . . must be handled gingerly.”),
    vacated and remanded, United States v. Reingold, 
    731 F.3d 204
    , 206 (2d
    Cir. 2013). We should not forget the recent unattractive history in which
    the United States Department of Justice and the FBI, for over a decade,
    developed and advocated the use of “bullet match” analysis that was often
    presented by expert witnesses without providing the full picture of how
    statistically insignificant the “match” of the bullets really was. See More
    v. State, 
    880 N.W.2d 487
    , 497–98 (Iowa 2016) (citing letter from FBI stating
    that “[s]cience does not support the statement or inference that bullets,
    shot pellets, or bullet fragments can be linked to a particular box of
    bullets” and that “any testimony stating bullets came from the same
    source of lead is potentially misleading without additional information
    regarding approximate numbers of other ‘analytically indistinguishable’
    11
    bullets that also originated from the same source”). The relentless and
    potentially corrosive drive for efficiency and certainty in a resource-scarce
    public sector should not drive courts to use risk assessments in an
    unjustified “off label” manner or in a fashion that otherwise lacks
    meaningful empirical support to drive sentencing.
    Even if the emerging risk assessment tools are found to have a place
    in sentencing as a “relevant” factor, our law does not allow mere
    conclusions to be mounted on spikes and paraded around our courtrooms
    without statistical context. See, e.g., State v. Williams, 
    574 N.W.2d 293
    ,
    298 (Iowa 1998) (holding “admission of evidence of a DNA match without
    accompanying statistical probability of a random match is error”). Indeed,
    the lack of statistical context is a significant part of the reason for the
    scandal over bullet-match theory. See More, 880 N.W.2d at 497–98.
    In connection with the ineffective-assistance-of-counsel claim, I
    have no doubt that defense counsel has a duty to be aware of current
    developments in the law. See State v. Vance, 
    790 N.W.2d 775
    , 789 (Iowa
    2010). While we have sometimes employed language stating that defense
    counsel is not a “crystal gazer,” State v. Westeen, 
    591 N.W.2d 203
    , 210
    (Iowa 1999), the colorful language, as clarified by our later caselaw, only
    refers to developments in the law that a reasonably well-informed lawyer
    would have no reason to anticipate, see State v. Graves, 
    668 N.W.2d 860
    ,
    881–82 (Iowa 2003). It is the obligation of defense attorneys to be aware
    of developments in the law so that they are in a position to raise claims
    that are “worth raising” in a dynamic legal system.
    In 2017, a reasonably competent attorney should be aware of
    potential avenues of attack on risk assessment tools that are well
    established in the legal literature. A quick computer-based search related
    12
    to risk assessments would draw an attorney into the vibrant literature and
    developing caselaw related to use of risk assessment in sentencing. 2
    Why Guise’s counsel did not raise these issues in this case, of
    course, is unclear. It may be that counsel was not aware of the potential
    inaccuracies and the circumscribed uses of risk assessment. If so, counsel
    cannot be said to have made a strategic judgment about something that
    he or she was not aware. See State v. Clay, 
    824 N.W.2d 488
    , 503 (Iowa
    2012) (Appel, J., concurring specially). On the other hand, it may be that
    in light of the plea agreement with the State and the passing reference in
    the PSI report to the risk assessment tool results, counsel concluded that
    the less said the better. If so, that might qualify as a reasonable strategic
    decision that prevents Guise from raising an ineffective-assistance-of-
    counsel claim. On the current record, we just cannot answer the question
    of whether counsel made a reasonable strategic decision or not.
    In addition, it is not possible to know the degree of prejudice that
    may have resulted by not knowing precisely how counsel might have
    challenged the risk assessment and how the State might have responded
    2See, e.g., Christopher Baird, Nat’l Council on Crime & Delinquency, A Question
    of Evidence: A Critique of Risk Assessment Models Used in the Justice System 5 (2009);
    Pamela M. Casey et al., Nat’l Ctr. for State Courts, Using Offender Risk and Needs
    Assessment Information at Sentencing: Guidance for Courts from a National Working Group
    (2011); James Austin, How Much Risk Can We Take? The Misuse of Risk Assessment in
    Corrections, 72 Fed. Probation, Sep. 2006, at 58; Katherine Freeman, Algorithmic
    Injustice: How the Wisconsin Supreme Court Failed to Protect Due Process Rights in State
    v. Loomis, 18 N.C. J.L. & Tech. Online 75 (2016); Melissa Hamilton, Risk-Needs
    Assessment: Constitutional and Ethical Challenges, 
    52 Am. Crim. L. Rev. 231
     (2015);
    Cecelia Klingele, The Promises and Perils of Evidence-Based Corrections, 
    91 Notre Dame L. Rev. 537
     (2015); Paul H. Robinson, Punishing Dangerousness: Cloaking Preventive
    Detention as Criminal Justice, 
    114 Harv. L. Rev. 1429
     (2001); Dawinder S. Sidhu,
    Moneyball Sentencing, 
    56 B.C. L. Rev. 671
     (2015); Sonja B. Starr, The New Profiling: Why
    Punishing Based on Poverty and Identity Is Unconstitutional and Wrong, 27 Fed. Sent’g
    Rep. 229 (2015); Jessica Corey, Note, Risky Business: Critiquing Pennsylvania’s Actuarial
    Risk Assessment in Sentencing, 7 Colum. J. Race & L. 150 (2016); Steven L. Chanenson
    & Jordan M. Hyatt, The Use of Risk Assessment at Sentencing: Implications for Research
    and Policy 7 (Vill. U. Charles Widger Sch. L., Working Papers Series, Dec. 2016).
    13
    to an effort by Guise to ensure accuracy and limit the purpose of the risk
    assessment. By way of example only, did the tool use arrests, or charges
    not resulting in conviction, as a factor in the calculation? If so, there would
    be a serious problem as there is authority for the proposition that a
    sentencing court may not consider charges that were dismissed or records
    of arrests without convictions. See State v. Black, 
    324 N.W.2d 313
    , 315
    (Iowa 1982); State v. Barker, 
    476 N.W.2d 624
    , 627 (Iowa Ct. App. 1991). If
    the court cannot use dismissed criminal charges in sentencing, how can
    consideration of such factors come in the back door by being buried into
    a risk assessment?
    We do not know whether the IRR was normed with an appropriate
    Iowa population. We do not know whether the tool has been renormed
    and monitored. We do not know anything, really, about the database,
    assuming there is a database, behind the IRR.
    I am also concerned about process issues lurking behind this case.
    Ordinarily, the PSI report is made available to the defendant only a few
    days before sentencing. When the PSI report contains risk assessment
    data, a defendant may be able to ask the district court prior to sentencing
    to recognize the limitations on the nature and proper use of the tool as
    described in Loomis and Malenchik.
    But a few days’ notice is not enough time for a defendant to mount
    a serious challenge to the underlying reliability of the risk assessment
    evidence as being so unreliable as to be hocus pocus. 3 A full-court press
    3See  John Monahan, Violence Risk Assessment: Scientific Validity and Evidentiary
    Admissibility, 
    57 Wash. & Lee L. Rev. 901
    , 910 (2000) (discussing application of Daubert
    v. Merrell Dow Pharmaceuticals, Inc., 
    509 U.S. 579
    , 
    113 S. Ct. 2786
     (1993), to risk
    assessments); Charlotte Hopkinson, Note, Using Daubert to Evaluate Evidence-Based
    Sentencing, 
    103 Cornell L. Rev. 723
    , 733 (2018) (same). I recognize that the rules of
    evidence may not be fully applicable in a sentencing hearing, but unreliable information
    may well be excluded as not relevant to the underlying sentencing process.
    14
    on the question of reliability of the risk assessment would likely require
    the hiring of a highly qualified expert. Even if the defendant does not wish
    to mount a full-blown attack on the statistical model and instead wishes
    to make a more limited point—say, for instance, the disproportionate
    impact of use of housing, employment, and level of educational attainment
    of people of color—the defense will not be able to develop the attack in a
    few days, particularly when the defendant is indigent and will require court
    approval prior to the hiring of an expert to challenge the statistical
    information. And, of course, the state will want its opposing expert. In
    short, in order to allow the defendant to mount a substantial challenge to
    the underlying reliability of risk assessment data, and to give the state an
    appropriate opportunity to respond, the sentencing hearing will likely need
    to be continued for a period of weeks.
    The continuation of a hearing to allow for the development of expert
    testimony is not unheard of, of course, but in the context of sentencing,
    the consequence of a continuance to a criminal defendant might be quite
    troublesome. For example, an incarcerated indigent defendant awaiting
    sentencing might believe he or she has a reasonable chance at a deferred
    judgment or probation. But, in order to mount an effective challenge to
    the use of statistical evidence, the defendant’s period of presentence
    incarceration may be extended for a number of weeks.
    But one thing is clear: if the state intends to offer risk assessments
    for the court to rely upon in sentencing, the defendant has a right to an
    adequate opportunity to attack it. If the court does not give the defendant
    an adequate opportunity to attack the statistical evidence, it should not
    be utilized in sentencing.
    In conclusion, I want to make clear that I do not categorically reject
    any use of risk assessment tools in the sentencing process. I recognize
    15
    that the PEW Center on the States, the National Institute of Corrections,
    the National Center for State Courts, and the American Law Institute have
    all expressed interest in evidence-based sentencing. See J.C. Oleson, Risk
    in Sentencing: Constitutionally Suspect Variables and Evidence-Based
    Sentencing, 
    64 SMU L. Rev. 1329
    , 1343, 1394 (2011). I also recognize that
    sentencing based solely on “intuition” or “gut” runs the risk of allowing
    implied bias a free reign and can be lawless in nature. 4 See Chris Guthrie
    et al., Blinking on the Bench: How Judges Decide Cases, 
    93 Cornell L. Rev. 1
    , 5 (2007) (urging the justice system to take steps to limit the impact of
    overreliance on intuition). Further, the “intuition” or “gut” of a judge who
    was a former prosecutor may well differ from the “intuition” or “gut” of a
    public defender. Undisciplined intuitive sentencing runs the risk of telling
    us more about the judge than the person being sentenced.
    A fully-developed record may well show that risk and needs
    assessment tools that assemble variables in a statistically valid way may
    be of some assistance as a check on unregulated sentencing discretion
    and may promote deeper thinking by discretionary decision-makers into
    the sentencing process. In short, it is possible that when a full record is
    developed, properly designed and utilized risk assessment tools may
    enhance and inform the exercise of judicial discretion. In addition to the
    binary question of whether a risk assessment may or may not be used in
    sentencing, however, more nuanced additional questions must be asked
    regarding how any such tool may be used.                 In light of the procedural
    4The literature on implicit bias is voluminous and raises a serious challenge to
    conventional legal doctrines. See generally Christine Jolls & Cass R. Sunstein, The Law
    of Implicit Bias, 
    94 Calif. L. Rev. 969
    , 969 (2006); Jerry Kang & Kristin Lane, Seeing
    Through Colorblindness: Implicit Bias and the Law, 
    58 UCLA L. Rev. 465
    , 465 (2010);
    Linda Hamilton Krieger, The Content of Our Categories: A Cognitive Bias Approach to
    Discrimination and Equal Employment Opportunity, 
    47 Stan. L. Rev. 1161
    , 1164 (1995);
    Charles R. Lawrence III, The Id, the Ego, and Equal Protection: Reckoning with Unconscious
    Racism, 
    39 Stan. L. Rev. 317
    , 321–22 (1987).
    16
    posture of this case and the companion cases, these questions must await
    further legal developments.