© 2000 Lang Baker
Rocha v StateApril 12, 2000No. 73,280 Majority opinion by Judge Keller Links to other opinions in this case: Concurring opinion by Judge Holland Concurring opinion by Judge Johnson IN THE COURT OF CRIMINAL APPEALS OF TEXAS NO.73,280 FELIX ROCHA, Appellant v. THE STATE OF TEXAS ON DIRECT APPEAL FROM HARRIS COUNTY KELLER, J., delivered the opinion of the Court in which McCORMICK, P.J., and MANSFIELD, WOMACK and KEASLER, JJ., joined. HOLLAND, J., filed a concurring opinion in which MEYERS, PRICE and JOHNSON, JJ., joined. JOHNSON, J., filed a concurring opinion. O P I N I O N Appellant was convicted in November 1998 of capital murder (murder in the course of a robbery). Tex. Penal Code §19.03(a)(2).1 Pursuant to the jurys answers to the special issues set forth in Texas Code of Criminal Procedure art. 37.071 §§2(b) and 2(e), the trial judge sentenced appellant to death. Article 37.071 §2(g).2 Direct appeal to this Court is automatic. Article 37.071 §2(h). Appellant raises fifteen points of error. We will affirm. I. SUFFICIENCY OF THE EVIDENCE In point of error two, appellant contends that the State failed to prove the corpus delicti for the underlying offense of robbery. The corpus delicti rule is a rule of evidentiary sufficiency that can be summarized as follows: an extrajudicial confession of wrongdoing, standing alone, is not enough to support a conviction; there must exist other evidence showing that a crime has in fact been committed. Williams v. State, 958 S.W.2d 186, 190 (Tex. Crim. App. 1997). This other evidence is commonly referred to as the corpus delicti. Id. This other evidence need not be sufficient by itself to prove the offense: all that is required is that there be some evidence which renders the commission of the offense more probable than it would be without the evidence. Id. (quoting Chambers v. State, 866 S.W.2d 9, 15-16 (Tex. Crim. App. 1993), cert. denied, 511 U.S. 1100 (1994)). We have held that, in a capital murder case, the corpus delicti requirement extends to both the murder and the underlying offense. Williams, 958 S.W.2d at 190. But see Monterrubio v. State, 916 S.W.2d 506 (Tex. Crim. App. 1996)(Keller, J. dissenting). The evidence shows the following: On November 26, 1994, Rafael Fuentes, the decedent, was working as a security guard at La Camelia, a nightclub in Harris County. Reynaldo Munoz, who owned some pool tables at the nightclub, arrived at around 7:00 p.m. Munoz talked to Fuentes for ten to fifteen minutes while Fuentes stood at the door to the club. Munoz noticed that Fuentes was wearing a holster containing a gun. Two men, a tall man and a short man, moved quickly toward Fuentes. Munoz moved out of the way as Fuentes stopped the men to conduct a search. Munoz saw the tall man raise his arms as if to permit a frisk. Then Munoz watched the short man pull out a gun, point the gun at Fuentes, demand Fuentes gun,3 and reach for Fuentes gun. At that point, Munoz began to flee the scene and did not see what happened next. As he fled, Munoz heard two or three gunshots. A police radio dispatch informed patrol officer Michael Junco of a shooting in progress. Junco arrived at the scene to find Fuentes body with gunshot wounds. Junco noticed that there was no gun in Fuentes holster. The tall man was later identified as Virgilio Maldonado. The short man was believed by law enforcement officials to be appellant. Houston Police Officer X.E. Avila interviewed appellant. In his oral statements, appellant gave the following version of events: Appellant and Fuentes had been involved in an altercation at some time prior to the murder. Fuentes had beaten and otherwise embarrassed appellant, and appellant had vowed to get revenge. On the night of the killing, appellant and Maldonado confronted Fuentes. Appellant intended to take Fuentes gun to embarrass him and show that Fuentes was not a good security guard. Appellant pulled his own gun on Fuentes, and Fuentes grabbed appellants gun. Then appellant and Fuentes struggled over appellants gun, and appellants gun was shot once during the struggle. Appellant did not know whether the shot hit Fuentes or simply went into the air. Maldonado shot Fuentes several times to protect appellant. Maldonado then took Fuentes gun, and appellant and Maldonado fled the scene. The corpus delicti for robbery was established by the testimony of Munoz and Junco. Munozs testimony established that Fuentes was carrying a gun in his holster prior to being shot, that he was confronted by two persons, that one of these persons demanded and reached for Fuentes gun, and that a shooting occurred afterwards. Juncos testimony established that Fuentes had been shot and that his gun was missing shortly after the shooting had occurred. This evidence tends to show that Fuentes gun was stolen during a physical attack upon him and that the physical attack culminated in a murder. Point of error two is overruled. II. VOIR DIRE A. Defendants Peremptories/Challenges for Cause In point of error nine, appellant contends that the trial court erred in refusing to permit the retroactive exercise of a peremptory challenge. After the individual voir dire examination of David Kelley, both parties accepted Kelley as a juror. Later in voir dire, appellant requested that he be permitted to retroactively exercise a peremptory challenge against Kelley. The trial court refused the request. Without authority, appellant contends that the trial courts refusal violated his due process rights to a fair and impartial jury. The Legislature has prescribed the procedure for exercising for cause and peremptory challenges by the parties in a capital case. Article 35.13.4 Under this procedure, the defendant must exercise peremptory challenges upon the examination of individual prospective jurors without the opportunity to evaluate the panel as a group. Janecka v. State, 739 S.W.2d 813, 833 (Tex. Crim. App. 1987). Having followed the statutory procedure, the trial court cannot be held in error for failing to grant an out-of-time peremptory challenge. Robison v. State, 888 S.W.2d 473, 484 (Tex. Crim. App. 1994), cert. denied, 515 U.S. 1162 (1995). We have held that the statutory procedure does not violate due process. Janecka, 739 S.W.2d at 834; Dowthitt v. State, 931 S.W.2d 244, 251 (Tex. Crim. App. 1996). Point of error nine is overruled. In points of error twelve through fifteen, appellant complains about the trial courts refusal to grant challenges for cause made by appellant against various members of the venire. However, appellant used only thirteen of his fifteen peremptory challenges. A defendant is not harmed by a trial courts erroneous refusal to grant defense challenges for cause if the defendant has failed to exhaust his peremptory challenges. Anson v. State, 959 S.W.2d 203, 204 (Tex. Crim. App. 1997), cert. dismd, U.S. , 119 S. Ct. 290 (1998); Narvaiz v. State, 840 S.W.2d 415, 427 (Tex. Crim. App.1992), cert. denied, 507 U.S. 975 (1993). Points of error twelve through fifteen are overruled. B. States Challenges for Cause In point of error ten, appellant claims that the trial court erroneously granted the States challenge for cause against prospective juror Williams in violation of the constitutional proscription against excluding jurors with conscientious scruples concerning the death penalty. Under the United States Constitution, a prospective juror may be disqualified for having conscientious scruples about the death penalty only if his views would prevent or substantially impair the performance of his duties as a juror in accordance with his instructions and his oath. Wainwright v. Witt, 469 U.S. 412, 425 (U.S. 1985). We give deference to a trial courts decision to exclude a prospective juror and will reverse only for an abuse of discretion. Colburn v. State, 966 S.W.2d 511, 517 (Tex. Crim. App. 1998). We will uphold the trial courts decision when a prospective jurors answers on a challenge for cause issue are vacillating, unclear, or contradictory. Id. We need not address appellants conscientious scruples claim, however, because at least two other grounds for granting a challenge for cause against Williams are apparent. First, the juror stated that she could not answer the future dangerousness special issue:5
This colloquy reveals a ground for challenge distinct from that articulated in Witt. Williams did not claim that her inability to answer the issue stemmed from her views about the death penalty. Instead, she simply claimed that the issue is not one that is susceptible to an answer because future behavior cannot be predicted. While distinct from a Witt challenge, this scenario nevertheless presents a valid challenge for cause. The State is entitled to a juror who will be able to answer the future dangerousness issue affirmatively in an appropriate case. Chambers v. State, 568 S.W.2d 313, 323-324 (Tex. Crim. App. 1978), overruled on other grounds, Grijalva v. State, 614 S.W.2d 420, 425 (Tex. Crim. App. 1980). In Chambers, a prospective juror who was a statistician by profession stated that the future dangerousness issue could not be determined by reason and logic and that, from a statistical standpoint, whether an act will probably occur in the future cannot be proven beyond a reasonable doubt. Id. We found the statistician to be challengeable for cause. Id. at 324. Similarly, Williams showed an inability to answer the future dangerousness issue based upon the belief that future dangerousness is an issue incapable of determination. She was challengeable for cause on that basis. Williams was also challengeable for cause because she could never consider the death penalty for a murder committed in the course of a robbery: [Prosecution voir dire]
A prospective juror is challengeable for cause if that person would never vote to give the death penalty for a statutorily classified capital murder offense because the person does not accept that offense as a valid criteria for imposing a sentence of death. Howard v. State, 941 S.W.2d 102, 128 (Tex. Crim. App. 1996)(juror would be properly excludable if unwilling to consider the death penalty for murder in the course of a burglary); Fuller v. State, 829 S.W.2d 191, 199-200 (Tex. Crim. App. 1992), cert. denied, 508 U.S. 941 (1993)(prospective juror properly excluded because she was unwilling to consider the death penalty except in serial murders). In challenging Williams for cause, the State commented that she is unqualified to serve on this jury on more than one point. Although defense counsel objected to Williams disqualification, he conceded that Williams answers to questions concerning the future dangerousness issue raised valid concerns: I can see the Courts concern, perhaps prosecutors concern over that answer, that first special issue the way she does. The trial court had more than sufficient grounds to grant the States challenge for cause. Point of error ten is overruled. In point of error eleven, appellant claims that the trial court erroneously granted the States challenge for cause against prospective juror Fowler in violation of the constitutional proscription against excluding jurors with conscientious scruples concerning the death penalty. In support of his contention that prospective juror Fowler was qualified, appellant sets forth the following colloquy from the record: [Prosecution voir dire]
From this passage, appellant concludes: Because Ms. Fowlers personal views would not have prevented or impaired the performance of her duties she should not have been excused, and the trial court erred. Appellant omits crucial portions of the record. Before Fowlers individual voir dire began, the trial judge elicited concerns from her about deciding a death penalty case:
The colloquy that appellant outlines follows the Courts question and would appear to rehabilitate Fowler. But, appellant neglects to include the voir dire immediately following Fowlers affirmation that she can go through the process: [Prosecution voir dire]
Defense counsel asked no questions. The record contains ample support for the conclusion that Fowlers views about the death penalty would in fact substantially impair her ability to decide the case in accordance with her oath as a juror. The trial court did not abuse its discretion in granting the States challenge for cause. Point of error eleven is overruled. III. MOTION TO SUPPRESS A. Failure to Make Written Findings In point of error one, appellant contends that the trial court erred in failing to file written findings of fact and conclusions of law. We granted the States motion to abate and remand the case to file such findings and conclusions. Pursuant to our remand order, the trial court filed written findings of fact and conclusions of law regarding appellants motion to suppress his confession. Point of error one is overruled as moot. B. Voluntary Waiver of Warnings In points of error three and four, appellant contends that the trial court should have suppressed certain oral statements under Articles 38.22 and 38.23. He advances two arguments in support of this contention. First, appellant argues that the State failed to comply with Article 38.22 because, while the transcription of the recorded conversation shows that the required warnings were given, the transcription does not show that appellant waived his rights. Second, appellant asserts that the record shows his confession to be involuntary because (1) he did not understand his rights, (2) the officer promised to help appellant if he did what the officer said, and (3) the officer told appellant what to say. 1. The Facts According to the trial courts findings and our review of the record, the following occurred:6 Houston Police Homicide Detective Xavier Avila was assigned to interview the defendant in connection with a bank robbery that had occurred on April 11, 1996. Shortly after the bank robbery, while appellant was in the hospital recovering from a gunshot wound, Avila conducted an oral interview that was recorded on audiotape. At the beginning of the interview appears a colloquy regarding appellants rights:7
(All ... in original). After this colloquy, the interview proceeded. The subject of the interview was the bank robbery. On April 24, 1996, Detectives Avila and Jaime Escalante went to the Harris County Jail to interview appellant, who was already in custody for aggravated robbery. Appellant, however, asked them to return the following day. The following day, April 25, 1996, Detective Avila returned to the jail to interview appellant alone. Detective Avila was not in uniform and carried no weapons when he met with appellant. Upon appellants arrival in the jail interview room, Detective Avila introduced himself and said that he was investigating a homicide. He told appellant that his eventual co-defendant, Virgilio Maldonado, had already given a statement, in which he implicated appellant, and Detective Avila played a short part of that statement for the appellant. After hearing the recording, appellant indicated he wished to make a statement as well. Detective Avila then activated his audio-tape recorder. Immediately after activating the recorder, Detective Avila read appellant his legal rights and warnings, and appellant indicated that he understood: appellant verbally acknowledged that he understood each individual right and indicated to Detective Avila that he wished to voluntarily waive those rights and make a statement. The translated transcription of this colloquy appears as follows:
(All ... in original). Thereafter, appellants statement was recorded on audiotape. At no time did appellant ever indicate that he wished to speak with a lawyer or otherwise have a lawyer present. Nor did Detective Avila directly or indirectly promise appellant anything or otherwise induce him to give his statement. Moreover, appellant was in no way threatened or coerced into speaking with Detective Avila, and Detective Avila never promised appellant anything in return for his statement. The trial court found that appellants claims that he did not understand the Miranda warnings read to him by Detective Avila to be not credible. The trial court also found that the audio recording of appellants statement satisfied the requirement set forth in Article 38.22 and that the recording was true and correct and had not been altered. The trial court also found the written transcription of appellants statement to be true and correct. The trial court concluded that appellants statement was not made as the result of any promises, threats, or coercion. 2. Analysis The second oral statement is the focus of appellants complaint. Appellant is correct that the record shows that no express waiver of his rights appears on the recording. However, the law does not require that the recording reflect an express waiver of the rights. Etheridge v. State, 903 S.W.2d 1, 16 (Tex. Crim. App. 1994), cert. denied, 516 U.S. 920 (1995). Appellants remaining contention regarding the voluntariness of his statement depends upon facts that were resolved by the trial court against appellants position. After reviewing the record, we find that the evidence is sufficient to support the trial courts factual rendition. Although appellant introduced conflicting evidence, the trial court found that evidence to be not credible. We give almost total deference to a trial courts resolution of the historical facts, especially when that resolution turns on the credibility of witnesses. Guzman v. State, 955 S.W.2d 85, 89 (Tex. Crim. App. 1997). Points of error three and four are overruled. C. Vienna Convention In point of error five, appellant contends that the trial court should have suppressed his oral statements under Article 38.23 because law enforcement officers failed to give him warnings required by the Vienna Convention. The Vienna Convention on Consular Relations grants a foreign national who has been arrested, imprisoned or taken into custody a right to contact his consulate and requires the arresting government authorities to inform the individual of this right without delay. Maldonado v. State, 998 S.W.2d 239, 246-247 (Tex. Crim. App. 1999)(citing Vienna Convention on Consular Relations, April 24, 1963, art. 36(1)(b), 21 U.S.T., 77, 100-101, 595 U.N.T.S. 261, 292 (ratified by the United States on Nov. 24, 1969)). A Vienna Convention claim has been raised before this Court on two previous occasions. In Ibarra v. State, 1999 W.L. 956173 (Tex. Crim. App. 1999), we rejected a defendants claim as being procedurally defaulted, because the defendant did not complain about the issue until a hearing on his motion for new trial. Id. at *7. In Maldonado, we observed that a violation of the Vienna Convention treaty would arguably fall under the language in Article 38.23(a) because states must adhere to treaties under the Supremacy Clause of the United States Constitution and give them the same force and effect as any other federal law. 998 S.W.2d at 247 (emphasis added). But we did not have to determine whether the treaty did in fact fall within the language of Article 38.23. We rejected the defendants claim because the evidence did not establish that the defendant was in fact a foreign national, and hence, no violation of the Vienna Convention treaty was established. Id. at 247. In the present case, appellant raised the issue in his written motion to suppress his confession, which the trial court denied by written order. Moreover, there existed ample, uncontroverted evidence that appellant was in fact a Mexican citizen.9 And the evidence is undisputed that appellant was in custody during the oral interview conducted on April 25, 1996. Further, the undisputed evidence established that appellant was not informed of his rights under the Vienna Convention. We find it appropriate to address now the issue left open in Maldonado: Does Article 38.23 provide a remedy for violations of the Vienna Convention treaty? To answer this question, we must decide whether Article 38.23's exclusionary rule applies to treaties. Article 38.23(a) provides in relevant part:
The key issue is whether the word laws, as used in this statute, includes treaties.10 We begin with the cardinal rule of statutory construction in Texas: a statute is to be interpreted solely in accordance with the plain meaning of its language, unless the language is ambiguous or the plain meaning leads to absurd results. Boykin v. State, 818 S.W.2d 782, 785 (Tex. Crim. App. 1991). In Article 38.23, laws is placed in a series with Constitution. The Supremacy Clause of the United States Constitution also places laws in a series with other terms:
United States Constitution, Article VI, Clause 2 (also known as the Supremacy Clause)(emphasis added). The Supremacy Clause indicates that constitution, laws, and treaties all constitute separate items that are in turn the supreme law of the land. When used in a series, then, laws would appear to be distinct from treaties. On the other hand, law, when used as an overarching concept, encompasses constitutions, laws, and treaties. Because laws and Constitution both appear in Article 38.23, the narrower meaning of laws, as being distinct from treaties, would appear to apply. To hold otherwise would render the word Constitution redundant in Article 38.23 because a constitution and a treaty both constitute law in the broad usage of that word. We generally presume that every word in a statute has been used for a purpose and that each word, phrase, clause, and sentence should be given effect if reasonably possible. State v. Hardy, 963 S.W.2d 516, 520 (Tex. Crim. App. 1997). The orthographic difference between laws and law should also be noted. In the Supremacy Clause, laws is used as a countable plural that refers to statutes. On the other hand, law is used by the Supremacy Clause as a collective noun a singular noun referring to plural objects to refer to several different types of governmental commands (i.e. constitution, statutes, treaties). Under Supremacy Clause usage then, constitutions and treaties are law but are not laws. Article 38.23 uses the countable plural laws an indication that the provision refers to statutes and not to law in a more general sense. Professors Dix and Dawson suggest that, Given the construction of laws of Texas, laws of the United States probably means federal statutes. George E. Dix and Robert O. Dawson, TEXAS PRACTICE: CRIMINAL PRACTICE AND PROCEDURE, §4.44 (1995). In their view, [L]aws of the state of Texas, as that is used in Article 38.23 of the Code of Criminal Procedure, is limited to legal requirements promulgated by the Legislature, i.e. statutes. Id. at §4.45. In the supplement, they note the existence of, but do not take a position on, the issue of whether a treaty constitutes a law under Article 38.23. Dix and Dawson, §4.44 (Supp. 1999). We have held that disciplinary rules do not constitute laws under Article 38.23, but that privileges may, depending upon the circumstances. Compare Pannell v. State, 666 S.W.2d 96 (Tex. Crim. App. 1984)(disciplinary rule) to Henderson v. State, 962 S.W.2d 544, 553-554 (Tex. Crim. App. 1997), cert. denied, U.S. , 119 S. Ct. 437 (1998)(attorney-client privilege). That privilege rules may be considered laws is due in part to their statutory lineage. Henderson, 962 S.W.2d at 553 (privileges derived from rulemaking power given to this Court to replace legislatively drafted statutes); see also Dix and Dawson, §4.45 (Supp. 1999).11 In addition, the Federalist Papers, written by the framers of the United States Constitution, draw a clear distinction between treaties and legislative enactments:
Alexander Hamilton, THE FEDERALIST PAPERS, No. 75 (italics added, capitalization in the original). Treaties are agreements between sovereigns rather than regulations of a sovereigns subjects.12 If a contract between sovereigns is broken, the party ordinarily expected to seek redress is the sovereign, not an individual subject:
United States v. Li, F.3d , , 2000 W.L. 217891, *5 (1st Cir., en banc, February 29, 2000)(quoting Head Money cases, 112 U.S. 580, 598 (1884))(ellipsis in Li). Article 38.23 would seem ill-suited to address intersovereign disputes, and there is no reason to believe that the Texas Legislature ever anticipated that Article 38.23 would be used to enforce a treaty. In evaluating a statute with ambiguous language, we are empowered to look at the object sought to be attained by the provision in question and the consequences of a particular construction. Tex. Govt Code §311.023(1) & (5); Lane v. State, 933 S.W.2d 504, 514-516 (Tex. Crim. App. 1996). Perhaps in this vein, Judge Holland contends that there are compelling policy reasons for enforcing this provision of the Vienna Convention through Article 38.23's exclusionary rule. In support of her contention, Judge Holland relies heavily upon pronouncements by the State Department concerning the importance of complying with the Vienna Convention rules. However, the State Department takes the position that suppression of evidence is an inappropriate remedy for a violation of this provision of the Vienna Convention. United States v. Lombera-Camorlinga, F.3d , , 2000 W.L. 245374, *5 (9th Cir., en banc, March 6, 2000); United States v. Li, 2000 W.L. at *8-*9.13 Strong policy interests might be implicated if our decision prevented the reciprocal enforcement of the treatys protections to United States citizens in other countries. Judge Holland contends that the treaty is an important protection to Texans traveling in other nations. This State should extend the same protections to foreign nationals in Texas that we expect to be extended to our citizens when they are abroad (emphasis added). But this contention assumes that foreign countries enforce the Vienna Convention through their own exclusionary rules. They do not: The State Department also points out that no other signatories to the Vienna Convention have permitted suppression under similar circumstances, and that two (Italy and Australia) have specifically rejected it. Lombera-Camorlinga, 2000 W.L. at *6; see also Li, 2000 W.L. at *10.14 Our refusal to enforce an exclusionary rule for Vienna Convention violations would actually promote harmony in the interpretation of this international agreement. Id. And, in en banc opinions, the First and Ninth Circuits recently decided that exclusion of evidence is an inappropriate remedy for a violation of the Vienna Convention provision at issue. Li, 2000 W.L. at *2; Lombera-Camorlinga, 2000 W.L. at *3. These cases may well find themselves in the United States Supreme Court. If we find, now, that the Vienna Convention treaty must be enforced through the exclusionary rule provided by Article 38.23, Texas may soon find itself to be the only jurisdiction in the entire world that enforces the treaty through the use of an exclusionary rule sanction.15 It is difficult to see how such a state of affairs would do anything to ensure the protection of Texans abroad. Relying upon the Vienna Convention Treatys preamble, the Supreme Court of Virginia has held that the treaty creates no legally enforceable individual rights but merely deals with notice to be furnished to the consular post of a foreign state. Kasi v. Commonwealth, 508 S.E.2d 57, 64 (Va. 1998), cert. denied, U.S. , 119 S. Ct. 2399 (1999).16 The State Department takes the same position:
Li, 2000 W.L. at *8 (quoting Department of State Answers to the Questions Posed by the First Circuit in United States v. Nai Fook Li at A-3)(bracketed material and ellipsis in Li). The State Department position continues:
Id. (bracketed material in Li).17 Likewise, the First Circuit has found that the Vienna Convention is facially ambiguous on the subject of whether [it] creates individual rights at all, and its preamble explicitly disclaims any attempt to create individual rights. Li, 2000 W.L. at *7. If, in fact, the Vienna Convention Treaty does not create individual rights, then the core rationale for applying Article 38.23 would not be met. See Chavez v. State, 2000 W.L. 21091, *4 (Tex. Crim. App. 2000)(Price, J. concurring). The First Circuit did not decide whether the Vienna Convention Treaty actually conferred individual rights, see Li, 2000 W.L. at *4, and neither do we. That the Vienna Convention Treaty may not confer any rights at all is a reason to be circumspect about enforcing such a treaty as a law through Article 38.23. Moreover, a holding that Article 38.23 does not apply to treaties does not mean that there is no enforcement mechanism for the Vienna Convention provision. The State department indicates that it has historically enforced the Vienna Convention itself, investigating reports of violations and apologizing to foreign governments and working with domestic law enforcement to prevent future violations when necessary. Lombera-Camorlinga, 2000 W.L. at *5. In light of the State Departments activities, the Ninth Circuit has suggested that judicial enforcement of an exclusionary rule may result in a conflict between the executive and judicial branches. Id. at *5. A concurring opinion in the First Circuit has gone even farther, suggesting that judicial activity in this arena could seriously hamper United States foreign policy:
Li, 2000 W.L. at *12 (Selya and Boudin, JJ. concurring). [W]hen foreign affairs are involved, the national interest has to be expressed through a single authoritative voice. That voice is the voice of the State Department, which in such matters speaks for and on behalf of the President. Id. Finally, holding that Article 38.23 does not apply to treaties does not preclude the application of a federal exclusionary rule. If the United States Supreme Court decides that all jurisdictions in the United States must enforce Vienna Convention violations through an exclusionary rule, then this Court would be bound, under the Supremacy Clause, to give effect to that holding. See, for example, Baker v. State, 956 S.W.2d 19, 24 (Tex. Crim. App. 1997)(Miranda violations not enforceable under Article 38.23 although enforceable under federal exclusionary rule principles). A treaty that can be enforced under the Supremacy Clause should not be dependent upon state law for its implementation.18 The effect of a treaty and the consequences of its violation are ultimately federal questions that only the United States Supreme Court can finally and definitively answer. We ordinarily think of state legislatures as free to confer upon individuals more expansive protection than that conferred by the federal government. But legislation conferring more remedies than a treaty actually confers could conceivably violate the Supremacy Clause if that legislation were found to be contrary to the language and the purpose of the treaty, because international treaties are exclusively federal matters. In the present case, it would seem likely although not a foregone conclusion that the Legislature could impose remedies for violations of the Vienna Convention that are in addition to remedies contemplated by the treaty itself without violating the Supremacy Clause. But, when faced with statutory ambiguity, we should not assume that the Legislature intended a certain remedy to extend to violations of an international treaty when it is not at all clear that the treaty contemplates such a remedy. At the very least, we have found reason to exclude the Vienna Convention treaty from Article 38.23's reach, even if one rejected the idea of holding the statute inapplicable to treaties in general. However, the Vienna Convention Treaty illustrates well the proposition that Article 38.23 is not a suitable enforcement mechanism for international treaties. Given the language of Article 38.23, the purpose and function that treaties provide, and the uniquely federal aspect involved in enforcing international agreements, we hold that treaties do not constitute laws for Article 38.23 purposes. Point of error five is overruled. IV. Jury Charge In point of error six, appellant contends that the trial court erred in denying a requested instruction on voluntariness. At trial, appellant requested the following instruction, which the trial court denied:
Appellant contends that he was legally entitled to the instruction. We observe that the jury charge that was given contained an equivalent statement of the first paragraph requested by appellant:
The issue, then, is whether the trial court erred in denying the second two paragraphs requested by appellant.19 Appellant concedes that the trial courts instruction tracks the language of Article 38.21, but contends that his additional instruction is required by law. But appellant fails to explain why the law requires his requested instruction. He devotes large portions of his brief to a discussion of preservation of error, harm, and a response to an anticipated argument about his requested instruction being a comment on the weight of the evidence. On the merits of the issue, however, appellant merely quotes Article 38.23(a) and asserts:
Appellant cites no legal authority for his assertion that his instruction is required by law. Nor does he explain why a statement is obtained in violation of the law if it is not wholly voluntary due to an illness or medication. Nor does appellant cite any authority for the proposition that a jury must be instructed that statements must be wholly voluntary to be admissible (emphasis added). An argument that fails to cite supporting authority presents nothing for review. McFarland v. State, 928 S.W.2d 482, 512 (Tex. Crim. App. 1996), cert. denied, 519 U.S. 1119 (1997); Tex. R. App. P. 38.1(h). Moreover, appellant does not explain what evidence raises the issue his instruction is designed to address, and he makes no citations to where such evidence appears in the record. Before a requested instruction on the voluntariness of a confession is required, some evidence must be presented to the jury that raises the issue. State v. Terrazas, 1999 W.L. 722548, *7 (Tex. Crim. App. 1999); Butler v. State, 872 S.W.2d 227, 236 (Tex. Crim. App. 1994), cert. denied, 513 U.S. 1157 (1995). When the defendant fails to discuss the evidence supporting his claim, he presents nothing for review. Burks v. State, 876 S.W.2d 877, 910 (Tex. Crim. App. 1994), cert. denied, 513 U.S. 1114 (1995); Rule 38.1(h). Further, despite appellants protestations, his requested instruction did constitute an impermissible comment on the weight of the evidence. His instruction focused on illness and medication as factors that may render his confession involuntary. Even a seemingly neutral instruction about a particular type of evidence constitutes an impermissible comment on the weight of the evidence in violation of Article 36.14 because such an instruction singles out a particular piece of evidence for special attention. Matamoros v. State, 901 S.W.2d 470 (Tex. Crim. App. 1995).20 An instruction that focuses on a particular factor that may render a statement involuntary is an impermissible comment on the weight of the evidence. Penry v. State, 903 S.W.2d 715, 748 (Tex. Crim. App. 1995), cert. denied, 516 U.S. 977 (1995)(special instruction singling out the issue of mental retardation in determining the voluntariness of a confession). Point of error six is overruled. V. Argument In point of error seven, appellant contends that the trial court erred in overruling his objection to the following punishment phase argument made by the State:
Appellant objected that the argument was inflammatory and prejudicial. The trial court overruled his objection. Appellant claims that the trial court erred. We disagree. We have recognized four areas of permissible jury argument: (1) summations of the evidence; (2) reasonable deductions from the evidence; (3) responses to the defendant's argument; and (4) pleas for law enforcement. Lagrone v. State, 942 S.W.2d 602, 619 (Tex. Crim. App. 1997), cert. denied, 522 U.S. 917 (1997). We have previously addressed two arguments similar to the one made in the present case. In Sterling v. State, 830 S.W.2d 114 (Tex. Crim. App. 1992), the prosecutor argued: ...if you don't answer those questions the way this evidence showed you they had to be answered, both of them yes, you're going to participate with Gary Sterling in taking another life. Id. at 119. We held that the argument, insofar as it alleged that the defendant would commit another murder in the future, constituted a reasonable deduction from the evidence. Id. at 120-121. In Norris v. State, 902 S.W.2d 428 (Tex. Crim. App.), cert. denied, 516 U.S. 890 (1995), the prosecutor argued:
Id. at 444. We held that the prosecutors statements were proper pleas for law enforcement. Sterling and Norris involve essentially the same type of argument, containing two components: (1) an allegation that the defendant will commit another murder if he is not executed, and (2) the prosecutors placement of moral responsibility upon the jury for that second murder if a verdict of death is not delivered. Component (1) of the argument is a deduction from the evidence while component (2) is a plea for law enforcement. The argument in Norris possesses another characteristic: the use of colorful speech to make an emotional impact on the jury. The argument here is similar to those made in Sterling and Norris. The prosecutor used colorful speech to convey the idea that the defendant would kill again and that the jury had a responsibility to prevent that occurrence through its verdict. On the record before us, the argument that appellant would kill again appears to be a reasonable deduction from the evidence.21 We find that the prosecutors argument was a reasonable deduction from the evidence and a legitimate plea for law enforcement. Point of error seven is overruled. In point of error eight, appellant complains about the following colloquy in the States punishment phase argument:
Appellant contends that the prosecutor argued matters outside the record. He contends that absolutely no evidence was presented that appellant was a member of a gang. The prosecutors argument, however, was not referring to formal membership in a gang. The prosecutor clearly explained what he meant by gang that appellant formed a loose association with others to commit crimes. Perhaps appellant is contending that the prosecution used its definition of gang to persuade the jury to draw an inference that appellant would become a formal member of a prison gang. Even if that were the prosecutors intent, such an inference is a reasonable deduction from the evidence. That appellant consistently committed crimes in groups is some evidence from which the jury could infer that appellant would affiliate himself with a gang in prison. The prosecutors reference to appellants activities as being part of a gang was a correct use of the word, and the use of that word to draw a connection in the jurys mind between appellants informal association and formal gang activities was a legitimate rhetorical device designed to convey the logical connection between the two. Point of error eight is overruled. The judgment of the trial court is affirmed. KELLER, J. DATE DELIVERED: APRIL 12, 2000
5 That issue asks: whether there is a probability that the defendant would commit criminal acts of violence that would constitute a continuing threat to society. Article 37.071 §2(b)(1). 6 Our summary of the facts is taken almost verbatim from the trial courts findings of fact. In addition to the trial courts factual summary, we have inserted discussions about the contents of the two oral statements made by appellant. Those statements were States exhibits at the pretrial hearing. We have substituted appellant for the trial courts use of the defendant in the factual summary. 7 Both of the oral interviews with appellant were conducted in Spanish. We quote from the English translation. 8 Appellant was also known as Benito Chanocua. 9 Avila testified that appellant told him before he took appellants statement that appellant was a Mexican citizen. Further, Avila testified that appellants primary language was Spanish and that appellant could not speak English. Appellants oral statements were taken in Spanish. At the pretrial motion to suppress, appellant also testified that he was in fact a Mexican citizen. The State presented no controverting evidence concerning appellants citizenship. 10 The State concedes in its brief that a treaty is a law. We are not required to accept such a concession, however, because it concerns the construction of a statute a matter this Court must ultimately determine for itself. Long v. State, 931 S.W.2d 285, 289 (Tex. Crim. App. 1996). 11 Judge Hollands reasoning that the word laws includes treaties because treaties constitute the supreme law of the land is circular. The question is not what the Constitution means by laws but whether laws, as that term appears in Article 38.23, is used in the narrow sense to mean statutes (or statutorily-derived rules) or in the broad sense to mean supreme law of the land. One cannot reach Judge Hollands conclusion unless one presupposes from the outset that laws in Article 38.23 refers to supreme law, the very fact we are attempting to ascertain. Similarly, Judge Hollands reasoning that Article 38.23 applies to Vienna Convention violations because foreign nationals are entitled to the protections of the state criminal justice system is also circular. Application of Article 38.23's exclusionary rule to Vienna Convention violations is a protection of the state criminal justice system only if treaties in general, and this treaty in particular, are in fact covered by Article 38.23, the very fact we are attempting to ascertain. 12 Quoting Valentine v. U.S. ex rel. Neidecker, 299 U.S. 5 (1936) and Quintero v. State, 761 S.W.2d 438 (Tex. App.--El Paso 1988), Judge Holland further contends that Supreme Court and Texas caselaw hold that a treaty is the equivalent of a statute, and therefore, that a treaty must be a law under Article 38.23. We think this contention misconstrues the Supreme Courts use of the word equivalent in its opinion. The word equivalent has several definitions, including: (1) equal in force or amount, and (2) like in signification or import. Websters Third New International Dictionary, 1969, p. 769. When the Supreme Court stated in Valentine that a treaty is to be regarded in courts of justice as equivalent to an act of the legislature, 299 U.S. at 10, the Court did not appear to be saying that a treaty is a statute but that a treaty is on equal footing with a statute that is, the Supreme Court was using the first Websters definition rather than the second. In Quintero, the El Paso Court of Appeals addressed whether the violation of an extradition treaty rises to the level of an abuse that shocks the conscience under the Due Process Clause of the Fourteenth Amendment. 761 S.W.2d at 441. In connection with that claim, the El Paso court stated, extradition treaties are equivalent to statutes. They are, therefore, despite their international political character, not the supreme law of this land. Id. The latter sentence stating that a treaty is not supreme law would seem, in isolation, to be patently false, given the wording of the Supremacy Clause. The sentence makes sense, however, if it is read simply to mean that treaties have power equal to statutes but subordinate to the Constitution. And the structure of the language used by the courts is important. That treaties are equivalent to statutes (equal in power) does not mean that treaties are the equivalent of statutes (like in signification). That a treaty is equal to a law does not mean that a treaty is the same as a law. And, though a treaty is equal in power to a law, if it be not a law, then a provision that applies only to laws cannot apply to treaties, despite their equal status. To say otherwise would be like saying that a provision applying to the Court of Criminal Appeals must necessarily apply also to the Texas Supreme Court simply because the two courts are equal in power. 13 Judge Holland contends that we cannot rely upon the State Departments position letter because it was prepared in the course of litigation. For several reasons, we disagree. First, the State Departments position letter was submitted in response to an inquiry from the First Circuit, not because the Department was attempting mitigate the consequences of a mistake. Li, 2000 W.L. at *8. Second, the State Department is not a prosecutorial agency. While an allegation of a partisan motive might have some force when leveled against one of the parties to litigation, the State Department has no apparent motive to take one side or the other in a criminal case. Third, and perhaps most important, the position taken by the State Department does not appear to be new. In 1989, a letter from a Department legal adviser informed a foreign national that [w]hile the U.S. authorities are required to comply with the obligations [of Vienna Convention Article 36], failure to do so would have no effect on [his] conviction or incarceration. Li, 2000 W.L. at *9 (bracketed material in Li). In 1998, when Mexico sought an advisory opinion from the Inter-American Court of Human Rights about the availability of criminal remedies for failing to give the proper consular notification, counsel for the State Department argued that the Vienna convention does not require the domestic courts of State parties to take any actions in criminal proceedings, either to give effect to its provisions or to remedy their alleged violation. Li, 2000 W.L. at *9 (quoting Written Observations of the United States of America, Request for Advisory Opinion, OC-16, June 1, 1998 (corrected June 10, 1998)). And to the State Departments knowledge, the United States has never asked a foreign court to consider a failure of consular notification during deliberation on a criminal case. Li, 2000 W.L. at *10. Moreover, even if the State Departments opinion were as suspect as Judge Holland claims, that opinion would be entitled to some weight for a treaty that is, at best, ambiguous concerning the appropriateness of applying an exclusionary sanction. Lombera-Camorlinga, 2000 W.L. at *5 And more to the point, the State Departments position on the matter seriously undercuts Judge Hollands attempt to rely upon other pronouncements by that same agency as support for imposing an exclusionary remedy. 14 Additionally, to the extent that enforcement of the Vienna Convention is contended to be necessary to protect a defendants right to counsel and other rights guaranteed by Miranda, such a contention is also flawed. The Vienna Convention Treaty was drafted three years before Miranda was decided, and most countries do not provide the kinds of protections during police interrogation that are mandated by Miranda. Lombera-Camorlinga, 2000 W.L. at *3. 15 Judge Holland responds by pointing to Delaware as at least one other jurisdiction that has already enforced the Vienna Convention through exclusionary rule jurisprudence. But our point is not that there are no jurisdictions within the United States that are currently enforcing the Vienna Convention through an exclusionary rule; instead, our point is that, after a Supreme Court decision on the issue, we may become the only jurisdiction to do so. The Delaware decision is based solely on federal law grounds, see generally State v. Reyes, 740 A.2d 7 (Del. Super. 1999), and would therefore be nullified by a Supreme Court decision holding that an exclusionary rule does not apply. Also, the Reyes decision, being from an intermediate court, is entitled to limited consideration. Moreover, the Ninth Circuits recent en banc opinion in Lombera-Camorlinga demolishes the foundations upon which the Delaware opinion was decided. The Delaware court relied heavily upon the panel opinion in Lombera-Camorlinga, which was overturned by the Ninth Circuits en banc opinion in that case. See Reyes, 740 A.2d at 12-13 (relying upon Ninth Circuit panel opinion United States v. Camorlinga, 170 F.3d 1241, 1242-43 (9th Cir.), withdrawn, 188 F.3d 1177 (9th Cir. 1999)); Lombera-Camorlinga, 2000 W.L. 245374, *1 (March 6, 2000)(overturning panel opinion due to contrary conclusion). In addition, the Delaware court relied upon two other Ninth Circuit cases involving an INS regulation enacted to implement the Vienna Convention. Reyes, 740 A.2d at 10-11 (discussing United States v. Rangel-Gonzales, 617 F.2d 529 (9th Cir. 1980) and United States v. Calderon-Medina, 591 F.2d 529 (9th Cir. 1980)). But the Ninth Circuits en banc opinion in Lombera-Camorlinga found those cases to be distinguishable and stated that they were only tangentially relevant to the question of whether a violation of a treaty can be remedied by exclusion of evidence in a criminal prosecution. 2000 W.L. at *4 (discussing Rangel-Gonzales and Calderon-Medina). 16 The Vienna Convention preamble states in relevant part that the purpose of such privileges and immunities [conferred by the Vienna Convention Treaty] is not to benefit individuals but to ensure the efficient performance of functions by consular posts on behalf of their respective States (bracketed material inserted). 17 On October 7, 1969, a State Department legal adviser submitted, in connection with testimony on the Vienna Convention, a written statement to the Senate Committee on Foreign Relations that emphasized the preambles statement that the treatys purpose is not to benefit individuals. Li, 2000 W.L. at *10. 18 If the Supreme Court declines to address the issue in the near future, we may be called upon to decide, without Supreme Court guidance, whether a federal exclusionary rule applies to Vienna Convention violations, but that is not an issue before us today. 19 We note that the jury charge also instructed the jury concerning the requisites for admissibility of a confession under Article 38.22 §3. 20 Article 36.14 states, in relevant part, that a proper jury charge is one not expressing any opinion as to the weight of the evidence. 21 In addition to the circumstances of the offense, the evidence at trial included evidence that appellant participated in the killing of another person (Cruz Saucedo) in that persons home, that appellant invaded another home (Luviano household) and held the occupants hostage, and that he robbed a bank and, during flight, hid behind the corner of a building with his gun in firing position waiting to ambush a police officer chasing him (appellant was spotted in this position by officers in a police helicopter). 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