State v. Castillo , 3 N.M. 67 ( 2012 )


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    New Mexico Compilation
    Commission, Santa Fe, NM
    '00'05- 15:20:37 2012.12.18
    Certiorari Denied, October 10, 2012, No. 33,803
    IN THE COURT OF APPEALS OF THE STATE OF NEW MEXICO
    Opinion Number: 
    2012-NMCA-116
    Filing Date: August 14, 2012
    Docket No. 31,269
    STATE OF NEW MEXICO,
    Plaintiff-Appellee,
    v.
    DAVID CASTILLO,
    Defendant-Appellant.
    APPEAL FROM THE DISTRICT COURT OF BERNALILLO COUNTY
    Robert M. Schwartz, District Judge
    Gary K. King, Attorney General
    Olga Serafimova, Assistant Attorney General
    Santa Fe, NM
    for Appellee
    Streubel Kochersberger Mortimer, LLC
    Donald F. Kochersberger III
    Albuquerque, NM
    for Appellant
    OPINION
    HANISEE, Judge.
    {1}     Defendant David Castillo was sentenced following an agreement with the State in
    which he pleaded no contest to criminal sexual penetration in the second degree.
    Defendant’s ensuing nine-year incarcerative sentence was suspended, and he was placed on
    supervised probation for a total of five years, commencing on December 16, 2005. As a
    special condition of his probation, Defendant was required to “enter and successfully
    1
    complete a sex offender specific therapy to include polygraph testing as deemed necessary
    by the therapist.” In April 2010, the State filed a motion to revoke Defendant’s probation
    for failure to successfully complete a sex offender treatment program. A probation
    revocation hearing was held, and Defendant’s probation was revoked on December 14, 2010,
    a single day prior to its scheduled completion.
    {2}      On appeal, Defendant argues that his right to confrontation was violated when the
    district court allowed the head of Forensic Therapy Service, the sex offender treatment
    center at which Defendant was a patient, to testify about the results of his polygraph
    examination—rather than requiring that the State call the individual who actually
    administered the polygraph test. Based on our New Mexico Supreme Court’s opinion in
    State v. Guthrie, 
    2011-NMSC-014
    , 
    150 N.M. 84
    , 
    257 P.3d 904
    , Defendant’s claim of error
    requires this Court to consider “the need for, and utility of, confrontation with respect to the
    truth-finding process and in light of the particular case at hand, including the specific charge
    pressed against the probationer.” Id. ¶ 43. Having taken this standard into consideration,
    we conclude that Defendant’s Fourteenth Amendment right to due process was violated by
    the district court’s allowance of testimony regarding Defendant’s polygraph results by
    someone other than the person who actually administered and interpreted the polygraph test.
    Accordingly, we reverse.
    BACKGROUND
    {3}     Prior to the probation revocation hearing, Defendant filed a motion in limine or, in
    the alternative, a motion for continuance. In it, Defendant primarily sought to exclude any
    testimony regarding the results of his polygraph test from a witness other than Ralph Trotter,
    who administered Defendant’s polygraph test. Defendant argued that he possessed a due
    process right to confront the witnesses against him even in the context of a probation
    revocation proceeding, and absent a showing that there was good cause for not producing
    Mr. Trotter, the State should be barred from proceeding on the petition to revoke if it
    planned to present evidence regarding the polygraph. Defendant specifically asserted that
    absent Mr. Trotter’s testimony and availability for cross-examination, Defendant would be
    unable to test Mr. Trotter’s credentials and the manner in which the purportedly failed
    polygraph test was effectuated, and thus the district court lacked a constitutionally adequate
    basis to conclude that the asserted polygraph results were reliable. Alternatively, Defendant
    requested an extension of time to permit his chosen expert polygraph examiner the
    opportunity to review the materials related to the polygraph test and provide testimony
    regarding his own independent conclusions.
    {4}     At the hearing, Defendant maintained that the polygraph results were central to
    proving the existence of any probation violation. The State countered that the probation
    violation was not based exclusively on an allegation that Defendant failed his polygraph, but
    on the broader allegation that Defendant had “failed to fully cooperate and complete the sex
    offender treatment.” The State added that Therese Duran, the supervisor of Forensic
    Therapy Service, could competently testify regarding “the problems with the polygraphs,
    2
    [that] they changed the course of treatment and still failed, because [D]efendant refused to
    engage.” Defendant insisted that the core of Ms. Duran’s testimony would be as follows:
    “If the person is not admitting that they did the offense conduct, and the polygraph tests
    indicate that they are lying about that, then they consider the person to be noncompliant with
    the therapy.” Thus, while Defendant argued that the polygraph evidence was central to the
    proof of the probation violation, the State argued that evidence of the polygraph was not
    actually necessary to prove the violation. The district court took the motion in limine under
    advisement pending Ms. Duran’s testimony.
    {5}      Ms. Duran testified that she supervised Defendant’s sex offender treatment and made
    the ultimate decision to terminate him from the program in late March 2010, roughly six
    months prior to Defendant’s completion of his five-year term of probation. She discussed
    the two distinct ways polygraphs were used by Forensic Therapy Service as part of the sex
    offender treatment program. Maintenance polygraphs were used to ensure compliance with
    the terms of probation—such as the prohibition against being within the specified vicinity
    of children. Ms. Duran testified that Defendant had passed all of his maintenance polygraph
    exams. Polygraph exams were additionally conducted regarding the sexual offenses with
    which the client was charged in order to determine the best course of treatment. According
    to Ms. Duran’s testimony, Forensic Therapy Service sought to address all charges initially
    brought against the client (not only those to which the client pleaded or was convicted of),
    and if there were discrepancies between those charges and the client’s explanation of events,
    Forensic Therapy Service relied on polygraphs to resolve the incongruence.
    {6}      According to Ms. Duran, based on Defendant’s polygraph results, he was considered
    to be in “denial” and was placed on a different treatment path aimed at achieving
    accountability for all conduct with which he was originally charged. Ms. Duran did not
    provide any testimony as to the manners in which Defendant’s polygraph test was conducted
    or its results were interpreted to reach the conclusion that he was being deceptive. Instead,
    Ms. Duran summarily stated that Defendant was placed in the “failed polygraph group” due
    to an indication of deception. She further maintained that he “significantly failed all of the
    polygraphs related to his sexual offense,” but that she did not “recall what the numbers
    were,” only that they were “clearly deceptive.”
    {7}    Ms. Duran also discussed how Forensic Therapy Service utilized different therapists
    and therapies in an effort to progress beyond Defendant’s “deception” to achieve a
    therapeutically “accountable phase.” According to Ms. Duran, the difficulty with
    Defendant’s progress was his lack of “[a]ny form of accountability[.]” Once his initial
    polygraph tests showed deception, Ms. Duran testified that there was no way for Defendant
    to have graduated from the program without admitting the underlying offense. Ultimately,
    according to Ms. Duran, Defendant was released from the program for noncompliance
    “[b]ecause he was not being accountable.”
    {8}     Following Ms. Duran’s testimony, Defendant reasserted his consistently argued
    position:
    3
    In order for them to admit the testimony regarding the polygraph test results,
    pass or fail, they need more than Ms. Duran coming up and saying she got a
    report from someone. I don’t think the fact that she got a report is a reliable
    indication of whether or not the polygraph test was performed by somebody
    with the ability to perform it, that it was performed with the proper
    procedures, that the results obtained were reliable, what the level of
    deception—if that’s even an important indication for the polygraph
    tests—were. What we’re talking about is a scientific test. And the only
    person who testified has just seen the yes-or-no answer. . . .
    I think Ms. Duran’s pretty clear. The reason [Defendant] was terminated
    from the program was because he did not admit to the offense conduct. And
    the reason [why] that is a problem is because they believe he failed polygraph
    tests, indicating that he was lying about that. If he had passed these
    polygraph tests, by Ms. Duran’s own admission, he would be out of this
    program. He would be in a different one, maybe. But he would have
    successfully completed their program.
    The State reiterated that it was not the polygraph but Defendant’s continued denial that
    justified revocation. The district court found that the polygraphs were “a component of
    [Defendant’s] failure to finish the program” but that there were also “other behaviors and
    actions that were interpreted by the staff [as D]efendant . . . not engaging.” The district court
    therefore denied Defendant’s motion in limine. Following supplemental testimony by
    Defendant’s probation officer, which did not bear further on the issue of the polygraph, the
    district court revoked Defendant’s probation. The court further elected not to continue the
    proceeding in order to accommodate the alternative relief requested by Defendant—an
    opportunity to present his own expert.
    DISCUSSION
    {9}     “Revocation of probation deprives an individual, not of the absolute liberty to which
    every citizen is entitled, but only of the conditional liberty properly dependent on observance
    of special [probation] restrictions.” Guthrie, 
    2011-NMSC-014
    , ¶ 10 (alteration in original)
    (quoting Gagnon v. Scarpelli, 
    411 U.S. 778
    , 781 (1973)) (internal quotation marks omitted).
    “Because loss of probation is loss of only conditional liberty, ‘the full panoply of rights due
    a defendant in a [criminal trial] do [ ] not apply.’” 
    Id.
     (alteration in original) (quoting
    Morrisey v. Brewer, 
    408 U.S. 471
    , 480 (1972)). Hence, “[t]he right protected in probation
    revocation[ cases] is not the [S]ixth [A]mendment right to confrontation, guaranteed every
    accused in a criminal trial, but rather the more generally worded right to due process of law
    secured by the [F]ourteenth [A]mendment.” Guthrie, 
    2011-NMSC-014
    , ¶ 12. Due process
    includes “the right to confront and cross-examine adverse witnesses (unless the hearing
    officer specifically finds good cause for not allowing confrontation).” State v. Vigil, 
    97 N.M. 749
    , 751, 
    643 P.2d 618
    , 620 (Ct. App. 1982) (internal quotation marks omitted). Whether
    Defendant’s due process right to confrontation was violated is a question of law. We review
    4
    questions of law de novo while deferring to the district court’s factual findings. Guthrie,
    
    2011-NMSC-014
    , ¶ 22.
    {10} Our Supreme Court has directed the courts—when discharging their duty to find
    good cause for lack of confrontation—to consider “whether confrontation of the witness is
    essential to the truth-finding process in the context of probation revocation.” Id. ¶ 2. This
    entails considering whether the challenged hearsay evidence “relate[s] to objective or
    subjective observations, assert[s] that a probationer acted or failed to act as required, or
    support[s] facts that are central or ancillary to the ultimate probation violation inquiry.” Id.
    ¶¶ 34, 37. Stated more specifically, our courts are to consider whether: (1) “the assertion [is]
    central to the reasons for revocation[] or . . . collateral,” (2) “the assertion [is] contested by
    the probationer, or . . . the state [is] being asked to produce a witness to establish something
    that is essentially uncontroverted,” and (3) the assertion is “inherently reliable.” Id. ¶¶ 34,
    36.
    {11} Our Supreme Court presented the consideration of these factors as falling on a
    sliding scale “with extremes at either end and much balancing and weighing of competing
    interests in between.” Id. ¶ 40. On one end of the spectrum, Guthrie provides that good
    cause for not requiring confrontation will most likely exist where
    the state’s evidence is uncontested, corroborated by other reliable evidence,
    and documented by a reliable source without a motive to fabricate, or
    possibly situations where the evidence is about an objective conclusion, a
    routine recording, or a negative fact, making the demeanor and credibility of
    the witness less relevant to the truth-finding process.
    Id. On the other end of the spectrum, Guthrie provides that good cause will most likely not
    exist where
    evidence is contested by the defendant, unsupported or contradicted, and its
    source has a motive to fabricate; it is about a subjective, judgment-based
    observation that is subject to inference and interpretation, and makes a
    conclusion that is central to the necessary proof that the defendant violated
    probation.
    Id. ¶ 41.
    {12} We begin our consideration of the utility of confrontation under the particular facts
    of this case by looking at the nature of the evidence presented. Defendant argues that in
    contrast to the evidence challenged in Guthrie, the polygraph evidence here was central and
    contested, as opposed to being merely objective, routine or independently proven. In
    Guthrie, the defendant was placed on supervised probation and agreed to attend a ninety-day
    residential treatment program as part of a plea agreement. Id. ¶ 3. The State filed a motion
    to revoke probation based on the defendant’s failure to complete the program. Id. ¶ 4. At
    5
    the probation revocation hearing, the defendant’s probation officer did not testify; rather, the
    probation officer’s supervisor testified and referred to documents contained in the
    defendant’s probation file. Id. ¶¶ 4-6. Based on the supervisor’s testimony, the district court
    revoked the defendant’s probation. In affirming the revocation, our Supreme Court relied
    on the fact that the defendant did not contest the allegation that he failed to complete the
    treatment program and that the defendant’s non-compliance was “an objective, negative, and
    rather routine fact” that “was easily and reliably established to a reasonable degree of
    certainty by a written statement from the treatment center.” Id. ¶ 46. In addition, our
    Supreme Court noted that there was little that could be gained by testimony from a direct
    employee of the treatment center under the facts of that case, and that the district court had
    independently corroborated the State’s testimony by taking judicial notice that it would have
    been factually impossible for the defendant to have completed the treatment as required,
    given the time and place of the defendant’s arrest. Id. ¶¶ 47-48.
    {13} “[T]he procedural protections inherent in the truth-finding process, such as a hearing
    or confrontation, are only necessary when the truth of the state’s allegation is challenged.”
    Id. ¶ 35. Thus, in Guthrie, our Supreme Court considered to be important the fact that the
    “[d]efendant never created any doubt in the truth of the evidence offered by the State.” Id.
    ¶ 34. It further noted that many courts would question the need for “a live witness to
    establish an evidentiary fact (failure to complete) that is never challenged for its accuracy
    or its reliability.” Id. In contrast, Defendant here emphatically challenged the reliability of
    the polygraph evidence in his motion in limine, his arguments on the issue, and his
    secondary effort to attain a continuance in order to present expert evidence rebutting the
    State’s polygraph testimony.
    {14} In addition, Defendant demonstrated through cross-examination of the State’s
    witnesses that the polygraph evidence was central to the State’s allegation that Defendant
    had failed to complete his treatment program. Ms. Duran testified that Defendant’s
    termination from the program was based upon his lack of accountability for the conduct with
    which he was originally charged. According to Ms. Duran, Defendant was only required to
    admit to the conduct with which he was first charged because his polygraph indicated that
    his denial of it was deceptive. If, on the other hand, Defendant’s polygraph had not indicated
    deception, no such admission would have been required. Because the testimony at the
    probation revocation hearing clearly indicates that Defendant’s ultimate failure to admit the
    offense conduct led to his termination from the program, the polygraph evidence that
    established the unresolved conflict was “central to the reasons for revocation.” Id.
    {15} Furthermore, Defendant accurately points out that polygraph evidence is neither
    objective nor routine. Instead, polygraph examiners are required to be licensed and adhere
    to specific procedures in the administration and interpretation of polygraph exams. Ms.
    Duran’s foundation-less testimony that Defendant’s polygraph examination indicated
    deception therefore gives this Court pause. “Evidence supporting subjective conclusions,
    which may require confrontation, includes sensory-based or judgment-based determinations
    or interpretations[.]” Id. ¶ 38. The conclusion testified to by Ms. Duran in explaining why
    6
    Defendant was terminated from the sex offender treatment program was the direct product
    of Mr. Trotter’s interpretation of the polygraph results and his judgment-based determination
    that the results indicated deception. The State characterizes the evidence at issue as “the
    straightforward fact of treatment completion.” However, the incompletion of treatment in
    this instance is not premised on an objective fact as was the case in Guthrie; rather, the
    genesis of Defendant’s failure to complete treatment was based on the State’s evidentiary
    assertions and argument regarding the results of his polygraph exam. See id. ¶¶ 8, 48 (noting
    that the defendant’s failure to complete treatment was based on him not being present at the
    treatment facility). According to the Guthrie analysis, such subjective conclusions weigh
    compellingly in favor of requiring an opportunity for cross-examination. Id. ¶ 37 (citing
    Bailey v. State, 
    612 A.2d 288
    , 294 (Md. 1992) (“A second consideration may be whether the
    proffered hearsay is an objective fact reported by the declarant or instead contains
    conclusions which ought to be tested by cross-examination.”)).
    {16} The State does not directly address Defendant’s argument that the evidence was
    central, contested, and not objective or routine. Instead, the State contends that evidence
    regarding the polygraph was not necessary to proving Defendant’s violation of the
    conditions of his probation and that the burden to subpoena Mr. Trotter was on Defendant
    because the polygraph results were evidence of mitigation—in other words, a reason
    Defendant was unable to complete the treatment rather than proof of a violation of his
    probation. Despite the State’s contention that introduction of evidence regarding the
    polygraph results was unnecessary to prove a violation of Defendant’s conditions of
    probation, that is not the case before us. Rather, the State chose to introduce the polygraph
    results through Ms. Duran, along with Defendant’s refusal to admit all initially charged
    conduct, as well as the corresponding changes in Defendant’s treatment and his ultimate
    termination from the program. In the context of a probation revocation proceeding, we look
    to Guthrie to see if the evidence the State has elected to present situationally triggers a right
    of confrontation. Based on the centrality of the polygraph evidence in this circumstance, the
    subjective and interpretative nature of it, and the fact that Defendant challenged its
    reliability, we conclude that this case falls on the “no good cause” end of the spectrum
    established in Guthrie. Id. ¶ 41. Contrary to the circumstances in Guthrie, the utility of
    confrontation under these facts is evident.
    CONCLUSION
    {17} For the reasons stated above, we hold that Defendant’s Fourteenth Amendment right
    to due process was violated by the district court’s decision to allow Ms. Duran to testify
    exclusively regarding Defendant’s polygraph results. Accordingly, we reverse and remand
    for further proceedings.
    {18}    IT IS SO ORDERED.
    ____________________________________
    J. MILES HANISEE, Judge
    7
    WE CONCUR:
    ____________________________________
    MICHAEL D. BUSTAMANTE, Judge
    ____________________________________
    LINDA M. VANZI, Judge
    Topic Index for State v. Castillo, No. 31,269
    APPEAL AND ERROR
    Remand
    Standard of Review
    CONSTITUTIONAL LAW
    Confrontation
    Due Process
    CRIMINAL LAW
    Criminal Sexual Penetration
    CRIMINAL PROCEDURE
    Probation
    Revocation of Probation
    EVIDENCE
    Polygraph Examination
    8
    

Document Info

Docket Number: 33,803; Docket 31,269

Citation Numbers: 2012 NMCA 116, 3 N.M. 67

Judges: Hanisee, Bustamante, Vanzi

Filed Date: 8/14/2012

Precedential Status: Precedential

Modified Date: 10/19/2024