The PEOPLE, Plaintiff and Respondent, v. Michael Lee BEJASA, Defendant and Appellant.
Defendant and appellant Michael Lee Bejasa was involved in an automobile collision that seriously injured his passenger. The first police officer at the scene searched defendant and found two syringes, one of which contained methamphetamine. Defendant admitted that the syringes were used to inject methamphetamine and that he was on parole. The police officer handcuffed defendant, told him he was being detained for a possible parole violation, and placed him in the back of his police car. The officer did not give defendant the Miranda1 warnings.
Upon the arrival of additional officers a short time later, defendant was released from the police car and his handcuffs were removed. The investigating officer conducted an interview and various field sobriety tests (FST) and determined that defendant was possibly under the influence of drugs. The officer then advised defendant he was under arrest. Defendant was not given his Miranda rights until he was taken to the police station.
Defendant was charged and convicted by a jury of driving a vehicle under the influence of a drug and personally causing great bodily injury to another (count 1),2 as well as transporting a controlled substance (count 2).3 Defendant also pled guilty to driving without a license (count 3).4 Following a bifurcated court trial, the court found true allegations of prior convictions and two prior strike convictions.5 The trial court sentenced defendant to consecutive 25–year–to–life sentences on counts 1 and 2. On count 3, defendant received a term of 180 days, to run concurrent to count 1.
On appeal, defendant argues the trial court erred in refusing to suppress evidence of statements made to the police after defendant was handcuffed and placed in a police car prior to being advised of his Miranda rights. Among other statements that should have been suppressed, defendant claims that his estimation of time, made during a “Romberg,” or modified attention, FST (Romberg test), was testimonial evidence and should have been excluded under Miranda. In the published portion of our opinion, we conclude the trial court erred in admitting defendant's custodial statements to the police, including the estimation of time made during the Romberg test. However, because we further conclude the error was harmless, we affirm defendant's conviction.
The remaining issues concern the trial court's sentencing of defendant. Defendant contends the court failed to realize that the “Three Strikes” law does not require consecutive sentencing if the crimes were committed on the same occasion, and the imposition of a consecutive sentence on count 2 was an abuse of discretion. Defendant also argues the court should have stayed the sentence on count 2 pursuant to Penal Code section 654 because the two crimes were committed with a single intent and objective. We address these issues in the nonpublished portion of our opinion. We agree with defendant that the court was unaware of its discretion in determining whether to impose a consecutive or concurrent sentence on count 2, and failed to exercise such discretion. A new sentencing hearing is therefore required, at which the court shall exercise such discretion. Finally, we agree with defendant that the sentence on count 2 must be stayed pursuant to Penal Code section 654.
A. Motion to Suppress Defendant's Statements Made Prior to Miranda Warnings1. Factual and Procedural Background
Prior to trial, defendant moved to suppress statements made to police officers after he was handcuffed and placed in the police car and prior to being advised of his Miranda rights. The motion was based on the evidence presented at defendant's preliminary hearing. The following is our summary of that evidence.
On the evening of September 19, 2008, defendant was driving a Jeep northbound on State Street in Hemet. Defendant's girlfriend, Stasha Lewellyn, was riding in the passenger seat. At approximately 6:52 p.m., Terri Patterson observed the Jeep as she drove in the southbound slow lane. The oncoming Jeep changed lanes and veered all the way across the street into Patterson's lane. Patterson was unable to avoid the Jeep, and the vehicles collided head-on. Lewellyn, who was not wearing a seat belt, was thrown from the Jeep. As a result, she sustained major injuries.
Hemet Police Officer Derek Maddox was the first police officer to arrive at the scene of the crash. After making sure that the injured parties were being treated by paramedics, Officer Maddox contacted defendant and asked him what happened. Defendant said he had been driving and Lewellyn had been thrown from the Jeep because she was not wearing a seat belt. Officer Maddox noticed that defendant's eyes were bloodshot. He told defendant to sit on the curb.
Traffic officers were called to continue the investigation. Officer Maddox waited until other officers arrived, then resumed questioning defendant. During this exchange, defendant admitted he was on parole. Defendant consented to a search, during which Officer Maddox found two syringes. One syringe was empty; the other contained a small amount of liquid that was later determined to be methamphetamine. Defendant admitted he used the syringe to “shoot up methamphetamine.” By the time of the search, less than 20 minutes had passed since Officer Maddox arrived on the scene.
Officer Maddox handcuffed defendant and placed him in the back of his police car to await officers from the traffic department. As defendant was being handcuffed, Officer Maddox informed him that “he was being detained for a possible parole violation.” Officer Maddox did not give defendant the Miranda warnings.
Officer Tony Spates, a Hemet traffic officer, arrived at the scene of the crash at approximately 7:15 p.m. Four other traffic officers responded as well. When Officer Spates arrived, Officer Maddox and another officer briefed him on the collision. Officer Spates then allowed defendant to get out of the police car and removed defendant's handcuffs. Officer Spates proceeded to interview defendant, using a form provided by the Hemet Police Department, in order to determine whether defendant had been driving under the influence. These questions included: “What have you been drinking?,” “How much?,” “When did you start?,” “When did you stop?,” “Do you feel the effects of the alcohol?,” and “Do you think that you should be driving?” In response to Spates's questions, defendant made incriminating statements regarding his use of drugs.6
Officer Spates also administered a number of FST's on defendant, with mixed results. While defendant was able to perform some of the tests to Officer Spates's satisfaction, other test results suggested that defendant was under the influence of a narcotic.
The first FST administered by Officer Spates was the Romberg test. Defendant was asked to stand at attention, close his eyes, tilt his head back, and estimate the passage of 30 seconds. While defendant performed the test, Officer Spates observed defendant's balance and his ability to accurately measure the passage of 30 seconds. Officer Spates testified that defendant leaned slightly and finished counting at 25 seconds. Officer Spates testified that the result was consistent with the use of a stimulant because it showed that defendant was “moving a little fast.”
At the conclusion of the FST's, Officer Spates advised defendant he was under arrest. Defendant's blood subsequently tested positive for methamphetamine.
2. The Hearing on the Motion to Suppress
At the hearing on defendant's motion to suppress, defendant argued he had been placed in custody and his statements made to Officer Spates were inadmissible because he had received no Miranda warnings. Furthermore, defendant claimed the FST's were also inadmissible testimonial evidence for the same reason.
The trial court rejected defendant's argument and ruled that, in light of the totality of the circumstances, defendant was not in custody. The court found that Officer Maddox was conducting a preliminary investigation and that he had, at most, only one other officer with him. The court reasoned that Officer Maddox detained defendant briefly, until an investigating officer arrived, in order to effectively manage the accident scene. Once Officer Spates arrived, defendant was released and “essentially free to move around.” The statements made to Officer Spates were thus not the result of custodial interrogation. The trial court also denied the motion to suppress the FST results based on the conclusions that defendant was not in custody at the time the FST's were administered and defendant's performance on the FST's were “non-testimonial.” Therefore, the statements and FST results were ruled admissible.
On appeal, defendant challenges the admissibility of the incriminating statements made to Officer Spates and the estimation of time during the Romberg test.
In Miranda, the United States Supreme Court held that the Fifth Amendment privilege against self-incrimination prevents the prosecution from using “statements, whether exculpatory or inculpatory, stemming from custodial interrogation of the defendant unless it demonstrates the use of procedural safeguards effective to secure the privilege against self-incrimination.” (Miranda, supra, 384 U.S. at p. 444.) The court was concerned that, without these procedural safeguards, the “inherently compelling pressures” of custodial interrogation might induce suspects to speak where they normally would not. (Id. at p. 467.)
These procedural safeguards require that a person in custody “first be informed in clear and unequivocal terms that he has the right to remain silent” and “that anything said can and will be used against the individual in court.” (Miranda, supra, 384 U.S. at pp. 467–469.) Furthermore, a person in custody must be advised of his or her “right to consult with a lawyer and to have the lawyer with him during interrogation.” (Id. at p. 471.) Finally, the person must be told that “if he is indigent a lawyer will be appointed to represent him.” (Id. at p. 473.) If these advisements are not made, “no evidence obtained as a result of interrogation can be used against him.” (Id. at p. 479, fn. omitted.)
In reviewing a trial court's ruling on a motion to suppress evidence based upon a Miranda violation, “ ‘we accept the trial court's resolution of disputed facts and inferences, and its evaluations of credibility, if supported by substantial evidence. We independently determine from the undisputed facts and the facts properly found by the trial court whether the challenged statement was illegally obtained.’ [Citation.]” (People v. Gamache (2010) 48 Cal.4th 347, 385.)
Miranda advisements are only required when a person is subjected to custodial interrogation. (Miranda, supra, 384 U.S. at p. 444.) A suspect is in custody when a reasonable person in the suspect's position would feel that his “freedom of action is curtailed to a ‘degree associated with formal arrest.’ [Citation.]” (Berkemer v. McCarty (1984) 468 U.S. 420, 440, 442 (Berkemer ).)
Because a Miranda warning is only required once custodial interrogation begins, the defendant must necessarily have been in custody in order to assert a violation. “In determining whether an individual was in custody, a court must examine all of the circumstances surrounding the interrogation․” (Stansbury v.. California (1994) 511 U.S. 318, 322.) These circumstances must be measured “against an objective, legal standard: would a reasonable person in the suspect's position during the interrogation experience a restraint on his or her freedom of movement to the degree normally associated with a formal arrest.” (People v. Aguilera (1996) 51 Cal.App.4th 1151, 1161; see also Berkemer, supra, 468 U.S. at p. 442; California v. Beheler (1983) 463 U.S. 1121, 1125; People v. Stansbury (1995) 9 Cal.4th 824, 830.)
California courts have identified a number of factors relevant to this determination. While no one factor is conclusive, relevant factors include: “(1) [W]hether the suspect has been formally arrested; (2) absent formal arrest, the length of the detention; (3) the location; (4) the ratio of officers to suspects; and (5) the demeanor of the officer, including the nature of the questioning.” (People v. Pilster (2006) 138 Cal.App.4th 1395, 1403; People v. Forster (1994) 29 Cal.App.4th 1746, 1753; People v. Lopez (1985) 163 Cal.App.3d 602, 608.)
Additional factors include: “[W]hether the suspect agreed to the interview and was informed he or she could terminate the questioning, whether police informed the person he or she was considered a witness or suspect, whether there were restrictions on the suspect's freedom of movement during the interview, and whether police officers dominated and controlled the interrogation or were ‘aggressive, confrontational, and/or accusatory,’ whether they pressured the suspect, and whether the suspect was arrested at the conclusion of the interview.” (People v. Pilster, supra, 18 Cal.App.4th at pp. 1403–1404, citing People v. Aguilera, supra, 51 Cal.App.4th at p. 1162.)
In denying the defense's motion for suppression of evidence, the trial court concluded that, under the totality of the circumstances, defendant was not placed in custody when he was initially restrained. The trial court characterized the seizure as a “brief detention.” The trial court supported this ruling with facts from the record that weigh against an objective determination of custody.
For example, the trial court found that defendant was restrained for only a brief period of time. The record provides ample evidence supporting this conclusion. Officer Maddox responded to the collision at approximately 6:52 p.m. Officer Spates arrived at approximately 7:15 p.m. During this time, Officer Maddox checked for injured parties, then proceeded to question and search defendant before handcuffing him and placing him in the police car. Because of this small window of time, defendant was likely restrained only for a matter of minutes. The brief nature of this restraint tends to show that defendant was merely detained, not in custody.
The trial court also found that, when defendant was restrained, Officer Maddox was accompanied by no more than one other officer. Logically, the fewer the number of officers surrounding a suspect the less likely the suspect will be affected by custodial pressures. However, while this factor would normally weigh against a finding of custody, the argument is less persuasive under the present facts. Here, defendant was restrained when police were shorthanded. However, questioning resumed after more officers arrived.
Another factor identified by the trial court is the fact that Officer Maddox was in “preliminary investigative stages” when he restrained defendant. This also tends to support the determination that defendant was not in custody. Because Officer Maddox was concerned with gathering information regarding what had occurred, rather than questioning defendant as a suspect, it is less likely defendant was exposed to custodial pressures.
While the above facts offer some support for the trial court's determination that defendant was not in custody, other circumstances lend great weight to the argument that a reasonable person would have felt restrained in a manner normally associated with formal arrest. First, prior to being restrained, defendant had incriminated himself in a number of ways. While talking to Officer Maddox, defendant admitted he was on parole. Defendant then consented to a search of his person. That search yielded two syringes, one of which contained a liquid. Defendant further admitted that the syringes were used to “shoot up methamphetamine.” At that point, Officer Maddox restrained defendant and informed him that he was being “detained for a possible parole violation.”
The fact that defendant offered several incriminating facts and was restrained so quickly thereafter weighs strongly in favor of a finding of custody. A reasonable person in defendant's position would know that possession of methamphetamine and related paraphernalia is a parole violation and a crime, and that arrest would likely follow.
Second, the fact that Officer Maddox advised defendant he was being “detained for a possible parole violation” also weighs in favor of custody. The word “detained,” by itself, cannot abrogate the likelihood of custodial pressures. A reasonable person would probably not be comforted by the fact that the officer used the word “detained” and mentioned only a “possible” crime. Here, defendant had just admitted that he was on parole and had been using and carrying methamphetamine. In this context, a reasonable person would understand the officer's statement to mean that he or she was not free to leave.
Even if the above circumstances are insufficient to constitute a level of restraint comparable to formal arrest, the physical restraint that followed crosses that boundary. Defendant was confronted with two of the most unmistakable indicia of arrest: he was handcuffed and placed in the back of a police car. A reasonable person, under these circumstances, would feel restrained to a “ ‘degree associated with formal arrest.’ “ (Berkemer, supra, 468 U.S. at p. 440.)
In respondent's brief, the People cite language from Berkemer pertaining to “ordinary traffic stops.” (See Berkemer, supra, 468 U.S. at p. 440.) As the People note, the Berkemer opinion states that the “circumstances associated with the typical traffic stop are not such that the motorist feels completely at the mercy of the police.” (Id. at p. 438.) The United States Supreme Court concluded that “persons temporarily detained pursuant to such [ordinary traffic] stops are not ‘in custody’ for the purposes of Miranda.” (Id. at p. 440.)
This was not a typical traffic stop. Defendant was handcuffed and placed in the back of a police car before Officer Spates arrived. A reasonable person in that situation would feel completely at the mercy of the police. As Berkemer stated, such a person is “entitled to the full panoply of protections prescribed by Miranda.” (Berkemer, supra, 468 U.S. at p. 440.)
The People also contend it was reasonable for Officer Maddox to place defendant in the back of the police car until other officers arrived. We do not disagree with this point. As the first officer on the scene, Officer Maddox was likely met with chaos. Officer Maddox testified that there were “numerous officers directing traffic” and that police “had to shut down the entire roadway for the helicopter.” By restraining defendant and waiting for backup, we have no doubt that Officer Maddox acted prudently.
However, this argument is misdirected. “Whether an individual has been unreasonably seized for Fourth Amendment purposes and whether that individual is in custody for Miranda purposes are two different issues. [Citation.]” (People v. Pilster, supra, 138 Cal.App.4th at p. 1405.) Here, the issue is not whether the police acted reasonably in detaining or restraining defendant, but rather “ ‘whether there [was] a “formal arrest or restraint on freedom of movement” of the degree associated with a formal arrest.’ [Citations.]” (Stansbury v. California, supra, 511 U .S. at p. 322.)
While a reviewing court must apply a deferential substantial evidence standard to the trial court's factual findings, it must independently determine whether the defendant was in custody. (People v. Ochoa (1998) 19 Cal.4th 353, 402; People v. Pilster, supra, 138 Cal.App.4th at p. 1403.) Based on the totality of the circumstances, we hold that defendant was placed in custody when he was handcuffed and placed in the police car.
Furthermore, although defendant was released from the police car and the handcuffs removed by the time Officer Spates questioned him, defendant remained in custody for purposes of Miranda. The removal of the restraints was not enough to ameliorate the custodial pressures that likely remained from the initial confinement. Furthermore, defendant was released from the police car only after numerous officers had arrived at the scene. The ratio of officers to suspect had increased to at least seven to one, thus increasing the custodial pressure on defendant.7
Interrogation is express questioning or “any words or actions on the part of the police (other than those normally attendant to arrest and custody) that the police should know are reasonably likely to elicit an incriminating response from the suspect.” (Rhode Island v. Innis (1980) 446 U.S. 291, 301, fns. omitted.)
After releasing defendant from his handcuffs, Officer Spates proceeded to question defendant. The People argue that these questions were of a sufficiently general nature to escape the requirement of a Miranda warning. Relying on People v. Milham (1984) 159 Cal.App.3d 487 (Milham ), the People assert that general questions regarding the facts of a crime may be asked of “persons temporarily detained by officers who do not have probable cause to arrest.” (Id. at p. 500.) These questions are “designed to ․ enable the police to quickly ascertain whether such person should be permitted to go about his business or held to answer charges.” (Ibid.)
While this principle is sound, it is inapplicable to the facts of this case. For instance, defendant was restrained after Officer Maddox suspected a parole violation. It is likely that Officer Maddox had probable cause to arrest defendant at that point. However, by restraining defendant for further investigation, it is evident that Officer Maddox had decided not to allow defendant “to go about his business.” (Milham, supra, 159 Cal.App.3d at p. 500.) Furthermore, the questions asked by Officer Spates were not “[g]eneral on-the-scene” questions. (See ibid.) The questions were such that the police should reasonably have known they were “likely to elicit an incriminating response.” (Rhode Island v. Innis, supra, 446 U.S. at p. 301, fn. omitted.) The facts of Milham clearly illustrate this distinction.
In Milham, the defendant was involved in a car accident that resulted in the death of two of his passengers. (Milham, supra, 159 Cal.App.3d 487.) At the scene of the crash, a responding officer approached the defendant and asked whether he was involved in the accident. (Id. at p. 499.) The defendant stated that he had been driving the car and that he was worried he had killed his wife. (Ibid.) The officer then asked how the accident had happened. (Ibid.) The defendant answered that he thought he had “blacked out.” (Ibid.) He was later convicted of driving under the influence. (Id. at p. 487.)
The defendant appealed his conviction, arguing that the statements made to the officer should have been excluded because no Miranda warnings had been given. (Milham, supra, 159 Cal.App.3d at p. 499.) The court rejected this argument, explaining that the “[g]eneral on-the-scene questioning” present in the facts did not present a Miranda violation. (Id. at p. 500.) The court noted that the responding officer had no indication that a crime had been committed. (Ibid.) The court also reasoned that, although the officer asked the defendant questions, the officer's “suspicion of criminality” had not yet focused on the defendant. (Id. at pp. 500–501.) Finally, the defendant in Milham was not in police custody at the time of the questioning. (Id. at p. 500.)
Each of the above factors presents a separate point of distinction. First, Officer Spates was briefed by Officer Maddox before he began to question defendant. He knew that defendant was on parole and had been in possession of methamphetamine and syringes. It cannot be said, therefore, that Officer Spates lacked an indication that a crime had been committed. Similarly, it cannot be reasonably argued that defendant was not under suspicion of criminality. Finally, when the questioning began, defendant was already in police custody because of a “possible parole violation.”
As the court noted in Milham, the “shift from investigatory to accusatory questioning can be very subtle.” (Milham, supra, 159 Cal.App.3d at p. 500.) However, this case provides no such subtlety. Here, defendant was asked questions such as, “[w]hat have you been drinking?” and “[h]ow much?” These questions contrast strongly against general questions such as, “[w]ere you involved in the accident?” (Id. at p. 494.)
Unlike the questions in Milham, the questions posed to defendant were such that the police should have known they would likely elicit an incriminating response. Here, the police knew defendant had violated his parole and was carrying methamphetamine. The questions posed to defendant by Officer Spates reflected that knowledge. By the time he contacted defendant, Officer Spates had moved past investigation and into the realm of inculpation. Therefore, defendant was interrogated by Officer Spates.
Because defendant was interrogated while in custody, the police were obligated to apprise defendant of his Miranda rights. Since defendant was not given his Miranda advisements until after Officer Spates's interrogation, evidence of his responses to the interrogation cannot be used against him. (Miranda, supra, 384 U.S. at p. 479.) Accordingly, the trial court erred in denying defendant's motion to suppress such evidence.
6. Admission of Romberg Test
At the hearing on the motion to suppress, defendant challenged the admissibility of evidence that he estimated the passage of 30 seconds under the Romberg test when only 25 seconds had passed. The trial court denied the motion to suppress the FST results based on its conclusion that defendant was not in custody at the time the FST's were administered. The court further ruled that the FST's were “non-testimonial” in nature.
On appeal, defendant argues he was in custody at the time the FST's were administered and that the estimation of time was testimonial, because he was asked to “communicate the result of his mental process.”8 Defendant argues, therefore, that the evidence was inadmissible because there had been no Miranda warnings.
Because we previously determined that defendant was in custody for the purposes of Miranda and that Officer Spates's questions constituted interrogation, the remaining issue is whether the estimation of time made during the Romberg test is testimonial evidence for purposes of Miranda.
The Fifth Amendment provides that no “person ․ shall be compelled in any criminal case to be a witness against himself․” (U.S. Const., 5th Amend.) The United States Supreme Court has held that this privilege “does not protect a suspect from being compelled by the State to produce ‘real or physical evidence.’ “ (Muniz, supra, 496 U.S. at p. 589, quoting Schmerber v. California, supra, 384 U.S. at p. 764.) The privilege “protects an accused only from being compelled to testify against himself, or otherwise provide the State with evidence of a testimonial or communicative nature.” (Schmerber v. California, supra, at p. 761, fn. omitted.) “[I]n order to be testimonial, an accused's communication must itself, explicitly or implicitly, relate a factual assertion or disclose information. Only then is a person compelled to be a ‘witness' against himself.” (Doe v. U.S. (1988) 487 U.S. 201, 210, fn. omitted.)
Here, defendant contends the estimation of time made during the Romberg test was a communication that divulged his mental process in an incriminating manner, and is therefore testimonial evidence. To support this proposition, defendant relies on Muniz.
In Muniz, the defendant was pulled over by police and asked to perform various FST's. (Muniz, supra, 496 U.S. at p. 585.) After performing poorly, the defendant admitted he had been drinking. (Ibid.) The police later asked the defendant to state “his name, address, height, weight, eye color, date of birth, and current age.” (Id. at p. 586.) Finally, the police asked the defendant for the date of his sixth birthday, which the defendant could not answer. (Ibid.) The defendant had not been given Miranda warnings. (Muniz, supra, at p. 586.)
The Supreme Court held that any physical observations made by police were nontestimonial and, therefore, were not gathered in violation of Miranda. (Muniz, supra, 496 U.S. at p. 583.) For example, in reference to the defendant's slurred speech, the court held that “[r]equiring a suspect to reveal the physical manner in which he articulates words, like requiring him to reveal the physical properties of the sound produced by his voice, [citation] does not, without more, compel him to provide a ‘testimonial’ response for purposes of the privilege.” (Id. at p. 592.) Additionally, “routine booking questions,” such as the defendant's height, weight, eye color, etc., fall outside of Miranda protections. (Muniz, supra, at p. 601.)
The Supreme Court held, however, that the question regarding the defendant's sixth birthday called for a testimonial response because the question required the defendant to “communicate an express or implied assertion of fact or belief.” (Muniz, supra, 496 U.S. at pp. 597–599, fn. omitted.) In such circumstances, “the suspect confronts the ‘trilemma’ of truth, falsity, or silence.” (Id. at p. 597.)9 Because the defendant was in custody and had not been advised of his right to silence, the defendant's only choices were to incriminate himself by admitting that he did not know the date of his sixth birthday, or to answer falsely and possibly incriminate himself with an incorrect guess. (Id. at pp. 598–599.) “[H]ence the response ․ contain[ed] a testimonial component.” (Id. at p. 597.)
The court held that the defendant's inability to answer the question “supported an inference that his mental faculties were impaired, because his assertion (he did not know the date of his sixth birthday) was different from the assertion (he knew the date was (correct date)) that the trier of fact might reasonably have expected a lucid person to provide.” (Muniz, supra, 496 U.S. at p. 599.) Therefore, “the incriminating inference of impaired mental faculties stemmed, not just from the fact that Muniz slurred his response, but also from a testimonial aspect of that response.” (Ibid., fn. omitted.)
Defendant claims that the Romberg test is “materially indistinguishable” from the sixth birthday question in Muniz because defendant, like the defendant in Muniz, was “asked to make a calculation, and communicate the result of his mental process .” The People, in response, argue that the estimation of time was “analogous to the slurred speech in Muniz.” The determination of the issue, therefore, depends on whether the Romberg test required a testimonial response or produced only real or physical evidence.
As suggested by the People, the Romberg test results are similar, in some respects, to the physical evidence observed by officers during FST's. The Romberg test is designed to “evaluate[ ] an individual's internal clock.” (Ramirez v. City of Buena Park (9th Cir.2009) 560 F.3d 1012, 1018.) An individual's internal clock is undoubtedly affected, at least in part, by his or her physical condition.
However, the Romberg results are also unlike other purely physical observations, such as loss of balance, redness in the cheeks, or slurred speech. This point is illustrated by the relative complexity of the Romberg test. For example, evidence of slurred speech reflects only an officer's observation of the physical manifestation of the subject's intoxication (i.e., a lack of muscular coordination). Although the subject must speak in order for the observation to be made, the evidentiary value of the observation rests in how the communication was made, not its content.
The Romberg test, on the other hand, implicitly requires the subject to count each passing second, or otherwise estimate the passage of time. Once the subject has counted 30 seconds, the subject must then notify the officer that his estimation is complete. Thus, unlike the slurring of speech observed in Muniz, the Romberg test requires the subject to make a mental calculation and communicate that calculation to police.
The probative value of the Romberg test, therefore, lies firmly in the accuracy of the subject's estimation as communicated to police. Because the test requires the suspect to communicate an implied assertion of fact or belief (i.e., that 30 seconds has elapsed), the test is similar to the sixth birthday question in Muniz, which called for a testimonial response. (Muniz, supra, 496 U.S. at p. 597.) Because he was not told of his right to remain silent, defendant was faced with the choice of stating an incriminating truth (i.e., that he believes 30 seconds has elapsed when that amount of time has not in fact passed) or a falsity (i.e., making a guess as to when 30 seconds has passed).
The communication of a mental calculation also distinguishes the use of the Romberg test from FST's that merely call for the suspect to count or recite the alphabet. In Muniz, for example, the defendant was asked to count while performing walking and balancing FST's. The defendant counted accurately in one test and did not count at all in the other. (Muniz, supra, 496 U.S. at p. 603, fn. 17.) Because the defendant did not argue that his failure to count was incriminating, the court refused to rule on “whether Muniz's counting (or not counting) itself was ‘testimonial’ within the meaning of the privilege.” (Ibid.)
Although the United States Supreme Court and California courts have not addressed the testimonial nature of FST's involving counting, the majority of state courts that have addressed the issue hold that counting (as well as reciting the alphabet) is nontestimonial.10 In most of these cases, the courts have reasoned that counting or reciting the alphabet does not reveal a person's personal beliefs or knowledge.11
However, even assuming, arguendo, that counting is nontestimonial, the inquiry concerning the Romberg test must continue. While the ability to count may reasonably be viewed as indicative of a reflexive or physical process, it is evident that the Romberg test requires a calculation that goes beyond the simple recitation of a memorized sequence. In contrast to reflexive counting, the Romberg test requires the subject to measure the passage of time, and then make an assertion that 30 seconds has passed. It is this assertion that determines the testimonial nature of the Romberg test response. Therefore, we need not decide if counting is testimonial for Miranda purposes. The subject of a Romberg test must not only count, but also count at a speed that accurately measures the passage of time.
Here, as in Muniz, the suspect was required to make a calculation and communicate the results of that calculation to the police. That communication was an assertion of fact or belief that was relevant for its accuracy, not for the manner in which it was delivered. Therefore, defendant's estimation of time was testimonial evidence. Because the test was administered while defendant was in custody and was reasonably likely to elicit an incriminating response, Miranda warnings were required. Because no such warnings were given, defendant's estimation was inadmissible.
Although the court erred in failing to exclude the challenged statements, the error was not prejudicial.
Federal constitutional error is not prejudicial and does not require reversal where the reviewing court properly concludes it was “harmless beyond a reasonable doubt.” (Chapman v. California (1967) 386 U.S. 18, 24.)
The first statement challenged on appeal is defendant's statement to Officer Spates that he had consumed alcohol. This statement was harmless because the focus of the trial was on defendant's possession and use of methamphetamine, not alcohol. Indeed, the jury heard defendant's preliminary alcohol screening returned a 0.00 percent reading. Furthermore, Officer Spates testified that he “excluded alcohol” as a suspected intoxicant after performing the preliminary alcohol screening. It is clear from the record that defendant was convicted based on his consumption of methamphetamine. The fact that defendant said he consumed alcohol could not reasonably have affected the jury's verdict.
The second challenged statement was defendant's statement that he should not have been driving because he did not have a license. This statement was harmless as well. Defendant pled guilty to driving without a license and, at trial, his counsel stated that driving without a license “was never an issue.” While it may be argued that the suspension or revocation of a license may suggest a past crime, here defendant was not asked why his license was revoked. Again, testimony focused on whether defendant was under the influence of methamphetamine. Therefore, this statement is unlikely to have influenced the jury.
Defendant also challenges the admissibility of his declaration that “he had shot up some speed” and that he had “injected it into his left wrist.” These statements, although clearly relevant to the issue of defendant's intoxication, were harmless as well. At trial, a great body of evidence was presented establishing defendant's use of methamphetamine. For example, the jury heard that defendant was found to be in possession of methamphetamine and syringes. Defendant admitted to Officer Maddox that the syringes were used “[f]or shooting up methamphetamine.” The jury also heard Officer Spates's testimony regarding defendant's physical appearance (including the puncture wound on defendant's wrist) and his poor physical performance during sobriety tests. In addition, the jury heard that defendant's blood was found to contain 198 nanograms of methamphetamine—an amount an expert testified “is consistent with an abuse level.”
In contrast to the strong evidence of defendant's intoxication, the results of the Romberg test were not necessarily even incriminating. For example, a toxicologist testified with respect to the Romberg results that: “It's not too far off from actual time. It's heading in a fast direction.” In addition, Officer Spates admitted that if two people counted to 30, a five-second disparity could be explained by the simple fact that one person “counted a little faster.” Although the Romberg evidence supports an inference that defendant was under the influence of a stimulant, it is clear that the inclusion of this evidence, even in conjunction with the other statements made to Officer Spates, was overshadowed by the properly admitted evidence supporting a finding of intoxication.
Defendant argues, however, that because there was conflicting evidence presented at trial on the issue of impairment, it is likely that the statements were relatively influential. While it is clear that these statements are relevant to defendant's use of methamphetamine, when viewed in the context of the entire record, it is improbable they influenced the jury. The jury heard that defendant drove a vehicle into oncoming traffic. He was in possession of methamphetamine and drug paraphernalia. He exhibited various physical indications of intoxication. Methamphetamine was found in defendant's blood at levels indicating abuse. Finally, the jury heard expert testimony that a person “would [not] be able to safely operate a motor vehicle” “based on the levels [of methamphetamine] detected in this case, the driving pattern ․, as well as the eyelid flutter and the rebound dilation.”
Under these facts, we hold that the erroneous admission of defendant's statements to police, and the results of the Romberg test, was “harmless beyond a reasonable doubt.” (Chapman v. California, supra, 386 U.S. at p. 24.)
B. Sentencing Issues
Defendant was convicted of driving a vehicle under the influence of a narcotic and personally causing great bodily injury to another, as well as transporting a controlled substance.12 The trial court found that defendant had several prior convictions, including two prior strikes. The court denied defendant's Romero motion to strike one of the prior strikes. The trial court therefore applied the Three Strikes law13 in determining defendant's sentence. It sentenced defendant to consecutive 25–year–to–life terms on counts 1 and 2. The court did not expressly address whether the sentence on one of the counts should be stayed under Penal Code section 654.
Defendant makes the following arguments concerning the sentence: (1) a new sentencing hearing must be held because the court imposed consecutive sentences under the Three Strikes law when it erroneously believed it did not have discretion to impose concurrent sentences; and (2) the court should have stayed the sentence on count 2 pursuant to Penal Code section 654. We agree with both contentions.
1. Discretionary Sentencing Under the Three Strikes Law
Under the Three Strikes law, consecutive sentences are mandated for current felony convictions that are “not committed on the same occasion, and not arising from the same set of operative facts․” (Pen.Code, § 667, subd. (c)(6); see People v. Deloza (1998) 18 Cal.4th 585.) Therefore, “ ‘consecutive sentences are not mandatory ․ if the multiple current felony convictions are “committed on the same occasion”․’ [Citation.]” (People v. Deloza, supra, at p. 591.) “The phrase ‘committed on the same occasion’ is commonly understood to refer to at least a close temporal and spatial proximity between two events․” (Id. at p. 594.)
In its sentencing brief, the People conceded that defendant's crimes occurred on the same occasion.14 Therefore, pursuant to Penal Code section 667, subdivision (c)(6), consecutive terms for counts 1 and 2 were not mandatory. However, it appears, and the parties agree, that the trial court was unaware it had discretion to sentence defendant to concurrent terms for counts 1 and 2.
When the court announced it would impose consecutive sentences for counts 1 and 2, defense counsel requested that the court sentence defendant to concurrent terms. The trial court stated: “I believe pursuant to Penal Code [s]ection[s] 667[, subdivision] (c)(6) and 667[, subdivision] (e) because the counts are separate counts constituting separate acts, in other words, we have the driving under the influence causing injury and transportation, which are essentially separate acts, the three strikes sentencing scheme requires consecutive sentencing under that code section. So I do appreciate and note defense counsel's comment for the record, but following the probation officer's report and re-reviewing the code, I believe I'm mandated to impose consecutive sentences on Counts 1 and 2.”
The prosecutor responded: “In doing my research to prepare my sentencing memorandum, while the cases—the counts are separate crimes, separate acts, if the Court makes the determination that they were not within the same occurrence, there's basically two separate standards. There's a [Penal Code section] 654 standard but then there's the separate three-strikes standard. So as long as the Court is making the determination that they were on a different occurrence, then that would be a correct analysis.”
The trial court stated, “[t]hat's my decision” and thanked counsel for their notes and comments. The trial court then proceeded to sentence defendant to consecutive 25–year–to–life terms on counts 1 and 2.
On appeal, the People agree with defendant's contention that the trial court had the discretion to order concurrent terms for counts 1 and 2 because the crimes of driving under the influence and transportation of methamphetamine were committed on the same occasion. The People further concede that the trial court appears to have been unaware of its discretion in the matter.
Defendant argues that the case must be remanded for resentencing because the trial court was unaware of its discretion to order concurrent sentences and therefore failed to exercise discretion. We agree.
“To exercise the power of judicial discretion, all material facts and evidence must be both known and considered, together with legal principles essential to an informed, intelligent and just decision. [Citation.] A court which is unaware of the scope of its discretionary powers can no more exercise informed discretion than one whose sentence is or may have been based on misinformation regarding a material aspect of a defendant's record. (People v. Belmontes (1983) 34 Cal.3d 335, 348, fn. 8․)” (People v. Lara (2001) 86 Cal.App.4th 139, 165–166.) “A failure to exercise discretion also may constitute an abuse of discretion.” (People v.. Sandoval (2007) 41 Cal.4th 825, 847–848.)
Although the People agree the trial court had discretion to order concurrent terms, they argue that remand is not required because the trial court would have ordered consecutive sentences if it had been aware of its discretion.15 In support of this argument, the People note that the trial court found a number of aggravating factors that may support the imposition of consecutive sentences under California Rules of Court, rule 4.421(b). However, defendant argues that the trial court may have been referring to these factors in order to support the court's denial of defendant's Romero motion.
The trial court, before enumerating the aggravating factors, stated: “I do want to point out certain factors that I recognized under the California Rules of Court because I have ruled on a Romero motion and in case this comes up later, I, at least, want the further Courts to recognize factors that I did find.” After enumerating the aggravating factors, the court stated: “And again, although the defendant would be sentenced under the scheme set forth on Penal Code [s]ection 667[, subdivision] (e), the Court is citing these factors above for reference in addition to the Romero motion previously discussed but denied.”
Neither party's interpretation of the court's statement is unreasonable. Indeed, it is the plausibility of both interpretations that renders it ambiguous. The record thus fails to definitively demonstrate that the trial court would have ordered consecutive sentences if it had been aware of its discretion in the matter. What is certain is that the trial court believed it was “mandated to impose consecutive sentences on Counts 1 and 2.” “[W]here the record reveals the court was unaware of its discretion, or where the court did not affirmatively indicate it would not exercise its discretion in any event, a defendant is entitled to remand for resentencing.” (Askey, supra, 49 Cal.App.4th at p. 388; cf. People v. Rodriguez (2005) 130 Cal.App.4th 1257, 1263 [Fourth Dist., Div. Two] [resentencing required when trial court mistakenly believed it had no discretion to impose concurrent sentences under the one strike law].)
Because the record does not clearly indicate that the trial court would have imposed consecutive sentences if it was aware of its discretionary power to impose concurrent sentences, defendant is entitled to a new sentencing hearing at which the court properly exercises its sentencing discretion.
2. Failure to Stay Sentence Under Penal Code Section 654
Defendant next claims that the trial court erred in refusing to stay the sentence for count 2 pursuant to Penal Code section 654. Penal Code section 654, subdivision (a), provides: “An act or omission that is punishable in different ways by different provisions of law shall be punished under the provision that provides for the longest potential term of imprisonment, but in no case shall the act or omission be punished under more than one provision.” In short, Penal Code section 654 prohibits “ ‘[p]unishment for two offenses arising from the same act․’ “ (People v. Latimer (1993) 5 Cal.4th 1203, 1208, quoting Neal v.. State of California (1960) 55 Cal.2d 11, 18.)
The application of Penal Code section 654 “depends on the intent and objective of the actor. If all of the offenses were incident to one objective, the defendant may be punished for any one of such offenses but not for more than one.” (Neal v. State of California, supra, 55 Cal.2d at p. 19.) “If [a defendant] entertained multiple criminal objectives which were independent of and not merely incidental to each other, he may be punished for independent violations committed in pursuit of each objective even though the violations shared common acts or were parts of an otherwise indivisible course of conduct.” (People v. Beamon (1973) 8 Cal.3d 625, 639; accord, People v. Latimer, supra, 5 Cal.4th at p. 1216.)
“The determination of whether there was more than one objective is a factual determination, which will not be reversed on appeal unless unsupported by the evidence presented at trial. [Citation.]” (People v. Saffle (1992) 4 Cal.App.4th 434, 438; accord, People v. Osband (1996) 13 Cal.4th 622, 730.) Hence, the trial court's finding of more than one intent or objective must be supported by substantial evidence. (See People v. Saffle, supra, at p. 438.)
Rule 4.424 of the California Rules of Court requires that trial courts determine, before ordering consecutive or concurrent sentences, whether Penal Code section 654 prohibits multiple punishments.16 Here, the trial court did not make an explicit ruling on the Penal Code section 654 issue. However, on a silent record, reviewing courts in California assume that the trial court considered Penal Code section 654. (See People v. Osband, supra, 13 Cal.4th at p. 731; People v. Coleman (1989) 48 Cal.3d 112, 162; People v. Galvez (2011) 195 Cal.App.4th 1253, 1263; People v. Sok (2010) 181 Cal.App.4th 88, 100.)
Defendant contends, however, that the record affirmatively demonstrates that the trial court did not consider Penal Code section 654. Defendant alleges the trial court adopted the prosecutor's clarification of the ruling; that the acts constituting counts 1 and 2 “were on ․ different occurrence[s].” We disagree. The court stated that it believed consecutive sentences were mandatory under the Three Strikes law because it considered counts 1 and 2 to be “separate acts.” In response to the prosecution's statement, the court responded: “That's my decision.” Thus, the record does not definitively disclose whether the court intended to dismiss or adopt the prosecution's argument. Therefore, we decline defendant's request to deviate from the normal standard of review.
Defendant next argues that the present crimes—driving under the influence and transportation of a controlled substance—were committed with only one intent and objective. To support this contention, defendant notes that, while driving under the influence of methamphetamine, he possessed only a small amount of the drug to maintain intoxication. The crimes are further linked by the act of driving, which caused the crime of possession to become transportation and also caused the intoxication to become driving under the influence. Further, because the methamphetamine and syringes were the means of intoxication, defendant contends that the continued possession of the methamphetamine and syringes facilitated the offense of driving under the influence.
To support the conclusion that his possession was incidental to the objective of being under the influence, defendant cites People v. Holly (1976) 62 Cal.App.3d 797 (Holly ) and People v. Maese (1980) 105 Cal.App.3d 710. In Holly, the defendant was convicted of possession and being under the influence of heroin. (Holly, supra, at p. 803.) The court held that it was reasonable to assume the defendant was an addict, and the quantity of heroin found in the defendant's possession “could be consumed by an ‘excessive [us]er’ in a relatively short time.” (Id. at p. 805.) The court concluded that the heroin found was “only for his own consumption and its use was necessary to satisfy his addiction and to his objective of being under the influence of heroin, and that defendant's possession of the heroin was incident to his objective of being under the influence; and the acts of which defendant was convicted constituted an indivisible course of conduct .” (Ibid.)
In Maese, the Court of Appeal relied on Holly's rationale to arrive at a different result. “Unlike Holly,” the court explained, “a substantial amount of heroin was in [the defendant's] possession. There is no way that the total quantity could be used by [the defendant] in a ‘relatively short time.’ “ (People v. Maese, supra, 105 Cal.App.3d at p. 727, citing Holly, supra, 62 Cal.App.3d at pp. 805–806.) Therefore, unlike Holly, Penal Code section 654 did not prevent the trial court from punishing crimes of possession of heroin and being under the influence of the drug. (People v. Maese, supra, at p. 727.)
Defendant argues that these cases show that the key factor in determining the applicability of Penal Code section 654 to the present facts is whether the amount of contraband possessed can be consumed in a “relatively short time.” (See Holly, supra, 62 Cal.App.3d at p. 805.)
The People argue that People v. Arndt (1999) 76 Cal.App.4th 387 is controlling. In Arndt, the defendant drove his car recklessly at a high rate of speed and collided with another vehicle. (Id. at p. 392.) A “bag of cocaine” was found in his pants. (Ibid.) He was convicted of driving under the influence and transportation of cocaine. (Id. at pp. 391–392.) Without discussing the amount of cocaine found in the defendant's possession, the Court of Appeal held that the defendant was properly punished for both crimes, as the “[d]efendant's crimes involved ․ separate objectives.” (Id. at p. 397.) The court added: “Each of the crimes committed in this case violates a different legislative ban. Vehicle Code section 23153 is intended to reduce highway deaths and injuries․ [Citation.] Health and Safety Code section 11352 is intended to inhibit the trafficking and proliferation of controlled substances by deterring their movement. [Citation.] Punishing only one crime would not satisfy these separate objectives. [Citations.]” (Id. at p. 398.)
Arndt is not incompatible with Holly and Maese. Although Arndt based its decision in part on a different rationale, it did not reject or disagree with Holly's and Maese's emphasis on the amount of contraband found in the defendant's possession. Indeed, it does not appear that the defendant in Arndt argued that his bag of cocaine held an amount he could have consumed within a relatively short time. It thus provides us with limited guidance for addressing defendant's argument in this case.
In evaluating the applicability of Penal Code section 654, our state Supreme Court has noted that “[e]ach case must be determined on the basis of its own facts, and general principles applicable to one type of case may not apply to another.” (In re Adams (1975) 14 Cal.3d 629, 633.) We may, however, apply the reasoning of these cases if that reasoning helps us determine whether the evidence supports the trial court's implied finding. Under the facts of this specific case, we find the reasoning of Holly most applicable.
Turning to the record, it appears that the court made no express findings regarding defendant's objectives in committing the crimes of transportation and driving under the influence. Thus, the inquiry will turn on whether the evidence is sufficient to support an implied finding that defendant had separate objectives. Although the People refer us to Arndt's discussion regarding the legislative policies that distinguish the two crimes, the People do not cite facts from the present record which support an implied finding that defendant's crimes involved separate criminal objectives. Indeed, the record appears to disclose little evidence, if any, suggesting defendant had separate criminal objectives.
On the other hand, the small amount of methamphetamine found in defendant's possession provides support for the proposition that defendant maintained only the intent to remain under the influence of methamphetamine. For example, Officer Spates testified at trial that the syringe “had a small amount of fluid in it.” Javed Khan, the forensic scientist that tested the liquid, testified that the volume of the liquid was 0.2 milliliters. Although Khan believed the amount of methamphetamine within the liquid to be “a usable quantity,” he characterized it as “a very, very small amount.”
As noted by defendant, the miniscule amount of methamphetamine in defendant's possession tends to show that there was no intent to possess the drug for a purpose other than short term intoxication. Therefore, it appears that under the present facts, the Holly rationale is most applicable. In Holly, the defendant was found to be in possession of 16 “balloons” of heroin. (Holly, supra, 62 Cal.App.3d at p. 805.) A testifying officer stated that “ ‘some people use a half balloon, some people use a full balloon’ in taking a ‘fix.’ “ (Ibid.) The court found that this amount “could be consumed by an ‘excessive [us]er’ in a relatively short time.” (Ibid.) The court, noting this fact, affirmed the stay of sentence. (Id. at p. 797.) Here, the contraband possessed by defendant was considerably smaller.
In conclusion, the evidence is not sufficient to support an implied finding of separate criminal objectives for counts 1 and 2. Therefore, Penal Code section 654 prohibits punishment for both offenses, and the execution of the sentence for count 2 must be stayed.
Defendant's conviction is affirmed. Following remand, the court shall hold a new sentencing hearing to determine, in its discretion, whether to impose concurrent or consecutive sentences as to counts 1 and 2. Regardless of how the court exercises such discretion, the court shall direct that the sentence on count 2 be stayed pursuant to Penal Code section 654. The trial court is directed to amend the minute order and the abstract of judgment to reflect the stay of the sentence on count 2, and to forward a certified copy of the amended abstract to the Department of Corrections and Rehabilitation.
1. Miranda v. Arizona (1966) 384 U.S. 436 (Miranda ).
2. Vehicle Code section 23153, subdivision (a). The jury also found that in the commission of the offense charged in count 1, defendant personally inflicted bodily injury upon another within the meaning of Penal Code sections 12022.7, subdivision (a) and 1192.7, subdivision (c)(8).
3. Health and Safety Code section 11379, subdivision (a).
4. Vehicle Code section 14601.1, subdivision (a).
5. Penal Code sections 667.5, subdivision (b), 667, subdivisions (a), (c), (e)(2)(A), and 1170.12, subdivision (c)(2)(A).
6. The nature of defendant's responses to Officer Spates was not entirely clear at the time of the suppression hearing. As noted above, the motion to suppress was based upon the evidence adduced at the preliminary hearing. At that time, the court sustained defense counsel's objections to the admission of defendant's responses to Officer Spates's questions before they were disclosed. However, when the court asked the prosecutor whether there were admissions or confessions defendant made to Officer Spates, the prosecutor responded: “[T]he statements ․ involving his drug use history [,] ․ that he had shot up, [and] that he did have puncture wounds.” At trial, Officer Spates testified that defendant admitted he “had shot up some speed” into his left wrist at approximately 7:00 a.m.
7. According to Officer Huff, five traffic officers responded to the call. These five included Officers Huff, Spates, Gomez, Reinbolt, and Nevarez. Officers Maddox and McGinnis were on the scene when the traffic officers arrived.
8. The word “testimonial” is often used in discussion of confrontation clause issues. Here, however, there is no intended reference to “testimonial hearsay.” (Crawford v. Washington (2004) 541 U.S. 36.) In this context, the word “testimonial” refers to communication which falls under the Fifth Amendment privilege against self-incrimination, as distinguished from physical evidence, such as the slurring of speech or the taking of blood. (Pennsylvania. v. Muniz (1990) 496 U.S. 582 (Muniz ); Schmerber v. California (1966) 384 U.S. 757.)
9. The Muniz court analogized the trilemma of truth, falsity, or silence in the custodial interrogation context to the “ ‘ “cruel trilemma of self-accusation, perjury or contempt’ “ [citation] that defined the operation of the Star Chamber, wherein suspects were forced to choose between revealing incriminating private thoughts and forsaking their oath by committing perjury.” (Muniz, supra, 496 U.S. at p. 596.)
10. See People v. Berg (1999) 92 N.Y.2d 701 [708 N.E.2d 979], State v. Devlin (1999) 294 Mont. 215 [980 P.2d 1037], Vanhouton v. Commonwealth (1997) 424 Mass. 327 [676 N.E.2d 460], State v. Superior Court (1987) 154 Ariz. 275 [742 P.2d 286], State v. Maze (1992) 16 Kan.App. 527 [825 P.2d 1169], State v. Zummach (N.D.1991) 467 N.W.2d 745, People v. Bugbee (1990) 201 Ill.App.3d 952 [559 N.E.2d 554], and Gassaway v. State (Tex.Crim .App.1997) 957 S.W.2d 48. Contra, Allred v. State (Fla.1993) 622 So.2d 984 and State v. Fish (1995) 321 Ore. 48 [893 P.2d 1023].
11. See People v. Berg, supra, 708 N.E.2d 979, State v. Devlin, supra, 980 P.2d 1037, Vanhouton v. Commonwealth, supra, 676 N.E.2d 460, State v. Superior Court, supra, 742 P.2d 286, State v. Maze, supra, 825 P.2d 1169, State v. Zummach, supra, 467 N.W.2d 745, and People v. Bugbee, supra, 559 N.E.2d 554.
12. Defendant was convicted under count 1 of violating Vehicle Code section 23153, subdivision (a), which provides: “It is unlawful for any person, while under the influence of any alcoholic beverage or drug, or under the combined influence of any alcoholic beverage and drug, to drive a vehicle and concurrently do any act forbidden by law, or neglect any duty imposed by law in driving the vehicle, which act or neglect proximately causes bodily injury to any person other than the driver.” Under count 2, defendant was convicted of violating Health and Safety Code section 11379, subdivision (a), which makes it a crime to, among other acts, transport certain controlled substances.
13. Penal Code sections 667, subdivisions (b) through (i) and 1170 .12.
14. The sentencing brief states: “The facts of this case show that the crimes were not from the same set of operative facts but did stem from the same occasion.” (Italics added.)
15. Both parties cite People v. Askey (1996) 49 Cal.App.4th 381 (Askey ) in asserting that remand is not necessary if the record shows that, had it known of its discretion, the trial court would have ordered the same sentence. In Askey, the California Court of Appeal noted that the People v. Superior Court (Romero) (1996) 13 Cal.4th 497 court held that the trial court may “strike prior serious or violent felony convictions under [Penal Code] section 1385 in the interest of justice. Additionally, where the record reveals the court was unaware of its discretion, or where the court did not affirmatively indicate it would not exercise its discretion in any event, a defendant is entitled to remand for resentencing.” (Askey, supra, at p. 388.) The Askey court held that remand was unnecessary under its facts “[b]ecause the record clearly indicate[d] the trial court would not have exercised its discretion to strike a prior conviction․” (Id. at p. 389.)
16. The rule also describes Penal Code section 654 as prohibiting “multiple punishments for the same act or omission.” (Cal. Rules of Court, rule 4.424.) One Court of Appeal has recently stated that “Rule 4.424 misstates the correct way to implement [Penal Code] section 654, and therefore can cause mischief in cases ․ where it is followed by busy trial courts.” (People v. Alford (2010) 180 Cal.App.4th 1463, 1466.) A correct Penal Code section 654 analysis “depends on the intent and objective of the actor.” (People v. Alford, supra, at p. 1468, quoting Neal v. State of California, supra, 55 Cal.2d at p. 19.)
We concur: RICHLI, Acting P.J., and CODRINGTON, J.