From Casetext: Smarter Legal Research

In re Werner

COURT OF APPEAL - FOURTH APPELLATE DISTRICT DIVISION ONE STATE OF CALIFORNIA
Aug 19, 2011
No. D058332 (Cal. Ct. App. Aug. 19, 2011)

Opinion

D058332

08-19-2011

In re BERNARD WERNER on Habeas Corpus.


NOT TO BE PUBLISHED IN OFFICIAL REPORTS

California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for publication or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified for publication or ordered published for purposes of rule 8.1115.

(San Diego County Super. Ct. Nos. CRN10889, HCN1104)

Petition for writ of habeas corpus. Petition denied.

In 1986 Bernard Werner pleaded guilty to one count of second degree murder and was sentenced to 15 years to life. Werner, now 46 years old, has been incarcerated for more than 25 years.

Werner has been denied parole at numerous earlier hearings, and in his latest 2009 parole hearing, the Board of Parole Hearings (Board) again found him unsuitable for parole. The Board, relying on the particularly egregious nature of, and Werner's lack of insight into, the commitment offense, found he was not currently suitable for parole. The Board further concluded a three-year denial of parole was appropriate under the circumstances.

Werner petitioned the trial court for writ of habeas corpus, but the court denied the petition, concluding the Board's decision was supported by some evidence. Werner then petitioned this court for a writ of habeas corpus. We issued an order to show cause, the People filed a return and Werner filed a traverse.

Werner asserts the Board's decision to deny parole violated due process because its conclusion that he posed an unreasonable risk of danger if released on parole was contrary to the only reliable evidence that he was not currently dangerous. He also asserts the Board's policy of rarely granting parole violates separation of powers principles. He also asserts that, even assuming the denial of parole was valid, the imposition of a three-year deferral, pursuant to the amendments to Penal Code section 3041.5, subdivision (b) (undesignated statutory references are to the Penal Code), adopted after the voters approved Proposition 9, otherwise known as the "Victims' Bill of Rights Act of 2008: Marsy's Law" (hereafter Marsy's Law), cannot be applied to him without violating ex post facto principles.

We conclude the Board's decision was supported by some evidence, pursuant to the guidance provided by In re Lawrence (2008) 44 Cal.4th 1181 (Lawrence)and In re Shaputis (2008) 44 Cal.4th 1241 (Shaputis III). We also conclude that application of the amendments to section 3041.5, subdivision (b), to inmates whose commitment offense was committed prior to the effective date of Marsy's Law does not violate ex post facto principles.

I


FACTUAL AND PROCEDURAL BACKGROUND

A. The Commitment Offense

Werner and the victim, apparently strangers to each other, met in a bar in Oceanside, California, on the night of March 1, 1986. Both were intoxicated when they left together later that night. They rode together in Werner's car to a park in Oceanside and walked to a remote section of the park. There, Werner murdered the victim by hitting her on the head with a 41-pound rock. The attack on the victim's head was so brutal that it "appeared as if an explosion had taken place in the victim's head, causing it to blow apart leaving only about one half of the rear portion of the skull and lower jaw behind." After giving versions of the events to third parties and to police in which he denied being the attacker, Werner later admitted he was responsible for the attack. Because the facts of the crime support the Board's determination that the commitment offense was committed in a particularly heinous, atrocious, or cruel manner (Cal. Code Regs., tit. 15, § 2402, subd. (b) , (c)(1) (hereafter, reference to title 15 refers to the California Code of Regulations)), and Werner does not dispute that this aspect of the Board's determination is supported by the requisite level of evidence, we do not further detail the commitment offense.

Factors supporting the finding that the crime was committed "in an especially heinous, atrocious or cruel manner" (tit. 15, § 2402, subd. (c)(1)), include the following: (A) multiple victims were attacked, injured, or killed in the same or separate incidents; (B) the offense was carried out in a dispassionate and calculated manner, such as an execution-style murder; (C) the victim was abused, defiled, or mutilated during or after the offense; (D) the offense was carried out in a manner that demonstrates an exceptionally callous disregard for human suffering; and (E) the motive for the crime is inexplicable or very trivial in relation to the offense.

B. Werner's Record in Prison

Werner's record in prison is commendable. He has remained almost entirely discipline free, has engaged in vocational training, and has been extensively involved in self-help programs and groups.

C. Other Factors Favoring Parole

Werner has remained sober since the commitment offense. The evidence demonstrated, and the Board did not dispute, that Werner had viable parole plans, including a family support system, job prospects, and offers for living arrangements.

D. Werner's Psychological Evaluation

A psychologist evaluated Werner and his report was received by the Board. The psychologist evaluated Werner's potential for violence under two separate empirically based assessment guides, and evaluated Werner's general risk of recidivism under another empirically based-assessment guide. Werner's PCL-R score placed him the low range. Werner's score on the HCR-20 placed him the low risk category for potential violence. The LS/CMI also placed him the low category for risk of recidivism.

The guides used to assess Werner's potential for violence were the Psychopathy Checklist-Revised (PCL-R) and the History-Clinical-Risk Management-20 (HCR-20).

The guide used to assess Werner's general risk of recidivism was the Level of Service/Case Management Inventory (LS/CMI).

The psychologist concluded, based on his clinical assessment and the empirical guides, Werner had become "an individual who is socially responsible, rule conscious and conforms to institutional guidelines" and that he had "optimally benefited from opportunities for self development while incarcerated."

E. The 2009 Hearing

At the 2009 hearing, the Board repeatedly probed Werner for an explanation of why he had violently attacked the victim. At numerous points during these questions, Werner stated he had limited recall of the events of the evening. He remembered leaving the bar with the victim and that while driving she stated she had to urinate and grabbed the steering wheel and jerked it, almost causing the car to go into a ravine. He also recalled that she put her finger in him and, when he reacted negatively, she laughed at him and slapped him, but that was the last thing he could remember. He attributed the crime to an explosion of anger or a drunken rage, which occurred after the victim put her finger in him and then slapped him and believed the attack was because of the alcohol and the prior childhood sexual and physical abuse he had endured. Werner also stated he did not remember going home or talking to his wife when he returned home, and he did not remember returning to the park with a friend later that night.

F. The Decision

The Board found Werner was not suitable for parole for two reasons. First, the Board found the crime was especially egregious. Second, the Board found Werner minimized his conduct and lacked insight into the underlying causative forces that led to the attack and that Werner's attempt to persuade the Board about his insight into why he attacked the victim was not credible. The Board then set a three-year period for Werner's next parole eligibility hearing pursuant to section 3041.5, subdivision (b)(3)(C).

G. Trial Court Proceedings

Werner petitioned the Superior Court of San Diego County for a writ of habeas corpus, but the trial court denied the petition, finding there was some evidence to support the Board's decision. Werner then petitioned this court for a writ of habeas corpus, we issued an order to show cause, the People filed a return and Werner filed a traverse.

II


LEGAL STANDARDS

A. The Parole Decision

The decision whether to grant parole is a subjective determination (In re Rosenkrantz (2002) 29 Cal.4th 616, 655 (Rosenkrantz))that should be guided by a number of factors, some objective, identified in section 3041 and the Board's regulations. (Tit. 15, §§ 2281, 2402.) In making the suitability determination, the Board must consider "[a]ll relevant, reliable information" (Tit. 15, § 2402, subd. (b)), including the nature of the commitment offense and the behavior before, during, and after the crime; the inmate's social history; mental state; criminal record; attitude towards the crime; and parole plans. (Tit. 15, § 2402, subd. (b).) The circumstances that tend to show unsuitability for parole include that the inmate: (1) committed the offense in a particularly heinous, atrocious, or cruel manner; (2) possesses a previous record of violence; (3) has an unstable social history; (4) has previously sexually assaulted another individual in a sadistic manner; (5) has a lengthy history of severe mental problems related to the offense; and (6) has engaged in serious misconduct while in prison. (Tit. 15, § 2402, subd. (c)(1)-(6).) A factor that alone might not establish unsuitability for parole may still contribute to a finding of unsuitability. (Id., subd. (b).)

Factors that support the finding that the crime was committed "in an especially heinous, atrocious or cruel manner" (tit. 15, § 2402, subd. (c)(1)), include the following: [¶] "(A) Multiple victims were attacked, injured, or killed in the same or separate incidents[;] [¶] (B) The offense was carried out in a dispassionate and calculated manner, such as an execution-style murder[;] [¶] (C) The victim was abused, defiled, or mutilated during or after the offense[;] [¶] (D) The offense was carried out in a manner that demonstrates an exceptionally callous disregard for human suffering[;] [¶] and (E) The motive for the crime is inexplicable or very trivial in relation to the offense."

Circumstances tending to show suitability for parole include that the inmate: (1) does not possess a record of violent crime committed while a juvenile; (2) has a stable social history; (3) has shown signs of remorse; (4) committed the crime as the result of significant stress in his life, especially if the stress had built over a long period of time; (5) committed the criminal offense as a result of battered woman syndrome; (6) lacks any significant history of violent crime; (7) is of an age that reduces the probability of recidivism; (8) has made realistic plans for release or has developed marketable skills that can be put to use upon release; and (9) has engaged in institutional activities that indicate an enhanced ability to function within the law upon release. (Tit. 15, § 2402, subd. (d).)

These criteria are "general guidelines," illustrative rather than exclusive, and "'the importance attached to any circumstance or combination of circumstances in a particular case is left to the judgment of the [Board].'" (Rosenkrantz, supra, 29 Cal.4th at P. 654; tit. 15, § 2402, subds. (c), (d).) The endeavor is to try "to predict by subjective analysis whether the inmate will be able to live in society without committing additional antisocial acts." (Rosenkrantz, at p. 655.) Because parole unsuitability factors need only be found by a preponderance of the evidence, the Board may consider facts apart from those found true by a jury or judge beyond a reasonable doubt. (Id. at p. 679.)

B. Standard for Judicial Review of Parole Decisions

In Rosenkrantz, the California Supreme Court addressed the standard for a court to apply when reviewing a parole decision by the executive branch. The court first held that "the judicial branch is authorized to review the factual basis of a decision of the Board denying parole in order to ensure that the decision comports with the requirements of due process of law, but that in conducting such a review, the court may inquire only whether some evidence in the record before the Board supports the decision to deny parole, based upon the factors specified by statute and regulation." (Rosenkrantz, supra, 29 Cal.4th at p. 658.)

In Lawrence, the Supreme Court noted that its decisions in Rosenkrantz and In re Dannenberg (2005) 34 Cal.4th 1061 (Dannenberg), and specifically Rosenkrantz's characterization of the "some evidence" as "extremely deferential" and requiring "[o]nly a modicum of evidence" (Rosenkrantz, supra, 29 Cal.4th at pp. 665, 667), had generated confusion and disagreement among the lower courts "regarding the precise contours of the 'some evidence' standard." (Lawrence, supra, 44 Cal.4th at p. 1206.) Lawrence explained that some courts interpreted Rosenkrantz as limiting the judiciary to reviewing whether "some evidence" exists to support an unsuitability factor cited by the Board or governor, while other courts interpreted Rosenkrantz as requiring the judiciary to instead review whether "some evidence" exists to support "the core determination required by the statute before parole can be denied—that an inmate's release will unreasonably endanger public safety." (Lawrence, supra, 44 Cal.4th at pp. 1207-1209.)

The Lawrence court, recognizing the legislative scheme contemplates "an assessment of an inmate's current dangerousness" (Lawrence, supra, 44 Cal.4th at p. 1205), resolved the conflict among the lower courts by clarifying that the analysis required when reviewing a decision relating to a prisoner's current suitability for parole is "whether some evidence supports the decision of the Board or the Governor that the inmate constitutes a current threat to public safety, and not merely whether some evidence confirms the existence of certain factual findings." (Id. at p. 1212, italics deleted.) Lawrence clarified that the standard for judicial review, although "unquestionably deferential, [is] certainly . . . not toothless, and 'due consideration' of the specified factors requires more than rote recitation of the relevant factors with no reasoning establishing a rational nexus between those factors and the necessary basis for the ultimate decision—the determination of current dangerousness." (Lawrence, at p. 1210.) Indeed, it is Lawrence's numerous iterations (and variants) of the requirement of a "rational nexus" between the facts underlying the unsuitability factor and the conclusion of current dangerousness that appears to form the crux of, and provide the teeth for, the standards adopted in Lawrence to clarify and illuminate "the precise contours of the 'some evidence' standard." (Id. at p. 1206.)

After clarifying the applicable standard of review, Lawrence then turned to and specifically addressed how one "unsuitability" factor—whether the prisoner's commitment offense was done in a particularly heinous, atrocious, or cruel manner—can affect the parole suitability determination, and in particular, whether the existence of some evidence supporting the Board's finding the offense was particularly heinous, atrocious, or cruel is alone sufficient to deny parole. Lawrence concluded that when there has been a lengthy passage of time, the Board may continue to rely on the nature of the commitment offense as a basis to deny parole only when there are other facts in the record, such as the prisoner's history before and after the offense or the prisoner's current demeanor and mental state, that provide a rational nexus for concluding an offense of ancient vintage continues to be predictive of current dangerousness. (Lawrence, supra, 44 Cal.4th at pp. 1211, 1214, 1221.)

III


ANALYSIS OF CHALLENGES TO UNSUITABILITY FINDING

A. The Substantial Evidence Challenge

Werner asserts there is no evidence of sufficient substantiality on which the Board could properly rest its determination that he would pose an unreasonable risk of danger to the community if released on parole. Although he concedes the Board could properly rely on the commitment offense, he asserts the Board's reliance on his lack of insight into or acceptance of responsibility for the murder warrants especially close scrutiny.

We conclude the Board, which may properly consider Werner's attitude toward the commitment offense, had some evidence from which it could have concluded Werner was unsuitable for parole. There is no dispute the evidence permitted the Board to conclude the crime was especially egregious. However, because there has been a lengthy passage of time since that crime was committed, Lawrence teaches the Board may continue to rely on the nature of the commitment offense as a basis to deny parole only when other facts in the record, such as the prisoner's current demeanor and mental state, provide a rational nexus for concluding the offense continues to be predictive of current dangerousness. (Lawrence, supra, 44 Cal.4th at pp. 1211, 1214, 1221.)

We conclude that, in this case, there is some evidence from which the Board could rationally conclude the commitment crime remain probative of Werner's dangerousness, because the Board specifically found Werner's efforts to persuade the Board that he accepted responsibility for the crime and understood the underlying causes for his conduct were not credible. As the Board stated during the proceeding, it viewed Werner as an "unreliable historian [who] lack[s] credibility" and that his efforts to explain his version were "not reality."" The Board, stating that Werner "is grabbing bits and pieces of this crime that he wants to remember to make himself look good," specifically stated the Board was "not eating what you're cooking." In weighing the relevant factors, the Board was entitled to assess defendant's credibility and consider it in determining his current dangerousness. (See In re Juarez (2010) 182 Cal.App.4th 1316, 1341.) As long as there is a modicum of evidence to support that finding, we must affirm the Board's finding that Werner was not credible even were we to reach a contrary conclusion. (Cf. In re Smith (2009) 171 Cal.App.4th 1631, 1639.)

Werner also appears to argue the Board's finding that he lacked an understanding of the causal factors underlying his crime lacks evidentiary support because his most recent psychological examinations reached a contrary conclusion. Certainly, a "psychological evaluation of an inmate's risk of future violence is information that . . . 'bears on the prisoner's suitability for release' . . . [but] such assessment does not necessarily dictate the Board's parole decision." (In re Lazor (2009) 172 Cal.App.4th 1185, 1202.) It is the Board, "not prison staff and psychologists [who] is the trier of fact as to whether defendant remained a threat to public safety" (In re Ross (2009) 170 Cal.App.4th 1490, 1510), and the Board is entitled to weigh the psychological reports along with all other evidence to make its determination.

There is some evidence from which the Board could conclude Werner was not credible. When asked why he had committed the crime, Werner professed an inability to recall actually striking the victim with the rock, and he attributed his lack of recall to an alcoholic blackout. However, one commissioner observed that Werner's claimed inability to recall the events based on his alcoholic stupor seemed implausible based on other testimony given by Werner, including Werner's testimony that he was able to regain control of the car after the victim had grabbed the steering wheel, and that he was able to safely drive home and shortly thereafter accompany a friend and direct him back to the scene. The Board also had evidence from which it concluded that Werner's professed acceptance of responsibility was both equivocal and lacking in credibility. Werner gave varying iterations over the years of why he had committed the offense, but at his current hearing, he attributed his violence to the claim that he had endured childhood sexual abuse and he was reacting to the victim putting her finger in him and slapping him. The Board, questioning the sincerity of Werner's explanation, stated that he was trying to "make himself look good . . . and trying to gain sympathy here [but] [w]e don't need his sympathy . . . we need . . . some insight . . . into the causative factors of his conduct. . . ."

In 2005, after a different Board panel pointed out that alcohol inebriation is common and asked Werner what made his reaction so different from other drunk persons, Werner replied "lack of support," apparently referring to the absence of anyone who could have stepped in to stop his assault on the victim. In 2008, he indicated he was in a drunken rage and reacted to the victim's slapping him.

The Board, sitting as the trier of fact, was dubious about Werner's credibility both as to his claimed inability to recall events and as to his articulation that he understood what led to the explosion of violence and had resolved those causative factors. Because there is some evidence from which a trier of fact could have reached those conclusions, which in turn supports the determination that Werner had unresolved issues, there is some evidence to support the determination that his release could unreasonably endanger public safety.

B. The Other Challenge

Werner raises another challenge to the Board's action: He argues the Board has a policy to rarely grant parole to life prisoners and this policy arbitrarily disregards the intent of the Legislature's mandate in section 3041 that the Board "shall normally set a parole release date." We reject this claim, for several reasons. First, Werner's construction of section 3041's language is analogous to the construction of that language rejected by Dannenberg, supra, 34 Cal.4th 1061. There, the court explained:

"As [In re Ramirez (2001) 94 Cal.App.4th 549] put it, 'the Board's authority to make an exception based on the gravity of a life term inmate's current or past offenses should not operate so as to swallow the rule that parole is "normally" to be granted. Otherwise, the Board's case-by-case rulings would destroy the proportionality contemplated by . . . section 3041, subdivision (a) . . . .' In our view, this interpretation far overstates the meaning of the statute's words.
"The word 'shall' in a statute is generally deemed mandatory [citation] but that presumption is not conclusive. [Citation.] In section 3041, 'shall' is not used in an absolute sense. Instead, the word is qualified in subdivision (a) by 'normally'—a word not susceptible to precise application—and is further limited in subdivision (b) by 'unless,' followed by the rule that the Board should not set a release date if 'consideration of the public safety' requires lengthier incarceration for the particular inmate." (Dannenberg, supra, 34 Cal.4th at pp. 1086-1087, fn. omitted.)

The Dannenberg court construed the word "normally" as used in section 3041 to denote a hope that parole would be a typical or common result, but by also "provid[ing] an express 'public safety' exception and plac[ing] that determination within the Board's broad discretion . . . the Legislature and the voters have otherwise indicated, in multiple ways, their abiding concern that the Board not schedule the release of any life-maximum prisoner who is still dangerous. A conclusion that section 3041, subdivision (a), ever requires the Board to fix such a prisoner's parole date . . . despite the Board's factually supported belief that the particular circumstances of the inmate's crime indicate a continuing public danger would contravene this clear policy." (Dannenberg, supra, 34 Cal.4th at pp. 1087-1088, fn. omitted.) Thus, Werner's claim that there is some legislative directive that parole should be the norm is inconsistent with Dannenberg's construction of section 3041.

Moreover, Werner cites no evidence that the Board has a policy to deny parole other than the statistical information showing that only a small number of life-term inmates are granted parole. Although Werner infers from these statistics there is a policy to grant parole only in rare circumstances, we apprehend that these statistics show the Board has a policy to grant parole only in those circumstances in which it is satisfied the inmate is suitable for parole and that most inmates fall short of the legislative threshold that release not unreasonably endanger public safety. Werner cites no evidence that his parole was denied for reasons other than an individualized consideration of his particular circumstances within the intent of the statutory scheme.

IV


EX POST FACTO CHALLENGE

The Board concluded a three-year deferral before Werner would again be considered for parole, as permitted under 3041.5, subdivision (b)(3), was appropriate. Werner asserts the amendments to section 3041.5, subdivision (b), which implement aspects of Marsy's Law to permit the three-year deferral, cannot be applied to him without violating ex post facto principles. This contention is unavailing.

The United States Constitution provides that "[n]o State shall . . . pass any . . . ex post facto Law." (U.S. Const., art. I, § 10.) A law violates the ex post facto clause of the United States Constitution if it: (1) punishes as criminal an act that was not criminal when it was committed; (2) makes a crime's punishment greater than when the crime was committed; or (3) deprives a person of a defense available at the time the crime was committed. (Collins v. Youngblood (1990) 497 U.S. 37, 52 .) The ex post facto clause " 'is aimed at laws that retroactively alter the definition of crimes or increase the punishment for criminal acts.' " (Himes v. Thompson (9th Cir. 2003) 336 F.3d 848, 854 (Himes), quoting Souch v. Schaivo (9th Cir. 2002) 289 F.3d 616, 620; see also Cal. Dep't of Corr. v. Morales (1995) 514 U.S. 499, 504 (Morales). The ex post facto clause is also violated if: (1) state regulations have been applied retroactively to a defendant; and (2) the new regulations have created a "sufficient risk" of increasing the punishment attached to the defendant's crimes. (Himes, 336 F.3d at p. 854.)

However, not every law that disadvantages a defendant is a prohibited ex post facto law. The retroactive application of a change in state parole procedures violates ex post facto principles only if there exists a "significant risk" that such application will increase the punishment for the crime. (See Garner v. Jones (2000) 529 U.S. 244, 255 (Garner).)

Before Marsy's Law was enacted, the length of a parole hearing deferral was determined by section 3041.5, subdivision (b)(2). That section provided:

"The board shall hear each case annually . . . , except the board may schedule the next hearing no later than the following: [¶] (A) Two years after any hearing at which parole is denied if the board finds that it is not reasonable to expect that parole would be granted at a hearing during the following year and states the bases for the finding. [¶] (B) Up to five years after any hearing at which parole is denied if the prisoner has been convicted of murder, and the board finds that it is not reasonable to expect that parole would be granted at a hearing during the following years and states the bases for the finding in writing." (Italics added.)

Marsy's Law substantially changed the law governing deferral periods. The most significant changes are as follows: the minimum deferral period is increased from one year to three years, the maximum deferral period is increased from five years to 15 years, and the default deferral period is changed from one year to 15 years. (§ 3041.5, subd. (b)(3).) Additionally, before Marsy's Law was enacted, the deferral period was one year unless the Board found it was unreasonable to expect the prisoner would become suitable for parole within one year. (§ 3041.5, subd. (b)(2).) After Marsy's Law, the deferral period is 15 years unless the Board finds by clear and convincing evidence that the prisoner will be suitable for parole in 10 years, in which case the deferral period is 10 years. (§ 3041.5, subd. (b)(3)(A-B).) If the Board finds by clear and convincing evidence that the prisoner will be suitable for parole in seven years, the Board has discretion to set a three-, five-, or seven-year deferral period. (§ 3041.5, subd. (b)(3)(B-C).)

However, Marsy's Law also authorized the Board to advance a hearing date on its own accord or at the request of a prisoner. "The board may in its discretion . . . advance a hearing . . . to an earlier date, when a change in circumstances or new information establishes a reasonable likelihood that consideration of the public and victim's safety does not require the additional period of incarceration of the prisoner . . . ." (§ 3041.5, subd. (b)(4).) Also, a prisoner may request an advance hearing by submitting a written request that "set[s] forth the change in circumstances or new information that establishes a reasonable likelihood that consideration of the public safety does not require the additional period of incarceration." (§ 3041.5, subd. (d)(1).) A prisoner is limited to one such request every three years. (§ 3041.5, subd. (d)(3).) Moreover, although the minimum deferral period is three years, there is no minimum period the Board must wait before it holds an advance hearing. (§ 3041.5, subd. (b)(4).)

In analyzing whether these changes violate ex post facto principles, we are guided by United States Supreme Court precedent that has addressed similar changes in laws governing parole.

In Morales, supra, 514 U.S. at pages 502-503, the defendant was sentenced to 15 years to life for a murder committed while on parole from a prior murder sentence. As noted, ante, section 3041.5, subdivision (b)(2) at that time provided for annual subsequent parole reviews. (Morales, at pp. 502-503.) In 1981 the law was amended to allow the Board to delay a subsequent hearing for up to three years if the prisoner had been convicted of more than one offense involving the taking of a life and the Board found it unreasonable to expect that parole would be granted in intervening years. (Id. at pp. 501-503.) The initial parole hearing for Morales occurred in 1989. (Id. at p. 502.) The Board found Morales unsuitable for parole and that it was not reasonable to expect that he would be found suitable for parole in 1990 or 1991. (Id. at p. 503.) The Board set the next parole hearing for 1992. (Ibid.) Morales filed a federal habeas corpus petition, arguing that the 1981 amendment, as applied to him, constituted an ex post facto law. (Id. at p. 504.)

The high court in Morales rejected that contention, concluding that the 1981 amendment "creates only the most speculative and attenuated possibility of producing the prohibited effect of increasing the measure of punishment for covered crimes, and such conjectural effects are insufficient under any threshold we might establish under the Ex Post Facto Clause." (Morales, supra, 514 U.S. at p. 509.) In doing so, the court noted (1) the amendment did not affect the date of the initial parole suitability hearing; (2) the Board retained discretion to tailor the frequency of parole hearings to the circumstances of individual prisoners; (3) the Board was required to make particular findings justifying the postponement of a subsequent hearing more than a year in the future; and (4) an expedited hearing could occur if a prisoner experienced such a change in circumstance as to make suitability for parole likely. (Id. at pp. 510-513.)

Similar protections are also present in the current version of section 3041.5. While Morales did not involve a change to the minimum deferral period, the default deferral period, or the burden to impose a deferral period other than the default period, the procedural safeguards in subdivisions (b)(4) and (d)(1) allowing an advance hearing by the Board would remove any possibility of harm to prisoners because they would not be required to wait a minimum of three years for a hearing. Those subdivisions eliminate any ex post facto implications because they constitute qualifying provisions that minimize or eliminate the significant risk of prolonging a prisoner's incarceration.

The Supreme Court also addressed retroactive changes in laws governing parole in Garner, supra, 529 U.S. 244. When the defendant committed his offense and was sentenced, the rules of Georgia's parole board required reconsideration of parole to take place every three years. (Id. at p. 247.) In 1985 the board amended its rules to provide that reconsideration for inmates serving life sentences would take place at least every eight years. (Ibid.)Although Georgia's amended parole rules permitted extension of parole reconsideration by five years (not just the two years in Morales), applied to all prisoners serving life sentences (not just to multiple murderers), and afforded fewer procedural safeguards than in Morales, the court found that these differences were "not dispositive." (Garner, at p. 251.) In finding that Georgia's amended parole rules did not violate ex post facto principles, the court noted under Georgia's amended statute that the parole board maintained the discretion to deny parole for a range of years and permitted an expedited review if a change of circumstances or new information indicated that an earlier review was warranted. (Id. at p. 254.)

Again, similar protections are present in the current version on section 3041.5 that eliminate any ex post facto implications.

Our high court has also addressed the constitutionality of retroactive changes to periods for parole review. In In re Jackson (1985) 39 Cal.3d 464, the court examined an amendment to an earlier version of section 3041.5 that increased the maximum parole denial period from one year to two years. Our high court concluded that because the amendment only changed the frequency of hearings and did not alter the criteria for determining parole suitability, it was a "procedural change outside the purview of the ex post facto clause." (Id. at p. 472, fn. omitted.)

Here too the amendments to section 3041.5 are a procedural change that impacts only the frequency of parole hearings. Werner retains the right to a hearing with numerous procedural protections, and the criteria for determining parole suitability remains unchanged.

Recently, the Ninth Circuit addressed an ex post facto challenge to Marsy's Law overturning a district court decision granting a preliminary injunction to plaintiffs in a class action seeking to prevent the board from enforcing the amended deferral periods established by section 3041.5. (Gilman v. Schwarzenegger (9th Cir. 2011) 638 F.3d 1101 (Gilman).)The court found it unlikely that plaintiffs would succeed on the merits of their underlying challenge premised on the ex post facto clause. In doing so, the court initially compared and contrasted Marsy's Law with Morales and Garner:

"Here, as in Morales and Garner, Proposition 9 did not increase the statutory punishment for any particular offense, did not change the date of inmates' initial parole hearings, and did not change the standard by which the Board determined whether inmates were suitable for parole. However, the changes to the frequency of parole hearings here are more extensive than the change in either Morales or Garner. First, Proposition 9 increased the maximum deferral period from five years to fifteen years. This change is similar to the change in Morales (i.e., tripled from one year to three years) and the change in Garner (i.e., from three years to eight years). Second, Proposition 9 increased the minimum deferral period from one year to three years. Third, Proposition 9 changed the default deferral period from one year to fifteen years. Fourth, Proposition 9 altered the burden to impose a deferral period other than the default period. . . . Neither Morales nor Garner involved a change to the minimum deferral period, the default deferral period, or the burden to impose a deferral period other than the default period." (Gilman, supra, 638 F.3d at pp. 1107-1108.)

The Ninth Circuit found these distinctions insignificant, however, due to the availability of advance parole hearings at the Board's discretion (sua sponte or upon the request of a prisoner, the denial of which is subject to judicial review), reasoning that, "as in Morales, an advance hearing by the Board 'would remove any possibility of harm' to prisoners because they would not be required to wait a minimum of three years for a hearing." (Gilman, supra, 638 F.3d at p. 1109, quoting Morales, 514 U.S. at p. 513.) The court concluded that the plaintiffs had failed to demonstrate a significant risk that their incarceration would be prolonged by application of Marsy's Law, and thus found that plaintiffs had not established a likelihood of success on the merits of their ex post facto claim. (Gilman, supra, at pp. 1110-1111.)

The dissent asserts that section 3041.5, subdivision (d)(3) provides that "an inmate may not obtain review pursuant to this section earlier than three years after a decision denying parole even if there are changed circumstances or new information." (Diss. opn., p. 3.) We disagree with that interpretation.

Section 3041.5, subdivision (d)(3) provides:

"An inmate may make only one written request as provided in paragraph (1) [to advance a hearing] during each three-year period. Following either a summary denial of a request made pursuant to paragraph (1), or the decision of the board after a hearing described in subdivision (a) to not set a parole date, the inmate shall not be entitled to submit another request for a hearing pursuant to subdivision (a) until a three-year period of time has elapsed from the summary denial or decision of the board." (Italics & underscoring added.)

The dissent interprets the italicized portion of the statute to refer to any hearing denying parole, rather than to a parole suitability hearing held in response to an inmate's request for an advanced hearing. In our view, the text of section 3041.5, subdivision (d)(3), underlined above, makes it clear that the italicized phrase in the statute refers only to a parole suitability hearing held in response to an inmate's request for an advanced hearing. We therefore reject the dissent's conclusion that section 3041.5, subdivision (d)(3) "appears to set a three-year 'backout' period for an inmate to trigger the advanced hearings safeguard . . . ." (Diss. opn., p. 3, fn. 2.)

Moreover, Garner, supra, 529 U.S. 244, supports the conclusion that the Board's setting a parole date three years from the October 2009 hearing did not constitute an ex post facto violation. At the time of Werner's commitment offense, California law provided inmates like Werner with an annual parole hearing, unless the Board found it not reasonable to expect that parole would be granted in the one-year period, in which case, the Board could order a two-year deferral period. (Stats. 1990, ch. 1053, § 1.) In the wake of Marsy's Law, Werner was subjected to a three-year parole hearing deferral period, with the possibility that an earlier hearing could be held upon a change in circumstances or the discovery of new information establishing a reasonable likelihood that he would be found suitable for parole. (See § 3041.5, subds. (b)(4), (d)(3).) In Garner, the Supreme Court concluded that the application of an administrative regulation that increased an inmate's parole hearing deferral period from three years to eight years (a five-year increase in the deferral period) did not constitute an ex post facto violation. (Garner, supra, at pp. 246-248.) Thus, Garner strongly supports the conclusion that the Board's setting Werner's next parole hearing three years from the October 2009 hearing did not constitute an ex post facto violation.

DISPOSITION

Werner's petition for a writ of habeas corpus is denied.

NARES, Acting P. J. I CONCUR:

AARON, J. McDONALD, J., Concurring and Dissenting.

I concur in the well-written majority opinion with the exception of part IV, entitled the Ex Post Facto Challenge, to which I dissent.

The Board of Parole Hearings (BPH) concluded a three-year deferral before Werner would again be considered for parole, as permitted under Penal Code section 3041.5, subdivision (b)(3), was appropriate. Werner argues the amendments to section 3041.5, subdivision (b), which implement aspects of Marsy's Law to permit the three-year deferral, violate ex post facto principles.

Statutory references are to the Penal Code unless otherwise specified.

A. Background

Former Law

Werner's commitment offenses occurred in 1986. At that time, section 3041.5 provided that when an inmate was denied parole, he or she was entitled to have the matter reviewed annually at a subsequent suitability hearing. However, that law gave discretion to the BPH to defer the subsequent suitability hearing for two years for life sentence prisoners or to select a three- or five-year deferral for life sentence inmates convicted of multiple murders if the BPH found it was not reasonable to expect that parole would be granted sooner than the two-, three- or five-year periods, respectively. (See Stats. 1990, ch. 1053, § 1, pp. 4380-4381.)

Current Law

In 2008, the voters enacted Marsy's Law, which amended section 3041.5 to provide longer deferral periods between parole hearings, and to modify the standards and considerations for determining which of the longer deferral periods would be selected by the BPH panel. Werner asserts the application of these changes to him offends the ex post facto clause.

The most significant change is that, when the BPH denies parole, the 2008 amendments mandate longer deferrals for the subsequent suitability hearing than those permitted under the prior statutory scheme. Under current law, the subsequent suitability hearing date must be set at either 15 years or 10 years unless the BPH finds by clear and convincing evidence that the factors relevant to deciding suitability for parole "are such that consideration of the public and victim's safety does not require a more lengthy period of incarceration for the prisoner" than either 15 or 10 years. (§ 3041.5, subds. (b)(3)(A) & (B).) Even if the BPH finds by clear and convincing evidence that neither the 10- nor 15-year deferral is necessary to protect the safety of the public or the victims, the BPH must select a seven-year deferral for the subsequent suitability hearing unless it concludes the suitability factors examined at the hearing "are such that consideration of the public and victim's safety . . . [do] not require a more lengthy period of incarceration for the prisoner than seven additional years," in which event the BPH may set the deferral at either five years or three years. (§ 3041.5, subd. (b)(3)(C).)

A second aspect of the changes adopted under Marsy's Law is that, although an inmate may request the BPH to advance the subsequent parole suitability hearing date to an earlier date because of changed circumstances or new information (§ 3041.5, subd. (d)(1)), the inmate may not obtain review pursuant to this provision earlier than three years after a decision denying parole has been made even if there are changed circumstances or new information. (§ 3041.5, subd. (d)(3).) Additionally, if the inmate petitions to advance the subsequent suitability hearing date and either his or her request is summarily denied or it is denied after a hearing on the merits, the inmate may not petition again to advance the subsequent suitability hearing date to an earlier date until three more years have elapsed from either the summary denial or the hearing on the merits.(§ 3041.5, subds. (d)(1) &(d)(3).)

Section 3041.5, subdivision (d)(3), appears to set a three-year "blackout" period for an inmate to trigger the advanced hearings safeguard, because that section states that "[f]ollowing either a summary denial of a request made pursuant to paragraph [(d)(1)], or the decision of the board after a hearing described in [ section 3041.5, subdivision (a)] to not set a parole date, the inmate shall not be entitled to submit another request for a hearing pursuant to [section 3041.5, subdivision (a)] until a three-year period of time has elapsed from the summary denial or decision of the board." (§ 3041.5, (d)(3), italics added.) Because a regularly scheduled parole suitability hearing results (as it did here) in a "decision of the board after a hearing described in [section 3041.5, subdivision (a)] to not set a parole date," the statute appears to impose a three-year blackout period for an inmate to petition for an advanced hearing when parole is denied following a regularly scheduled suitability hearing.
Section 3041.5, subdivision (b)(4), nominally appears to preserve the ability of the BPH on its own motion to advance a subsequent suitability hearing date to a date earlier than that set, as long as there are changed circumstances or new information that establish a reasonable likelihood the inmate will be found suitable for parole. However, neither the statute nor the administrative regulations explain the mechanism by which the BPH would (absent a request from the inmate under § 3041.5, subd. (d)(1)) become cognizant of the changed circumstances or new information that might trigger sua sponte action by the BPH to advance the hearing date. Although In re Aragon (2011) 196 Cal.App.4th 483 (Aragon)concluded this sua sponte power "ameliorat[es] ex post facto concerns that the increased deferral period raises" (id. at *13) because courts may " 'presume [a parole board] follows its statutory commands and internal policies in fulfilling its obligations' " (ibid., quoting Garner v. Jones (2000) 529 U.S. 244, 256 (Garner)), I am less sanguine that either the facts or the precedents support this aspect of Aragon's analysis.

Another change apparently operable under the current version of section 3041.5 is that the version of section 3041.5 operable at the time of Werner's commitment offenses permitted the BPH to depart from the one-year deferral period and order a two-year deferral if it found it was not reasonable to expect that parole would be granted sooner than two years and stated the bases for that determination. (See Stats. 1982, ch. 1435, § 1, p. 5474.) No similar requirement of a statement of reasons is found in the current version of section 3041.5, subdivision (b)(3). Additionally, although the considerations guiding the finding (under the former version of § 3041.5) that would justify a longer deferral period were apparently limited to an assessment of the same factors that guide all suitability determinations, Marsy's Law now requires the BPH to set the deferral period "after considering the views and interests of the victim." (§ 3041.5, subd.(b)(3).)

B. Ex Post Facto Principles

The core of ex post facto law is to bar application of laws that criminalize conduct not criminal when done, or increase punishment for a crime above the punishment the law specified at the time the crime was committed. In Calder v. Bull (1798) 3 U.S. (Dall.) 386, 1 L.Ed. 648, the court explained at page 390 that the ban against ex post facto laws under the federal Constitution prohibits four general categories of laws: (1) a law that makes criminal an action not criminal when done; (2) a law that aggravates a crime or makes it greater than it was when committed; (3) a law that increases the punishment for a crime after it was committed; and (4) a law that alters the legal rules of evidence and requires less or different evidence to convict the offender of a crime than the law required at the time the crime was committed.

Although Calder v. Bull examined the ex post facto clause of the federal Constitution, the ex post facto clause in the California Constitution is analyzed in the same manner as its federal counterpart. (People v. Castellanos (1999) 21 Cal.4th 785, 790.) Resort to federal law to evaluate Werner's ex post facto arguments is therefore appropriate.

The language in Collins v. Youngblood (1990) 497 U.S. 37 created substantial doubt whether the fourth category remained viable for ex post facto purposes. Many subsequent California decisions interpreted Collins's exclusive reference to the first three categories, and its statement that the fourth category did not prohibit the application of new evidentiary rules, to mean ex post facto principles were violated only by laws within the first three categories. (See, e.g., People v. Frazer (1999) 21 Cal.4th 737, 756; Tapia v. Superior Court (1991) 53 Cal.3d 282, 293-299.) However, the decision in Carmell v. Texas (2000) 529 U.S. 513 clarified that Calder v. Bull's fourth category has not been eliminated as part of the ex post facto doctrine and remains a category of laws prohibited from operating retroactively. (Carmell, at pp. 514-515, 537-539.)

As the court explained in John L. v. Superior Court (2004) 33 Cal.4th 158:

"[A]n ex post facto violation does not occur simply because a postcrime law withdraws substantial procedural rights in a criminal case. [Citation.] Even new methods for determining a criminal sentence do not necessarily involve punishment in the ex post facto sense. [Citations.] . . .
"Contrary to what petitioners imply, the ex post facto clause regulates increases in the ' " 'quantum of punishment.' " ' [Citations.] Although no universal definition exists [citation], this concept appears limited to substantive measures, standards, and formulas affecting the time spent incarcerated for an adjudicated crime. For example, an ex post facto violation occurs where laws setting the length of a prison sentence are revised after the crime to contain either a longer mandatory minimum term [citation], or a higher presumptive sentencing range [citation]. Impermissible increases in punishment also have been found where a new postcrime formula for earning gain-time credits postpones an inmate's eligibility for early release [citation], or where retroactive cancellation of overcrowding credits requires reimprisonment of an inmate who has been freed." (John L. v. Superior Court, supra, 33 Cal.4th at p. 181.)

C. Ex Post Facto Law and Changes to Parole Suitability Rules

Werner contends section 3041.5, as amended by Marsy's Law, if applied to him, violates ex post facto principles because it increased his sentence (i.e., punishment) beyond the term that applied when the crime was committed in 1986. He argues that, under the statutory scheme applicable in 1986, he would have been eligible for a new parole hearing not more than two years after the initial denial of parole, but must now wait at least three years (even if he could show changed circumstances or new information) or up to 10 years before his suitability for parole may be reexamined. Werner argues the longer period before he may obtain his subsequent suitability hearing creates the risk that he will remain incarcerated longer than if his subsequent suitability hearing had been scheduled at the earlier date prescribed by the statutory scheme in effect at the time of his commitment offense.

The John L. court explained, however, that "not every amendment having 'any conceivable risk' of lengthening the expected term of confinement raises ex post facto concerns. [Citation.] In [California Dept. of Corrections v. Morales (1995) 514 U.S. 499], a California law allowed the parole board, after holding an initial hearing, to defer subsequent parole suitability hearings up to three years for inmates convicted of multiple homicides, provided it found parole was not reasonably likely to occur sooner. (Id. at p. 503.) Finding no retroactive increase in punishment, the high court emphasized that there had been no change in the applicable indeterminate term, in the formula for earning sentence reduction credits, or in the standards for determining either the initial date of parole eligibility or the prisoner's suitability for parole. (Id. at p. 507.) . . . At bottom, no ex post facto violation occurred because the risk of longer confinement was 'speculative and attenuated' (id. at p. 509), and because the prisoner's release date was essentially 'unaffected' by the postcrime change. (Id. at p. 513; [citation].)" (John L. v. Superior Court, supra, 33 Cal.4th at pp. 181-182.)

In California Dept. of Corrections v. Morales, supra, 514 U.S. 499 (Morales)and again in Garner, supra, 529 U.S. 244, the United States Supreme Court evaluated ex post facto challenges to parole laws that bore some resemblance to the changes wrought by Marsy's law. "The controlling inquiry . . . [is] whether retroactive application of the change . . . created 'a sufficient risk of increasing the measure of punishment attached to the covered crimes.' " (Garner, at p. 250 [quoting Morales, at p. 509].) A sufficient risk is one that is "significant," (Garner, at p. 255) rather than merely "speculative and attenuated." (Morales, at p. 509.) The alteration in the legislative scheme may pose a sufficient risk either "by its own terms" or where "the rule's practical implementation . . . will result in a longer period of incarceration than under the earlier rule." (Garner, at p. 255.) However, neither case articulated a single formula for determining when the risk reached a level of sufficiency to offend ex post facto principles. (Morales, at p. 509.) The particular principles and rationales employed by Garner and Morales guide an evaluation of whether Marsy's Law offends ex post facto principles by posing a sufficient risk, either by its own terms or by its practical implementation, of resulting in a longer period of incarceration than under the old rule. (Garner, supra.)

Morales

In Morales, a California inmate challenged the 1981 amendments to section 3041.5. Prior to the amendments, all life prisoners whose sentences included the possibility of parole received annual parole hearings. The 1981 amendment authorized the BPH to defer subsequent suitability hearings for up to three years, but only for certain prisoners (those convicted of " 'more than one offense which involves the taking of a life' ") (Morales, supra, 514 U.S. at p. 503, quoting former Pen. Code, § 3041.5, subd. (b)(1)) and only if the BPH found " 'it [was] not reasonable to expect that parole would be granted at a hearing during the following years and state[d] the bases for the finding.' " (Ibid.)

Morales held that the risk of prolonged confinement posed by this amendment's terms was not sufficient to violate the ex post facto clause. (Morales, supra, 514 U.S. at p. 512.) The court provided three reasons for this conclusion. Most importantly, the court concluded the only group of inmates impacted by the increased deferral periods under the amendments (e.g. multiple murderers) would be unlikely to have been found suitable at an earlier date because, in general, inmates convicted of multiple murders were particularly unlikely to be found suitable for parole. (Morales, supra, 514 U.S. at pp. 511-512.) Second, even among this subset of inmates, the additional deferral period was not mandatory but instead would be increased only where the BPH had made specific findings that an individual inmate was unlikely to be found suitable for parole in the deferral period, and the length of the increased deferral would be specifically tailored to the BPH's findings. (Ibid.)Finally, even assuming there were inmates (within the larger group the BPH had found were unlikely to be found suitable for parole if a subsequent suitability hearing were held within one year) who could show there was a change in circumstances sufficient to call into question the BPH's projection that suitability would be found at a one-year hearing, those inmates could seek to advance the hearing date. (Id. at p. 512; In re Jackson (1985) 39 Cal.3d 464, 475.)

In contrast, Marsy's Law applies to all inmates serving indeterminate terms, not merely the subclass of those offenders least likely to obtain parole at an earlier hearing.

Because the terms of the 1981 amendment increased deferral of subsequent suitability hearings only in cases in which the BPH projected it would be unlikely there would be an earlier finding of suitability, and because advanced hearings were available as a safety valve to bring about a hearing where changed circumstances undercut the BPH's projections, the court concluded that "the narrow class of prisoners covered by the amendment cannot reasonably expect that their prospects for early release on parole would be enhanced by the opportunity of annual hearings." (Morales, supra, 514 U.S. at p. 512; see also Garner, supra, 529 U.S. at pp. 250-251 [explaining Morales turned on the facts that deferral was increased only when the likelihood of release was low and that advanced reconsideration was available when circumstances changed].)

Garner

The United States Supreme Court in Garner again considered an inmate's challenge to a change in parole regulations that decreased the frequency of parole hearings. Prior to the change, when an inmate was initially found unsuitable for parole, the Georgia parole board was required to conduct a further hearing every three years. (Garner, supra, 529 U.S. at p. 247.) The regulation was amended to provide for reconsideration "at least every eight years." (Ibid., quoting the amended rule.)

Garner concluded that two features of the changed regulation, both of which were also present in Morales, militated against finding application of the new regulation to the inmate was barred by ex post facto principles. (Garner, supra, 529 U.S. at p. 254.) The first feature was that Georgia's parole board had discretion in setting the length of the deferral period and that board's policy was to impose a lengthened period when it was " 'not reasonable to expect that parole would be granted during the intervening years.' " (Ibid.)Absent such a finding, the Georgia parole board would apparently set hearings at the times provided by the old rule. The second feature was the regulation's explicit provision of " 'expedited parole reviews in the event of a change in [an inmate's] circumstance or where the Board receives new information that would warrant a sooner review.' " (Ibid.)

The court illustrated the effect of these qualifications with the circumstances of the inmate in that case. (Garner, supra, 529 U.S. at p. 255.) The parole board had deferred the inmate's next parole suitability hearing for the maximum period of eight years. The inmate's history—including a prior escape from prison and a subsequent act of murder— made it unlikely that, even if the parole board were to conduct a suitability hearing in the intervening time, the inmate would be found suitable for parole. However, if a change in circumstances or new information arose that would call the parole board's assessment into question, the inmate could seek earlier review. (Ibid.)Based on these provisions, the court concluded application of the changed regulation did not facially violate ex post facto principles. (Id. at p. 256.)

The court left open the possibility that the Board's exercise of the discretion provided by the statute would, in practice, present a significant risk of increased punishment. (Garner, supra, 529 U.S. at pp. 256-257.) However, the Court, after expressly stating that "[a]bsent a demonstration to the contrary, we presume the Board follows its statutory commands and internal policies in fulfilling its obligations" (id. at p. 256, italics added), found no evidence to undermine the presumption in the record before it.

Subsequent Decisions

Neither Morales nor Garner required the risk of prolonged incarceration be precisely quantified as a predicate to whether application of the new parole rules would be barred by ex post facto protections. Instead, each looked to whether inmates who could expect release (or had a significant chance of being released) at an earlier time under the former rule had a significant risk of being released only at a later time under the new rule. In both cases, the court found that, because subsequent hearings would be delayed only when there was no appreciable likelihood of an earlier release, the new rules did not violate ex post facto protections.

Subsequent cases applying Morales and Garner have similarly examined whether changes in statutory or regulatory rules governing parole may be applied to existing inmates without violating ex post facto principles. Recognizing that the significant inquiry "looks to the challenged provision, and not to any special circumstances that may mitigate its effect on the particular individual" (Weaver v. Graham (1981) 450 U.S. 24, 33), the Ninth Circuit in Brown v. Palmateer (9th Cir. 2004) 379 F.3d 1089 applied Garner and Morales to conclude the changed standards challenged in Brown created a sufficiently significant risk of longer incarceration to violate ex post facto principles.(Brown v. Palmateer, supra, 379 F.3d at pp. 1094-1096.) Similarly, in Himes v. Thompson (9th Cir. 2003) 336 F.3d 848, a prisoner argued application of the new rules was barred by ex post facto principles based on two changes in the rules governing a prisoner's eligibility for "rerelease" after a grant of parole had been revoked: changes in the factors to be considered in deciding "aggravation," and changes in the impact that an affirmative finding of aggravation would have on a prisoner's eligibility for rerelease. (Id. at pp. 854-863.) The court concluded, although the former changes did not create a sufficient risk of longer incarceration to trigger ex post facto concerns (id. at pp. 856-858), the latter change did trigger ex post facto concerns. Under the new rules, the parole authority was limited to a binary choice of either rereleasing the inmate after 90 days or (if it made an affirmative finding of aggravation) entirely denying rerelease to an inmate for the balance of his or her sentence. (Id. at p. 859.) In contrast, the former rules did not mandate outright denial of rerelease as the only available aggravation remedy, but allowed a selection among a graduated series of terms of confinement. (Ibid.)This constriction of available release dates, concluded Himes, was a sufficiently significant increase in the possibility of serving a more lengthy period of incarceration to preclude application of the new rules under ex post facto principles. (Id. at pp. 863-864.)

In Brown, the former statute permitted the parole authority to postpone a scheduled release when there was a " 'psychiatric or psychological diagnosis of present severe emotional disturbance' " (Brown v. Palmateer, supra, 379 F.3d at p. 1091) of the inmate, thus providing evidence the inmate would pose a danger to the community, while the new scheme under which the inmate's release date was postponed permitted postponement " '[i]f the Board finds the [inmate] has a mental or emotional disturbance' " that would pose a danger to society. (Ibid.)Because the former statute required a medical diagnosis as a predicate to postponement, while the latter statute permitted the Board to postpone release if it found a mental or emotional disturbance regardless of the existence of (or even contrary to) a medical diagnosis, the court concluded the requisite risk of longer confinement was present for purposes of ex post facto principles. (Id. at p. 1095.)

D. Marsy's Law

The decisions in Garner and Morales, as well as the application of those cases in other courts, turned on the particular features of the laws under consideration. (See, e.g., Morales, supra, 514 U.S. at p. 509, fn. 5 [expressly declining to consider whether alternative enactments changing the timing of parole hearings could be unconstitutional].) Here, Werner asserts the changes effectuated by Marsy's Law present a distinct set of changes outside the boundaries of the changes that Garner and Morales found not to violate ex post facto principles.

Unlike Garner and Morales, which considered permissive extensions of the maximum possible parole hearing date, Marsy's Law effectuates numerous significant changes: (1) it mandates increases in the minimum deferral date and appears to constrain the ability of the BPH to consider and act on new information or changed circumstances, (2) it reduces the BPH's discretion to order a deferral for less than the maximum possible term and entirely eliminates the BPH's discretion to order a deferral for less than the minimum term, and (3) it increases the maximum deferral date. Garner's ex post facto analysis carefully examined each category of change (Garner, supra, 529 U.S. at pp. 251-252; see also Morales, supra, 514 U.S. at p. 513).

Increased Minimum Deferral Periods

Garner and Morales both emphasized that, under the new laws they considered, a longer deferral would be imposed only when the parole board found it unreasonable to expect parole would be granted in the interim. (Garner, supra, 529 U.S. at p. 254; see also Morales, supra, 514 U.S. at pp. 511-512.) In contrast, Marsy's Law increases the minimum deferral period for all inmates (from one to three years) regardless of the BPH's expectation about whether the inmate may become eligible for parole at an earlier date. (§ 3041.5, subd. (b)(3)(C).) Thus, unlike the laws reviewed by Garner and Morales (which provided the relevant parole boards with discretion to impose the pre-amendment deferral period), there appears to be no discretion under Marcy's Law to tailor the deferral to either a one- or two-year deferral even if the BPH believes an individual inmate will likely achieve sufficient progress in his or her rehabilitation to warrant parole in one or two years.

The People appear to argue the risk of an increased period of incarceration created by lengthier mandatory deferrals between suitability hearings is ameliorated by the inmate's ability to request (and the BPH's ability to order) that a deferred hearing date be advanced on a showing of changed circumstances or new information. Although the People's argument is somewhat murky, the unstated predicates to the argument appear to be (1) any deferral occurs only when the BPH concludes the inmate is not presently suitable for parole, (2) a subsequent hearing will not result in the inmate's release unless some fact changes to render him or her suitable, and (3) under the former system the BPH would schedule the next hearing in one year if it thought the requisite change would possibly occur in that time, or two years if the BPH thought it was not reasonable to expect this possibility would come to fruition. The People appear to argue that, although the three-year minimum prevents the BPH from presently scheduling an earlier hearing based on this possibility, if the requisite change actually occurs then the occurrence will entitle the inmate to an advanced hearing. Thus, as best we can discern, the People argue that in all the circumstances in which an inmate would have actually been released under the former system, the inmate will also be released under the new system, albeit pursuant to a different procedure, and therefore there is no substantial risk of increased incarceration by applying Marsy's Law to all inmates.

Although the possibility of advanced hearings serving as a safety valve was one of the several factors considered in Garner and Morales, neither case suggested that the ability to advance a hearing was itself sufficient to ameliorate ex post facto concerns. (Garner, supra, 529 U.S. at p. 251 [looking at totality of the factors]; Morales, supra, 514 U.S. at p. 509 [same].) More importantly, neither Garner nor Morales evaluated a system like the statutory regime presented by Marsy's Law, in which an inmate is expressly barred from first seeking to trigger the safety valve for a minimum of three years (and is also expressly barred from thereafter seeking to trigger the safety valve for another minimum of three years) even if there are changed circumstances or new information that would have resulted in a favorable suitability determination at a regularly scheduled one- or two-year deferred hearing in which the new information or changed circumstances would be considered. (§ 3041.5, subd. (d)(1).) Although the former statutory scheme would permit annual (or biennial) examinations of changed circumstances or new facts supporting a release on parole, inmates must now wait at least an additional year (or two years) before changed circumstances or new facts supporting a release on parole will be considered, resulting in a significant risk that an inmate will spend a longer period of incarceration under Marsy's Law than under the former system.

Although Marcy's Law nominally appears to allow the BPH sua sponte to advance a subsequent suitability hearing date based on changed circumstances or new information, the absence of any statutory or regulatory requirements (as was present under a 1990 enactment requiring the parole authority to conduct a file review within three years and to act on that information to conduct an earlier parole hearing when appropriate, see Stats. 1990, ch. 1053, § 1) by which the BPH might obtain information for that action appears de facto to relegate advanced hearings to those triggered by the "inmate request" provisions. Because there is no mechanism by which the BPH might sua sponte generate new information, or any mechanism by which the BPH might sua sponte learn of either new information or changed circumstances on which it might act, an inmate who would have obtained a new hearing as early as one year after his or her last hearing must now wait a minimum of three years before obtaining a new hearing. Thus, although sua sponte advanced hearings are nominally available, it appears "the rule's practical implementation . . . will result in a longer period of incarceration than under the earlier rule" (Garner, supra, 529 U.S. at p. 255) because of the absence of any practical method for triggering this advanced hearing.

I am loathe to characterize the risk of increased incarceration as insubstantial because inmates who do obtain rehabilitation sufficient for parole presumably do so over a time continuum. That is, some inmates will achieve the requisite rehabilitation during the first year after denial, while a second group of inmates will achieve the requisite rehabilitation after the first year but during the second year after denial, while the third group requires three years. Under the old system, while the last of these three groups will not incur any additional incarceration as a result of the minimum deferrals required by Marsy's Law, the first and second groups will be certain to suffer an additional incarceration under the minimum deferrals required by Marsy's Law, because they would have been heard at an earlier date but are now barred from being heard until after an additional one or two years.
I acknowledge there exists a fourth category of inmates—those who would not have achieved the requisite rehabilitation even during those three years and would suffer no immediate harm from a three-year denial. However, because this fourth group of inmates would again be subjected to a mandatory three-year denial, the cyclical continuum would recommence and many of those inmates would eventually become members of the first, second, and third groups, two of which groups will be certain to suffer an additional incarceration under the minimum deferrals required by Marsy's Law.

In summary, Marsy's Law, unlike the changes considered in Morales and Garner, increases the minimum deferral period and removes the ability of the BPH to select among a graduated series of deferrals of less than three years. (Himes v. Thompson, supra, 336 F.3d at p. 864 [the switch "from a flexible continuum to a compelled determination that the inmate be returned for his entire remaining sentence . . . increased the 'mandatory minimum' punishment for a particular category of inmates, [citation] creating a 'sufficient risk' of increasing the measure of punishment" under Morales].) The changes will necessarily increase the period of incarceration for those inmates currently found unsuitable for parole but who have a significant chance of becoming suitable in less than two years and, having served their base terms, would be granted immediate release if found suitable. (Cf. Morales, supra, 514 U.S. at p. 513.) Finally, the possibility of an advanced hearing is an inadequate substitute for a scheduled hearing when the BPH reasonably expects that an inmate will become suitable for parole in less than two years, or when circumstances unexpectedly change or new facts unexpectedly develop that would demonstrate suitability during the additional two-year period. The change in the minimum deferral period itself creates a significant risk of prolonged incarceration for inmates who would have received shorter deferral periods under the former statute.

Limits on BPH's Discretion and Increase In Default Maximum Deferral

A second aspect of Marsy's Law that incrementally adds to the risk of a longer period of incarceration is the added constraint placed on the BPH's discretion. First, there appears to be no discretion under Marcy's Law (unlike the laws considered in Garner and Morales)to tailor the deferral to either a one- or two-year deferral even if the BPH believes an individual inmate will likely achieve sufficient progress in his or her rehabilitation to warrant parole in one or two more years.

Second, in addition to raising the minimum deferral period, Marcy's Law also increases the default deferral period to 15 years while simultaneously limiting the BPH's ability to reduce the maximum deferral period. Under the scheme applicable in 1986, the default was the minimum one-year period and the Board had discretion to impose a longer deferral only when it was "not reasonable to expect that parole would be granted at a hearing during the following year[s]." (See Stats. 1982, ch. 1435, § 1, p. 5474.) Moreover, because this longer deferral was permissive only, the BPH had discretion to impose less than the maximum even when it was not reasonable to expect parole would be granted sooner.

Under Marsy's Law, however, the default deferral is now the maximum 15-year deferral (§ 3041.5, subd. (b)(3)(A)), and the BPH's discretion to depart from that maximum period is constrained: it may depart from that default and set a lesser deferral only where it finds, by "clear and convincing evidence," that "consideration of the public and victim's safety does not require a more lengthy period of incarceration." (§ 3041.5, subd. (b)(3)(A).) Because this aspect of Marsy's Law imports (into the departure from the default 15-year deferral) "consideration of the public safety," which is also the determinant of parole suitability, Marsy's Law appears to allow a deferral for less than the maximum only when clear and convincing evidence indicates parole will actually be granted at the next hearing. Thus, the BPH no longer has the discretion (which it apparently had under the former scheme) to depart from the maximum deferral periods and schedule an earlier hearing when it does not expect parole to be granted at an earlier hearing.

Neither party has identified whether this aspect of Marsy's Law changes the quantum of proof previously governing BPH determinations, which precludes assessing whether this change might also raise ex post facto concerns under Calder v. Bull's fourth category.

Because Marsy's Law constrains the discretion to set earlier hearings (and entirely eliminates the discretion to set hearings earlier than three years), rather than expands the discretion to set deferred hearings, it bears scant resemblance to the schemes considered by Garner or Morales. Those cases examined changes that, like California's prior system, granted the BPH discretion to postpone subsequent parole hearings when the BPH made specific findings that an earlier release was unlikely, which convinced those courts that application of the new rules did not create a sufficiently significant increase in the possibility of serving a more lengthy period of incarceration to offend ex post facto principles. (Garner, supra, 529 U.S. at p. 254 [longer deferral permitted where " 'it is not reasonable to expect that parole would be granted during the intervening years' '']; Morales, supra, 514 U.S. at p. 507 [longer deferral only where no reasonable probability to expect that parole would be granted at a hearing during the following year].)

I am unpersuaded by the recent decision in Gilman v. Schwartzenegger (9th Cir. 2011) 638 F.3d 1101. The Gilman court, although acknowledging that "the changes required by Proposition 9 appear to '[create] a significant risk of prolonging [Plaintiffs'] incarceration' " (id. at p. 1108), concluded the availability of the advanced hearings " 'would remove any possibility of harm' to prisoners who experienced changes in circumstances between hearings." (Id. at p. 1109, quoting Morales, supra, 514 U.S. at p. 513, italics added by Gilman.)This conclusion again ignores that the "possibility of harm" remained extant during the three-year blackout period for prisoner-initiated requests. Indeed, when the Gilman court rejected the plaintiffs' argument that there would " 'necessarily be a delay between any meritorious request for an advance hearing and the grant of such hearing' " (Gilman, at p. 1110) as unsupported by the evidence, Gilman did so because the plaintiffs "fail[ed] to explain how these statutory requirements make it 'virtually impossible' for a prisoner to receive an advance hearing within one year of the denial of parole—the previous default deferral period." (Ibid.) However, the explanation for why it is "virtually impossible" for a prisoner to successfully pursue an advance hearing within one year of the denial of parole is that the statute bars an inmate-initiated request for an advanced hearing for three years.

This second set of changes—imposing a longer default maximum deferral period while simultaneously limiting the BPH's discretion to depart from that maximum by requiring (as a condition to departing from the maximum) that there be clear and convincing evidence supporting a prediction that the inmate will achieve rehabilitation before that maximum deferral period term would expire—increases the probability that application of the new rules will cause inmates to serve more lengthy periods of incarceration than they would have served under the old rules. Because ex post facto principles may preclude application of new rules even when an inmate " 'cannot show definitively that he would have gotten a lesser sentence' " (Miller v. Florida (1987) 482 U.S. 423, 432), and instead "[t]he controlling inquiry . . . [is] whether retroactive application of the change . . . created 'a sufficient risk of increasing the measure of punishment attached to the covered crimes' " (Garner, supra, 529 U.S. at p. 250), these changes do create that risk.

It is hard to predict when many inmates will become suitable for parole and, in a significant number of cases, the evidence will not support a prediction (one way or the other) regarding future suitability for parole. Under the former rules, yearly (or bi-yearly) hearings were held to reevaluate suitability and afforded the BPH the ability to respond flexibly to unforeseeable progress at these periodic hearings; the former rules also provided the BPH with discretion to schedule a one-year hearing even if it believed it was unlikely sufficient progress would be achieved but the BPH nevertheless wished to preserve its ability to respond to unexpected progress. Marsy's Law, however, eliminates this discretion and appears to place on the inmate the burden of proving, clearly and convincingly, that future suitability will be attained earlier than 15 years. If it is frequently impossible to make any confident prediction as to whether an inmate will (or will not) achieve the requisite progress, reallocating the burden of proof and simultaneously imposing a 15-year default deferral if that burden is not met effectively removes the prior presumption of periodic scheduled hearings and restricts the BPH's ability to respond timely to change.

In Miller v. Florida, supra, 482 U.S. 423, the court concluded application of a new set of rules could be barred by ex post facto principles even if the change did not automatically lead to a more onerous period of incarceration than under the prior rules. In Miller, the court considered a challenge to application of Florida's new sentencing guidelines. (Id. at p. 425.) The former guidelines provided a presumptive range of three and one-half to four and one-half years for the crime; a sentence within the presumptive range could be imposed with no statement of reasons and, although a judge could depart from the range to impose a higher or lower term, he or she could only do so by providing clear and convincing written reasons for the departure. The new guidelines imposed a higher presumptive range of five and one-half years to seven years for the crime, but were otherwise similar to the prior system. (Id. at pp. 424, 426-427.) The petitioner was sentenced to seven years under the new presumptive range, and the court found application of the new guidelines would violate the ex post facto clause—despite the fact the petitioner could have received the same sentence under the former law—because the changes imposed a higher presumptive minimum while constraining the judge's discretion to impose the lower sentence to cases in which clear and convincing reasons could be articulated for imposing a lower sentence. (Id. at pp. 428, 435.) Marsy's Law similarly lengthens the presumptive period of incarceration, and limits the BPH's discretion to depart from that presumptive period to cases in which clear and convincing evidence supports a departure from the lengthened presumptive period. These interrelated aspects of Marsy's Law further contribute to the risk of prolonged incarceration.

The court in Aragon, supra, 196 Cal.App.4th 483 recently concluded Marsy's Law does not create a risk of prolonged incarceration and therefore application to inmates convicted before its enactment does not offend ex post facto protections. However, I disagree with Aragon, for numerous reasons. First, Aragon concluded section 3041.5, subdivision (d)(3), does not impose a three-year "black-out period" for an inmate to petition to advance a hearing. However, that subdivision reads "[f]ollowing either a summary denial of a request made pursuant to paragraph [(d)(1)], or the decision of the board after a hearing described in [ section 3041.5, subdivision (a)] to not set a parole date, the inmate shall not be entitled to submit another request for a hearing pursuant to [section 3041.5, subdivision (a)] until a three-year period of time has elapsed from the summary denial or decision of the board." (§ 3041.5, (d)(3), italics added.) Because a regularly scheduled parole suitability hearing results (as it did here) in a "decision of the board after a hearing described in [section 3041.5, subdivision (a)] to not set a parole date," I interpret the statute according to its literal provisions, e.g., to impose a three-year blackout period for an inmate to petition for an advanced hearing when parole is denied following a regularly scheduled suitability hearing. Aragon's contrary conclusion rests on imbuing a single word in the subdivision—the word "another"—with the intention to alter the plain meaning of the language (e.g. "the decision of the board after a hearing described in [section 3041.5, subdivision (a)] to not set a parole date") by excluding from its operation most "decision[s] of the board after a hearing described in [section 3041.5, subdivision (a)] to not set a parole date" (i.e. regularly scheduled suitability hearings). Because the overarching intent of this aspect of Marsy's Law appears to be that the time between parole suitability hearings be extended to a minimum of three years, I do not ascribe the same import to the word "another" as did Aragon.

Moreover, even assuming Aragon correctly concluded a prisoner is not initially subject to the three-year blackout period following a regularly scheduled suitability hearing, prisoners who invoke section 3041.5, subdivision (d)(3)'s provisions do become subject to rolling three-year blackout periods. For this reason, the same concerns that are raised by the three-year blackout periods will apply either immediately (under our interpretation) or once the prisoner invokes the changed circumstances clause (under Aragon's interpretation).

I also disagree with Aragon's rationale that the BPH's sua sponte power to advance a hearing "ameliorat[es] ex post facto concerns that the increased deferral period raises." (Aragon, supra, 196 Cal.App.4th 483 at *13.) Although this authority nominally exists, its practical value is dubious because there does not appear to be any administrative mechanism by which a change in circumstances or new information might sua sponte come to the attention of the BPH to trigger a BPH-initiated advanced hearing. Moreover, although Aragon's expression of confidence in the BPH's sua sponte power to ameliorate the ex post facto aspects of Marsy's Law relied heavily on Garner's statement that a court may " 'presume [a parole board] follows its statutory commands and internal policies in fulfilling its obligations' " (Aragon, at *13, quoting Garner, supra, 529 U.S. at p. 256), Garner's full statement was that "[a]bsent a demonstration to the contrary, we presume the Board follows its statutory commands and internal policies in fulfilling its obligations." (Garner, at p. 256, italics added.) It is not known whether the record in Aragon reflected how often the BPH actually uses its sua sponte power (or how the BPH actually disposes of prisoner-initiated petitions), but there is no evidence the BPH (1) has ever used its sua sponte power, and (2) does not almost invariably deny prisoner-initiated petitions. Accordingly, I am less confident than Aragon that the ex post facto concerns can be ameliorated by the presumption described in Garner.

Indeed, there is an additional issue on which Aragon is silent: whether Marsy's Law violates ex post facto protections under an "as applied" analysis. As Garner explained, "[w]hen the rule does not by its own terms show a significant risk, the [prisoner] must demonstrate, by evidence drawn from the rule's practical implementation by the agency charged with exercising discretion, that its retroactive application will result in a longer period of incarceration than under the earlier rule." (Garner, supra, 529 U.S. at p. 255, italics added.) As I understand this language in the context of a rule that would raise significant ex post facto concerns but for an ameliorating clause, evidence showing that the practical implementation of that clause renders the clause illusory provides a separate "as applied" challenge to the retroactive application of the rule. Aragon's analysis contains no discussion of this separate issue.

Aragon's final rationale for concluding Marsy's Law survived the ex post facto challenge was its observation that, under the regime applicable at the time the prisoner committed his offense, the prisoner was subject to a one-year deferral or (with appropriate findings) could have been subjected to a two-year deferral, and was only subjected (under the new regime adopted by Marsy's Law) to a three-year deferral. (Aragon, supra, 196 Cal.App.4th 483 at *13.) Aragon then observed that "[Garner held] the application of an administrative regulation that increased an inmate's parole hearing deferral period from three years to eight years (a five-year increase in the deferral period) did not constitute an ex post facto violation. [Citation.] Thus, Garner strongly supports the conclusion that the Board's setting [the prisoner's] next parole hearing three years from the October 2009 hearing did not constitute an ex post facto violation." (Ibid, fn. omitted.) To the extent this aspect of Aragon's rationale rests on an interpretation that, after Garner, any increases of deferral periods less than five additional years are insulated from ex post facto challenge, that reading of Garner is erroneous. Garner relied heavily on its observation that a feature of the new regime was that the parole board had discretion in setting the length of the deferral period, with a policy to impose a lengthened period when it was " 'not reasonable to expect that parole would be granted during the intervening years' " (Garner, supra, 529 U.S. at p. 254), but absent such a finding the parole board apparently could and would set hearings at the times provided by the old rule. In contrast, Marsy's Law mandates a longer period of confinement than the old regime—even if the BPH believes an additional one year would suffice—and hence is distinct in a critical aspect from the system evaluated and upheld by Garner. For all of these reasons, I disagree with the analysis and conclusions reached in Aragon, and decline to follow it.

E. Conclusion

Increasing the minimum deferral date and constraining the ability of the BPH to consider and act on new information or changed circumstances will adversely impact those inmates whose rehabilitative progress during the two years after an unsuccessful parole hearing may have otherwise warranted parole but must now wait until the three-year blackout period imposed under Marsy's Law. Additionally, lengthening the presumptive period of incarceration and limiting the BPH's discretion to depart from that presumptive period to cases in which clear and convincing evidence supports a departure incrementally increases the risk of a more lengthy incarceration for those inmates who, although not ready for parole before the end of the two-year hiatus under the former rules, have been sufficiently rehabilitated during the ensuing years but were unable to provide clear and convincing evidence to have obtained a parole hearing earlier than the presumptive 15- or 10-year deferrals. Garner teaches that changes must be reviewed "within the whole context of [the state's] parole system" (Garner, supra, 529 U.S. at p. 252), and that ex post facto principles bar application of new rules when they create a significant (rather than a speculative and attenuated) risk of increasing the measure of punishment attached to the covered crimes. (Garner, at pp. 250-251.) I conclude the risk of increased incarceration is real and significant, rather than speculative or attenuated, and therefore the changes to section 3041.5 enacted pursuant to Marsy's Law may not be applied to inmates whose crimes predated the effective date of Marsy's Law.

I would order the BPH to vacate its 2009 order to the extent it scheduled Werner's next parole hearing and to enter a new order scheduling Werner's next parole suitability hearing in accordance with section 3041.5 in effect in 1986. McDONALD, J.


Summaries of

In re Werner

COURT OF APPEAL - FOURTH APPELLATE DISTRICT DIVISION ONE STATE OF CALIFORNIA
Aug 19, 2011
No. D058332 (Cal. Ct. App. Aug. 19, 2011)
Case details for

In re Werner

Case Details

Full title:In re BERNARD WERNER on Habeas Corpus.

Court:COURT OF APPEAL - FOURTH APPELLATE DISTRICT DIVISION ONE STATE OF CALIFORNIA

Date published: Aug 19, 2011

Citations

No. D058332 (Cal. Ct. App. Aug. 19, 2011)