Filed 10/2/13 P. v. Conner CA2/7
                  NOT TO BE PUBLISHED IN THE OFFICIAL REPORTS
California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
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              IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA

                                     SECOND APPELLATE DISTRICT

                                                DIVISION SEVEN


THE PEOPLE,                                                          B236193

         Plaintiff and Respondent,                                   (Los Angeles County
                                                                     Super. Ct. No. BA336892)
         v.

PRISCILLA CONNER et al.,

         Defendants and Appellants.



         APPEALS from judgments of the Superior Court of Los Angeles County,
Lance A. Ito, Judge. Appeal dismissed as to Curtis Conner. Judgment affirmed as
modified as to Priscilla Conner. Judgment affirmed as to Delilah Johnson.
         Charlotte E. Costan, under appointment by the Court of Appeal, for Defendant and
Appellant Priscilla Conner.
         Eric R. Larson, under appointment by the Court of Appeal, for Defendant and
Appellant Curtis Conner.
         Chris R. Redburn, under appointment by the Court of Appeal, for Defendant and
Appellant Delilah Johnson.
         Kamala D. Harris, Attorney General, Dane R. Gillette, Chief Assistant Attorney
General, Lance E. Winters, Assistant Attorney General, Linda C. Johnson and Robert M.
Snider, Deputy Attorneys General, for Plaintiff and Respondent.
                                       __________________________
       Curtis Conner and his daughters, Priscilla Conner and Delilah Johnson, appeal
from the judgments entered after a jury convicted them each of multiple counts of
insurance fraud arising from staged or fabricated car accidents. Curtis,1 the patriarch of
the Conner family and ringleader of the fraudulent scheme, was convicted of 17 counts of
insurance fraud (Pen. Code, § 550, subd. (a))2 and three counts of perjury (§ 118,
subd. (a)). Priscilla, a chiropractor, was convicted of 10 counts of insurance fraud; and
Delilah, a tow-truck driver employed by the family-owned body shop, MB Automotive,
was convicted of four counts of insurance fraud. We affirm the convictions of Priscilla
and Delilah. Because Curtis failed to appear at his sentencing and was declared and
remains a fugitive, we dismiss his appeal.
                 FACTUAL AND PROCEDURAL BACKGROUND
       1. The Investigation
       In April 2004 Anne Luce, a senior investigator for Bristol West Insurance
responsible for reviewing suspicious activity in claims made on vehicle insurance
policies, received a referral from one of the company’s adjusters raising a concern that a
particular accident claim might be fraudulent. In that instance a man who had purchased
a non-owner’s automobile insurance policy three weeks before a November 2003
collision was driving a 1987 Chevrolet Celebrity registered to Anthony McClure when he
rear-ended a 1995 Chevrolet Lumina. The Lumina had been registered earlier that day to
the driver, who took the car to MB Automotive for repair. Bristol West issued a check
for $2,900 payable to the insured, but the check was cashed by Curtis at Avalon Quik
Check. The insured’s passengers made personal injury claims through an attorney named
Daniel Chien and were treated for their injuries (which included identical complaints and
unusual neurological findings) by Priscilla.



1
      Because several members of the families share the same last name, we refer to
them by their first names for convenience and clarity. (See Jones v. ConocoPhillips Co.
(2011) 198 Cal.App.4th 1187, 1191, fn. 1.)
2
       Statutory references are to the Penal Code unless otherwise indicated.

                                               2
       Although the personal injury claims were ultimately dropped, the collision
triggered Luce’s investigation into Curtis’s fraudulent scheme. According to Luce, who
later testified as an insurance fraud expert at trial and as the custodian of records for
Farmers (which had acquired Bristol West and another targeted insurer, Coast National
Insurance), indicators of fraud include the use of salvage cars in claims, repeated use of
the same car and/or address, multiple claims by people who know each other, policies
purchased or vehicles registered near the accident date, repeated appearance of the same
lawyers, doctors, chiropractors, clinics and body shops in the same claims, vehicle
damage inconsistent with the reported collisions and unchanged odometer readings.
       Using an online industry database maintained by the Insurance Services
Organization (ISO), Luce discovered McClure’s Chevrolet Celebrity had been involved
in several other actions within the preceding year and had been flagged by the National
Insurance Crime Bureau.3 Luce’s searches of other names connected with the accident
disclosed multiple claims involving Conner family members,4 MB Automotive, 2800
Rodeo Road,5 the Chien law firm and Avalon Quik Check.6 Using Bristol West’s in-


3
        McClure later pleaded guilty to one felony count of insurance fraud. He was
recruited into the scheme by Juan Richardson Jr., who was raised with the Conner family
in their house at 2800 Rodeo Road in Los Angeles.
4
        In addition to Curtis, Priscilla and Delilah, Curtis’s sons Darryl (owner of
Academy Tow), Jeffrey (employed by MB Automotive) and Billy Joe (owner of
American Tow) were also operatives in the scheme. Priscilla’s son Darrel was a
claimant, a capper (an operative who sells claims to attorneys and medical professionals)
and a stager (who recruited claimants and staged accidents). Juan Richardson Sr., who
lived with the Conner family for many years, and Richardson’s sons were all claimants,
and Juan Jr. worked as a capper and stager for the ring. Billy Lovely, an employee of
MB Automotive and American Tow, and members of his family also acted as claimants
in the scheme.
5
       Luce dubbed the scheme the “Rodeo Ring” because the address of the Conner
family home, 2800 Rodeo Road, was used repeatedly for registration of cars and filing of
claims.
6
      Check cashers are used to avoid deposit of insurance payments into bank accounts.
The manager of Avalon Quik Check agreed to pre-approve checks presented by Curtis or
any family members or friends because Curtis and MB Automotive were such good

                                               3
house claim files, the ISO database and other resources (including the Department of
Motor Vehicles (DMV) online database), Luce identified a group of fraudulent claims
she believed were connected. She presented the claims to the California Department of
Insurance, which confirmed an ongoing investigation of these related claims but closed
the investigation without action because of a lack of resources.
       In May 2005 Luce presented about 20 claims to the Los Angeles Police
Department (LAPD). LAPD eventually accepted a number of the claims for possible
prosecution in November 2005. After investigating the claims for more than two years,
detectives from LAPD arrested 46 suspects based on their connection to the Rodeo Ring,
including Curtis, Priscilla and Delilah.
       2. Trial Proceedings
       Charges were initially filed against 42 defendants. By early 2009, after a lengthy
preliminary hearing and multiple negotiated resolutions, 13 defendants were held to
answer charges; by November 2010 only six remained scheduled for trial. The amended
information on which the case was tried contained 26 counts of insurance fraud against
the six defendants and three perjury counts against Curtis.7 Priscilla was charged with 14
counts of insurance fraud; Delilah was charged with four counts.
       In November 2010 Priscilla moved to sever her trial from that of the remaining
defendants on the ground of jury confusion and prejudicial association with other
defendants. The trial court denied the motion.
       The People presented their case through LAPD Detective Juan Camacho, who
relied on public records and witness statements, and investigators from Farmers (Luce),
State Farm Insurance Co., Mercury Insurance Co. and Allstate Insurance Co. These
witnesses established that many of the reported collisions involved one vehicle rear-
ending a second, which then rear-ended a third. Several vehicles appeared in multiple


customers. Curtis was able to call ahead to ensure the check would be cashed for the
person presenting it, and Avalon habitually waived the co-payee’s presence.
7
       The perjury counts were based on Curtis’s fraudulent applications for driver’s
licenses and identification cards.

                                             4
claims. With respect to five of the cars involved in multiple claims, the odometer
remained unchanged, suggesting these collisions were fabricated and never occurred.
MB Automotive was almost always the repair shop for both parties in the collision, and
the drivers and passengers were often Conner family members or coworkers. MB
Automotive typically obtained the vehicles through lien sales or salvage and then sold
them to employees or family members. Three different attorneys were shown to have
been involved in the ring, all of whom were referred claims by a common office
administrator, Jae Chang.
       With respect to the four counts against Delilah, she was the registered owner or
driver of three different vehicles rear-ended in four separate incidents by other persons
linked to the scheme. In two of the accidents the car driven by or registered to Delilah
collided with a 1996 Nissan 240SX registered to Robert Williams, an alias used by
Curtis. A 1996 Dodge Caravan driven by Delilah (and registered in her name two weeks
previously) was totaled in a December 2003 collision involving the Nissan. In May 2004
the same Caravan was rear-ended again, and Delilah (using the name Dee Johnson)
collected a $4,200 check that was cashed at Avalon Quik Check.8 A fourth collision in
July 2006 involved a salvaged vehicle gifted to Delilah by Michael Brown (of MB
Automotive) and insured by her a month earlier. She and her three passengers were
compensated for substantial personal injury claims. All vehicles involved in these
collisions were inspected by MB Automotive, which provided estimates for the property
damage claims.
       The evidence showed that Priscilla treated approximately 15 of the 50 drivers and
passengers who made claims for injuries in the charged incidents, including claimants
injured in different vehicles involved in the same accident. A board-certified chiropractic
orthopedist testified that all of Priscilla’s reports contained fabricated narratives. Her
physical findings were identical among patients; for instance, cervical spine findings

8
        A State Farm investigator reviewing the accident after the claim had been paid
opined the damage to the cars involved was not consistent with the details of the reported
collision. He concluded the claim was fraudulent and should not have been paid.

                                              5
were identical for eight different patients in nine collisions and appeared to be
constructed by cutting and pasting identical text. She also coded patient visits to produce
higher billing, including levels reserved for patients with some risk of morbidity, even
though X-rays were never taken.
       The court also admitted evidence, over Priscilla’s objection, of statements she
made at an October 2007 deposition taken by Farmers Insurance that Luce attended.
Discussing injuries to two patients whose claims had been submitted by Irvin Gevurtz,
one of the attorneys associated with the fraud scheme, Priscilla stated that each of the
doctors at the La Tijera clinic where she worked administered his or her own office. She
handled her own paperwork and billings but later sent some files to outside services. She
documented treatment on forms with daily notes and later transferred information from
her charts to billing forms. She reviewed her typewritten reports before she signed them.
       After the People rested, the charges against Darryl Conner (Curtis’s son and
Priscilla and Delilah’s brother) were dismissed based on insufficient evidence. (§ 1118.1.)
When trial resumed, Juror 8 sent the judge a note stating he had seen Darryl driving his tow
truck shortly after the dismissal. Darryl stopped the truck and, after explaining the charges
against him had been dismissed, greeted Juror 8. At a hearing about the encounter Juror 8
admitted he had told Juror 9 about the event. Juror 9 told the court Juror 8 had described
the incident and had acknowledged shaking Darryl’s hand and congratulating him. Juror 9
also stated he had repeated the story to Juror 6. After discussing the matter with counsel,
the court discharged Juror 8 but declined to discharge Jurors 6 and 9.
       None of the defendants testified at trial. Priscilla defended the charges on the
theory the medical reports apparently signed by her had been forged and she had no
knowledge the claims were fraudulent. Juan Richardson Jr. testified on her behalf:
Priscilla was his god-aunt, and they both lived at 2800 Rodeo Road. Juan Jr.
acknowledged working as a capper and stager of accidents when he was employed as a
tow truck driver by American Tow. He later worked as a stager for Chang, earning $700
in cash for each passenger. He acknowleged targeting innocent drivers in staged
collisions, as well as drivers he had solicited. Juan Jr. directed McClure and others to

                                              6
Priscilla for care but never told her the collisions had been staged or the injuries faked.
Richardson believed Chang fabricated medical reports and, on at least one occasion, had
forged Priscilla’s signature. Priscilla also presented evidence that signatures can be
forged through the use of software like Adobe Photoshop.
       3. Verdicts and Sentencing
       The jury convicted Curtis on all counts and, as to the insurance fraud counts,
found true the special allegation of a taking in excess of $100,000 (§ 186.11, subd. (a)).
Priscilla was convicted on 10 of 14 counts with a true finding on the same special
allegation. Delilah was convicted on all four counts charged.
       Curtis failed to appear for sentencing and was sentenced in absentia to an
aggregate term in state prison of 26 years. Priscilla was sentenced to an aggregate term
of 14 years in state prison, consisting of three years on the principal term (count 15), plus
a two-year excessive-taking enhancement under section 186.11, subdivision (a), and
consecutive one-year subordinate terms (one-third the middle term) on the remaining
nine counts. Delilah was sentenced to an aggregate term of six years in county jail,
consisting of the middle term of three years on the principal term (count 25) and
consecutive one-year terms on the three remaining counts. In addition to other fines and
assessments, Curtis and Priscilla were each fined $500,000 under section 550,
subdivision (a); and Delilah was fined $10,000 under the same section. Curtis was
ordered to pay $250,669 in direct victim restitution. Priscilla was also ordered to pay
$271,220 and Delilah $78,681 in direct victim restitution.
                                     CONTENTIONS
       Priscilla contends the trial court abused its discretion in denying her motion to
sever her trial from that of her codefendants, violated her Sixth Amendment right of
confrontation by admitting insurance fraud reports as substantive evidence of guilt,
denied her a fair trial by refusing to dismiss Jurors 6 and 9 and abused its discretion by
allowing testimony about her “so-called admissions” at the 2007 deposition as evidence
against her on charges preceding that date. She also contends her convictions were not
supported by substantial evidence.

                                              7
       Delilah contends the convictions on three of the counts against her, which she
asserts were based on allegations of conspiracy, must be reversed because of the lack of
proof of overt acts. She also contends the court deprived her of her right to a jury trial in
imposing victim restitution fines and erred by failing to instruct the jury on the legal
meaning of intent to defraud.
       Curtis contends the court erred in imposing a two-year, rather than a one-year,
enhancement under section 186.11, subdivision (a). He also contends the minute order
from the sentencing hearing should be amended to reflect the fact he was not sentenced to
a term of seven years for count one. Curtis also contends this court should deny the
People’s motion to dismiss under the fugitive disentitlement doctrine based on the ground
of judicial efficiency.
                                       DISCUSSION
       1. Curtis’s Appeal Is Dismissed
       “‘That the court, independent of statutory authority, has power to dismiss the
appeal of an appellant who is a fugitive from justice has long been accepted as a proper
exercise of the jurisdiction of the appellate courts of this state.’” (Polanski v. Superior
Court (2009) 180 Cal.App.4th 507, 531 (Polanski); accord, People v. Puluc-Sique (2010)
182 Cal.App.4th 894, 897; People v. Kubby (2002) 97 Cal.App.4th 619, 622.) “While the
courts’ rationale for their power to dismiss the criminal appeal of a fugitive from justice
has been variously stated, it has ultimately been premised on the proposition that a
fugitive has no right to ask the courts to review the very judgment that the fugitive
flouts.” (Kubby, at p. 623; accord, Polanski, at p. 531 [“‘[a] party to an action cannot,
with right or reason, ask the aid and assistance of a court in hearing his demands while he
stands in an attitude of contempt to legal orders and processes of the courts of this
state’”].)
       “The disentitlement doctrine ‘serves an important deterrent function’ (Ortega-
Rodriguez v. United States (1993) 507 U.S. 234, 242 [113 S.Ct. 1199, 122 L.Ed.2d 581]
(Ortega-Rodriguez)): it discourages the felony of escape and encourages voluntary
surrenders. [Citation.] Disentitlement also ‘“promotes the efficient, dignified operation”

                                              8
of the courts.’ [Citation.] Finally, in appropriate cases, disentitlement protects the
[P]eople from prejudice by the passage of time in the event of a reversal on appeal.
(Ortega-Rodriguez, at p. 249 [disentitlement may be ‘an appropriate response’ where ‘a
long escape . . . so delay[s] the onset of appellate proceedings that the Government would
be prejudiced in locating witnesses and presenting evidence at retrial after a successful
appeal’] [citation].)” (Polanski, supra, 180 Cal.App.4th at p. 533.)
       Although fugitive disentitlement remains “a discretionary tool of the courts that
may only be applied when the balance of all equitable concerns leads the court to
conclude that it is a proper sanction for a party’s flight” (Polanski, supra,
180 Cal.App.4th at p. 533), we perceive no reason not to apply the doctrine to dismiss
Curtis’s appeal in this case. Curtis is now 79 years old. Even were we inclined to
consider the issues he raises on appeal, an outcome in his favor would have minimal
effect on the length of time he serves under his sentence of 26 years, which, were he to be
recaptured and incarcerated, will likely extend beyond the end of his natural life.
       2. The Trial Court Did Not Abuse Its Discretion in Denying Priscilla’s Motion To
          Sever or Violate Her Constitutional Right to Due Process
       “When two or more defendants are jointly charged with any public offense,
whether felony or misdemeanor, they must be tried jointly unless the court orders
separate trials.” (§ 1098; see People v. Coffman and Marlow (2004) 34 Cal.4th 1, 40
[“[j]oint trials are favored because they ‘promote [economy and] efficiency’ and ‘“serve
the interests of justice by avoiding the scandal and inequity of inconsistent verdicts”’”].) 9

9
         The efficiency and benefits of a joint trial were described in People v. Bean (1988)
46 Cal.3d 919, 939-940: “A unitary trial requires a single courtroom, judge, and court
attachés. Only one group of jurors need serve, and the expenditure of time for jury voir
dire and trial is greatly reduced over that required were the cases separately tried. In
addition, the public is served by the reduced delay on disposition of criminal charges both
in trial and through the appellate process.” (Accord, People v. Soper (2009) 45 Cal.4th
759, 772; see People v. Ochoa (1998) 19 Cal.4th 353, 409 [joinder “‘ordinarily avoids
needless harassment of the defendant and the waste of public funds which may result if
the same general facts were to be tried in two or more separate trials [citation], and in
several respects separate trials would result in the same factual issues being presented in
both trials’”].)

                                              9
Thus, there is a legislative (and judicial) preference for joint trials when authorized. (See
People v. Letner and Tobin (2010) 50 Cal.4th 99, 150.)
       When a joint trial is authorized under section 1098, the trial court retains
discretion to order separate trials if necessary to avoid undue prejudice to one of the
defendants. (People v. Letner and Tobin, supra, 50 Cal.4th at p. 150 [“‘the court may, in
its discretion, order separate trials “in the face of an incriminating confession, prejudicial
association with codefendants, likely confusion resulting from evidence on multiple
counts, conflicting defenses, or the possibility that at a separate trial a codefendant would
give exonerating testimony”’”]; accord, People v. Box (2000) 23 Cal.4th 1153, 1195,
disapproved on another ground in People v. Martinez (2010) 47 Cal.4th 911, 948, fn. 10;
see People v. Lewis (2008) 43 Cal.4th 415, 452 [“[t]he court may, in its discretion, order
separate trials if, among other reasons, there is an incriminating confession by one
defendant that implicates a codefendant, or if the defendants will present conflicting
defenses”]; see also People v. Carter (2005) 36 Cal.4th 1114, 1153 [“‘[r]efusal to sever
may be an abuse of discretion where: (1) evidence on the crimes to be jointly tried would
not be cross-admissible in separate trials; (2) certain of the charges are unusually likely to
inflame the jury against the defendant; (3) a ‘weak’ case has been joined with a ‘strong’
case, or with another ‘weak’ case, so that the ‘spillover’ effect of aggregate evidence on
several charges might well alter the outcome of some or all of the charges; and (4) any
one of the charges carries the death penalty or joinder of them turns the matter into a
capital case’”].)
       A court’s denial of a motion for severance is reviewed for an abuse of discretion,
“judged on the facts as they appeared at the time of ruling.” (People v. Coffman and
Marlow, supra, 34 Cal.4th at p. 41; see People v. Balderas (1985) 41 Cal.3d 144, 171
[appellate court reviews trial court’s denial of pretrial severance motion based on the
facts known and the showing made at the time of the motion itself].) “Even if a trial
court abuses its discretion in failing to grant severance, reversal is required only upon a
showing that, to a reasonable probability, the defendant would have received a more
favorable result in a separate trial.” (Coffman and Marlow, at p. 41.) Finally, though a

                                              10
trial court’s ruling on the motion to sever was proper when made, a reviewing court
“‘may nevertheless reverse a conviction where, because of the consolidation, a gross
unfairness has occurred such to deprive the defendant of a fair trial or due process of
law.’” (People v. Cleveland (2004) 32 Cal.4th 704, 726; accord, People v. Lewis and
Oliver (2006) 39 Cal.4th 970, 998.)
       Priscilla contends the court should have severed her trial from that of the other
defendants (or, in the alternative, impaneled two juries) because she claims she was
unfairly prejudiced through association with her family. As Priscilla recognized, the
People intended to introduce evidence of Curtis’s and Delilah’s former convictions for
insurance fraud,10 as well as a videotape of a pretrial police interview of Curtis and
Delilah that Priscilla claims would not have been admissible against her in a separate
trial. In addition, Priscilla argues, the evidence against her was weak and susceptible to
her defense that the medical reports had been forged without her knowledge. Indeed,
Priscilla points out the jury acquitted her on four of the 14 counts against her—the ones
in which she was the sole defendant.
       Notwithstanding Priscilla’s contention she was convicted because of her
association with her family, this case presented a textbook example of the efficiencies of
joint trials. (See People v. Keenan (1988) 46 Cal.3d 478, 499-500 [“‘classic’ case for
joint trial is presented when defendants are charged with common crimes involving
common events and victims”].) Under circumstances similar to those here, then-Court of
Appeal Justice Corrigan, writing for Division Three of the First District, rejected a
defendant’s claim the trial court’s failure to sever his trial from that of his codefendant
had violated his constitutional rights. (See People v. Singh (1995) 37 Cal.App.4th 1343,
1374-1375.) In Singh the defendant chiropractor who was convicted of fraudulent
insurance billings contended he had been unduly prejudiced by the evidence of his
codefendant’s conduct as the driver and stager of multiple automobile accidents and


10
      In 1990 Priscilla was charged with one count of forgery but was acquitted. Curtis
and Delilah were convicted of fraud during the same prosecution.

                                              11
preparer of fraudulent declarations. The court concluded the evidence was not unduly
prejudicial, was in fact probative, and, in light of the Legislature’s preference for joint
trials, was “a ‘“classic”’ case” warranting joint trial because of the “‘common crimes
involving common events and victims.’” (Id. at p. 1374.)
       In the instant case the People presented 50 witnesses and more than 700 exhibits
over the course of three months. Of the 29 counts tried against five defendants, Priscilla
was a defendant in 14, 10 of which were filed jointly against other defendants. Her
individually signed medical reports and bills linked her to multiple collisions, including
those in which other members of the ring were charged. The evidence against her was no
weaker than that against other defendants; indeed, her brother Darryl was dismissed at the
close of the People’s case because the evidence failed to implicate him. In short, the cost
of separately trying the charges against her would have been, as the People argue,
staggering, and Priscilla has failed to establish the “substantial danger of prejudice” that
might have justified separate trials. (People v. Vines (2011) 51 Cal.4th 830, 855.) There
was no abuse of discretion in the denial of her motion. We are equally convinced the
denial of the motion to sever did not result in “gross unfairness” to Priscilla so as to
violate her right of due process. (See People v. Cleveland, supra, 32 Cal.4th at p. 726.)
       3. Priscilla’s Sixth Amendment Right of Confrontation Was Not Violated By
          Admission of the Contents of the Farmers Insurance Claims Files as Business
          Records
       The confrontation clause provides that “[i]n all criminal prosecutions, the accused
shall enjoy the right . . . to be confronted with the witnesses against him.” (U.S. Const.,
6th Amend.) The purpose of that clause is to “ensure the reliability of the evidence
against a criminal defendant by subjecting it to rigorous testing in the context of an
adversary proceeding before the trier of fact.” (Maryland v. Craig (1990) 497 U.S. 836,
845 [110 S.Ct. 3157, 111 L.Ed.2d 666].) “A hearsay statement that otherwise satisfies a
statutory exception may be admitted against a criminal defendant without violating the
confrontation clause as long as the statement is not ‘testimonial.’” (People v. Lopez
(2012) 55 Cal.4th 569, 590 (Lopez), citing Crawford v. Washington (2004) 541 U.S. 36


                                              12
[124 S.Ct. 1354, 158 L.Ed.2d 177] (Crawford).) Thus, “[a]dmission of a relevant
business record does not violate the confrontation clause unless its contents qualify as a
testimonial statement. The Supreme Court cases counsel that it is the formality of the
statement and the primary purpose for which it was made that resolve that question. A
notation made for the primary purpose of ‘the administration of an entity’s affairs’
[citation] is not testimonial.” (Lopez, at p. 589, citing Melendez-Diaz v. Massachusetts
(2009) 557 U.S. 305, 324 [129 S.Ct. 2527, 174 L.Ed.2d 314] (Melendez-Diaz).)11
       Since its decision in Crawford the Supreme Court has struggled to identify a
coherent test for courts to apply in identifying those statements that are testimonial in
nature. (See Melendez-Diaz, supra, 557 U.S. at pp. 310, 324 [finding evidence
certificates prepared by laboratory analyst attesting substance was cocaine were
testimonial; “[w]hether or not they qualify as business or official records, the analysts’
statements here—prepared specifically for use at petitioner’s trial—were testimony
against petitioner, and the analysts were subject to confrontation under the Sixth
Amendment”]; Bullcoming v. New Mexico (2011) 564 U.S. ___ [131 S.Ct. 2705, 180
L.Ed.2d 610] [certified blood alcohol report prepared by nontestifying laboratory analyst
was testimonial]; Williams v. Illinois (2012) 567 U.S. ___ [132 S.Ct. 2221, 183 L.Ed.2d
89] (plur. opn. by Alito, J.) (Williams) [uncertified results of DNA analysis performed by
nontestifying laboratory analysts were nontestimonial; primary purpose of report was to
assist in identification of rapist not to convict him].)
       Wrestling with the same issue, the California Supreme Court recently issued a trio
of decisions examining the various approaches of the United States Supreme Court

11
        In Crawford the United States Supreme Court concluded that nontestimonial
hearsay remains subject to state hearsay law and may be exempted from confrontation
clause scrutiny entirely. (Crawford, supra, 541 U.S. at p. 68.) But where testimonial
hearsay is involved, “the Sixth Amendment demands what the common law required:
unavailability and a prior opportunity for cross-examination.” (Ibid.) While the Supreme
Court declined to provide a comprehensive definition of “‘testimonial’” (ibid.), the term
includes “‘statements that were made under circumstances which would lead an objective
witness reasonably to believe that the statement would be available for use at a later
trial.’” (Id. at p. 52.)

                                               13
justices in these cases and concluded: “Although the high court has not agreed on a
definition of ‘testimonial,’ a review of [its] decisions indicates that a statement is
testimonial when two critical components are present. [¶] First, to be testimonial the
out-of-court statement must have been made with some degree of formality or solemnity.
[Citations.] The degree of formality required, however, remains a subject of dispute in
the United States Supreme Court. [Citations.] [¶] Second, all nine high court justices
agree that an out-of-court statement is testimonial only if its primary purpose pertains in
some fashion to a criminal prosecution, but they do not agree on what the statement’s
primary purpose must be.” (Lopez, supra, 55 Cal.4th at pp. 581-582; see People v.
Mercado (2013) 216 Cal.App.4th 67, 86.)
       In Lopez the Court treated the first prong—the degree of formality—as a
controlling threshold determination: Because the blood alcohol report at issue had not
been “made with the requisite degree of formality or solemnity to be considered
testimonial,” the Court concluded it need not consider the reason the report had been
generated. (Lopez, supra, 55 Cal.4th at p. 582.)12 The Court took a slightly different tack
in People v. Dungo (2012) 55 Cal.4th 608: “We begin with the issue of formality. An
autopsy report typically contains two types of statements: (1) statements describing the
pathologist’s anatomical and physiological observations about the condition of the body,
and (2) statements setting forth the pathologist’s conclusions as to the cause of the
victim’s death. The out-of-court statements at issue here . . . fall into the first of the two
categories. These statements, which merely record objective facts, are less formal than
statements setting forth a pathologist’s expert conclusions. They are comparable to

12
       Lopez is one of three cases issued the same day addressing confrontation clause
challenges to the admission of technical reports whose contents were described by
someone other than the person conducting the test. The others are People v. Dungo
(2012) 55 Cal.4th 608 (Dungo) and People v. Rutterschmidt (2012) 55 Cal.4th 650
(Rutterschmidt). Justice Liu, who dissented from the decision in Lopez, disagreed with
the Court’s reductive analysis of Williams that emphasized the formal nature of the
statement and argued “the proper determination of a statement’s formality for purposes of
the confrontation clause is closely intertwined with the nature and purpose of the process
that produced the statement.” (Lopez, supra, 55 Cal.4th at p. 594 (dis. opn. of Liu, J.).)

                                              14
observations of objective fact in a report by a physician who, after examining a patient,
diagnoses a particular injury or ailment and determines the appropriate treatment. Such
observations are not testimonial in nature.” (Id. at p. 619.) Notwithstanding its threshold
conclusion the autopsy report consisted of non-testimonial statements, the Court
continued: “The usefulness of autopsy reports, including the one at issue here, is not
limited to criminal investigation and prosecution; such reports serve many other equally
important purposes. For example, the decedent’s relatives may use an autopsy report in
determining whether to file an action for wrongful death. And an insurance company
may use an autopsy report in determining whether a particular death is covered by one of
its policies. [Citation.] Also, in certain cases an autopsy report may satisfy the public’s
interest in knowing the cause of death, particularly when (as here) the death was reported
in the local media. In addition, an autopsy report may provide answers to grieving family
members. [¶] In short, criminal investigation was not the primary purpose for the
autopsy report’s description of the condition of [the] body; it was only one of several
purposes. The presence of a detective at the autopsy and the statutory requirement that
suspicious findings be reported to law enforcement do not change that conclusion. The
autopsy continued to serve several purposes, only one of which was criminal
investigation. The autopsy report itself was simply an official explanation of an unusual
death, and such official records are ordinarily not testimonial.” (Id. at pp. 620-621;
accord, People v. Mercado, supra, 216 Cal.App.4th at pp. 88-90.)13

13
        Dungo by no means ended the debate over this aspect of the confrontation clause:
Justice Corrigan, joined by Justice Liu, dissented from the analysis in Dungo, arguing the
majority had, in this instance, “conflate[d] the two prongs of the testimonial
determination: formality and primary purpose” by creating a distinction between
conclusions (which it treated as formal) and observations (which it viewed as informal).
(Dungo, supra, 55 Cal.4th at p. 639 (dis. opn. of Corrigan, J.).) In the dissent’s view the
autopsy report, although not certified, was signed and dated and was “manifestly an
official report.” (Id. at p. 641.) Moreover, the majority’s “blanket approach” on the
second prong relating to purpose—that is, finding the statements nontestimonial because
they were created for multiple purposes—improperly eschewed the “highly fact
dependent” inquiry required by Supreme Court precedent. (Id. at p. 644.) Justice
Corrigan suggested the appropriate inquiry should instead be “whether, viewed

                                             15
       No matter how courts apply these decisions in the future, it is unlikely the records
objected to in this case would be viewed as testimonial. Priscilla describes these records
as “reports in which insurance investigators and adjustors alleged that the accidents were
staged and the claims were fraudulent” and claims the investigators were acting as a
“de facto arm of the police.” These reports, however, although automatically part of the
record on appeal (Cal. Rules of Court, rule 8.320(e)), were not transmitted to this court
(see id., rule 8.224), and the only factual description contained in the record is the court
reporter’s list of exhibits admitted during Luce’s testimony. The list includes insurance
applications, correspondence between the insurers and counsel and claimants, damage
appraisals and photographs, tow bills, medical reports and billing records, claim checks,
DMV records and other documents that appear to be routine records maintained in the
Farmers claim files. None of these documents may be considered “testimonial” as
applied in Williams, Lopez or Dungo: They were not created with any degree of
formality, and they served a plain business function unrelated to the ultimate criminal
prosecution.
       There are two exceptions: an audio recording (with transcript) of an interview
conducted by a Bristol West employee with Delilah Johnson in July 2006, a day after




objectively, a sufficiently formal statement was made for the primary purpose of
establishing or proving past facts for possible use in a criminal trial.” (Ibid.)
        Justice Chin, however, who wrote separately in support of the decision considered
it key that the opinion concerning the manner of death came from the testifying expert
who was subject to full cross-examination and not from the report, which was not placed
in evidence. (Dungo, supra, 55 Cal.4th at p. 632 (conc. opn. of Chin, J.).) In Justice
Chin’s view the statements in the autopsy report concerning the condition of the victim’s
body were “objective observations of the type routinely placed into autopsy reports,
whether or not a specific suspect exists. They [were] not statements with a primary
purpose of accusing defendant, or anyone else, of criminal conduct. The fact that the
larynx and hyoid bone were not broken, like most of the other observations memorialized
in the report, ‘was not inherently inculpatory.’ [Citation.] There was no prospect of
fabrication or incentive to produce anything other than an accurate description of the state
of the body.” (Ibid.; see People v. Barba (2013) 215 Cal.App.4th 712, 738.)

                                             16
Delilah reported an accident; and a document prepared by Luce entitled “Bristol
West/Coast National Insurance Claim Investigation Timelines.”
       Neither of these records, however, poses a confrontation clause issue. The
recording, which presumably contains statements by the employee as well as Delilah, is
not necessarily hearsay as the statements were not admitted for their truth but for the
purpose of establishing a claim was made. (See Evid. Code, § 1200; People v. Harvey
(1991) 233 Cal.App.3d 1206, 1220 [“[i]f the statement is received as proof of something
other than the truth of the statement itself, it is not hearsay”]; People v. Henry (1948)
86 Cal.App.2d 785, 789 [“[t]here is a well-established exception or departure from the
hearsay rule applying to cases in which the very fact in controversy is whether certain
things were said or done and not as to whether these things were true or false”], quoted in
Weathers v. Kaiser Foundation Hospitals (1971) 5 Cal.3d 98, 109.) Luce’s report, on the
other hand, might properly be considered testimonial, but she testified at trial and was
thoroughly cross-examined about her report.
       In sum, Priscilla has failed to identify the reports she claims violated her right of
confrontation. Even assuming one of the exhibits listed might have been testimonial in
nature and was not created by Luce,14 the possible violation of Priscilla’s right of
confrontation through that single document would constitute harmless error. As the
Court explained in People v. Pearson (2013) 56 Cal.4th 393, “‘[W]e need not decide
whether, following our decision in Dungo, the evidence here is testimonial because any
error in the admission of the autopsy reports and [the doctor’s] testimony was harmless
beyond a reasonable doubt. [Citations.] [¶] “The beyond-a-reasonable-doubt standard of
Chapman[15] ‘requir[es] the beneficiary of a [federal] constitutional error to prove beyond
a reasonable doubt that the error complained of did not contribute to the verdict
obtained.’ [Citation.] ‘To say that an error did not contribute to the ensuing verdict is . . .

14
       The People also point out that Detective Camacho’s testimony in large part
tracked Luce’s testimony. The testimony of both witnesses was based on the documents
contained in the insurance claim files, and both witnesses were cross-examined.
15
       Chapman v. California (1967) 386 U.S. 18 [87 S.Ct. 824, 17 L.Ed.2d 705].

                                              17
to find that error unimportant in relation to everything else the jury considered on the
issue in question, as revealed in the record.’ [Citation.] Thus, the focus is what the jury
actually decided and whether the error might have tainted its decision. That is to say, the
issue is ‘whether the . . . verdict actually rendered in this trial was surely unattributable to
the error.’”’” (People v. Mercado, supra, 216 Cal.App.4th at p. 91, quoting Pearson, at
p. 463; see also Rutterschmidt, supra, 55 Cal.4th at p. 661 [“[v]iolation of the Sixth
Amendment’s confrontation right requires reversal of the judgment against a criminal
defendant unless the prosecution can show ‘beyond a reasonable doubt’ that the error was
harmless”].)
       4. The Trial Court Did Not Err in Admitting Priscilla’s 2007 Deposition
          Testimony About Her Handling of Reports and Billing Statements
       At trial the People proffered statements Priscilla made during a 2007 deposition
relating to the manner in which she prepared treatment reports and billing statements.
Priscilla objected on the grounds of relevance and hearsay. The trial court overruled the
objections, allowing introduction of testimony concerning Priscilla’s preparation of
reports and billing statements. Priscilla renews her objections and additionally argues
admission of the testimony violated her privilege against self-incrimination. “We review
the trial court’s determination as to the admissibility of evidence (including the
application of the exceptions to the hearsay rule) for abuse of discretion [citations] and
the legal question whether admission of the evidence was constitutional de novo.”
(People v. Mayo (2006) 140 Cal.App.4th 535, 553; see also People v. Lee (2011)
51 Cal.4th 620, 643 [“[r]ulings regarding relevancy and Evidence Code section 352 are
reviewed under an abuse of discretion standard”]; People v. Seijas (2005) 36 Cal.4th 291,
304 [proper standard for review of constitutional challenges is “‘independent, de novo,
review rather than the more deferential abuse of discretion test’”].)
       Priscilla first contends a deposition authorized in civil proceedings under Code of
Civil Procedure section 2025.620 may only be used as contemplated in that statute, that
is, by a party to the action in the same case. (See Code Civ. Proc., § 2025.620, subd. (a)
[“[a]ny party may use a deposition for the purpose of contradicting or impeaching the


                                              18
testimony of the deponent as a witness, or for any other purpose permitted by the
Evidence Code,” italics added].) This purported limitation on the use of deposition
testimony in other actions has no support in the case law. As Evidence Code section 351
provides, “all relevant evidence is admissible,” subject to statutory exceptions or
constitutional prohibitions. The question instead is whether the deposition testimony,
which was presented for its truth in support of the People’s case, is admissible pursuant to
a hearsay exception and was not otherwise prohibited by the federal or state constitution.
(See Evid. Code, §§ 1200, 1201.)
       The statements of a party are admissible under Evidence Code section 1220,16
which has been broadly construed. (See People v. Horning (2004) 34 Cal.4th 871, 898 &
fn. 5 [“[t]he hearsay rule does not bar statements when offered against the declarant in an
action in which the declarant is a party”; § 1220 “covers all statements of a party,
whether or not they might otherwise be characterized as admissions”]; People v.
Carpenter (1999) 21 Cal.4th 1016, 1049 [“The evidence was of statements, defendant
was the declarant, the statements were offered against him, and he was a party to the
action. Accordingly, the hearsay rule does not make the statements inadmissible.”].)
Priscilla’s testimony about how she ordinarily documented and billed for treatment in
2007 was plainly relevant to the charges against her even if the charges predated her
testimony; that concern went to the weight the jurors might have placed on the evidence,
not its admissibility. (People v. Rodrigues (1994) 8 Cal.4th 1060, 1115-1116 [“we must
assume that the jurors were intelligent people and that they understood and took into
account the differences identified . . . on appeal”].)
       Attempting to invoke a constitutional bar to the testimony, Priscilla argues use of
statements from her civil deposition as substantive evidence in an unrelated criminal case
eviscerated her privilege against self-incrimination; in other words, the People should not

16
        Evidence Code section 1220 provides: “Evidence of a statement is not made
inadmissible by the hearsay rule when offered against the declarant in an action to which
he is a party in either his individual or representative capacity, regardless of whether the
statement was made in his individual or representative capacity.”

                                              19
be permitted to exploit testimony they could not have compelled in the criminal
proceeding itself. Although Priscilla did not raise this issue below and has forfeited it,
simple reflection reveals the fallacy of her theory: The Fifth Amendment bars the
compulsion of self-incriminating testimony. (See, e.g., Maldonado v. Superior Court
(2012) 53 Cal.4th 1112, 1128 [“‘In the Fifth Amendment context, we have created
prophylactic rules designed to safeguard the core constitutional right protected by the
Self-Incrimination Clause. [Citations.] Among these rules is an evidentiary privilege
that protects witnesses . . .’ who invoke their Fifth Amendment rights ‘from being forced
to give incriminating testimony, even in noncriminal cases, unless that testimony has
been immunized from use and derivative use in a future criminal proceeding before it is
compelled.’”]; People v. Haley (2004) 34 Cal.4th 283, 303 [“‘“Any statement given
freely and voluntarily without any compelling influences is, of course, admissible in
evidence. . . . There is no requirement that police stop a person who enters a police
station and states that he wishes to confess to a crime, or a person who calls the police to
offer a confession or any other statement he desires to make. Volunteered statements of
any kind are not barred by the Fifth Amendment . . . .”’”]; People v. Kurtenbach (2012)
204 Cal.App.4th 1264, 1286 [“[t]he privilege against self-incrimination arises only when
testimony is compelled”].) Priscilla was not compelled to testify at her deposition; she
freely and voluntarily testified about her office practices. The Fifth Amendment did not
bar use of those statements at trial.17


17
        Priscilla also contends the statements—which were made in 2007, nearly two
years after the latest charge at issue in the case—were barred as subsequent remedial
measures under Evidence Code section 1151. This issue, too, was not raised at trial and
is forfeited on appeal. (See People v. Williams (2008) 43 Cal.4th 584, 620 [“‘“questions
relating to the admissibility of evidence will not be reviewed on appeal in the absence of
a specific and timely objection in the trial court on the ground sought to be urged on
appeal”’”]; see generally Evid. Code, § 353, subd. (a) [“[a] verdict or finding shall not be
set aside, nor shall the judgment or decision based thereon be reversed, by reason of the
erroneous admission of evidence unless: [¶] . . . [t]here appears of record an objection to
or a motion to exclude or to strike the evidence that was timely made and so stated as to
make clear the specific ground of the objection or motion”].)

                                             20
       5. The Trial Court Did Not Abuse Its Discretion in Declining To Discharge the
          Two Additional Jurors
       “‘[T]he right to unbiased and unprejudiced jurors is an inseparable and inalienable
part of the right to a trial by jury guaranteed by the constitution.’” (People v. Earp (1999)
20 Cal.4th 826, 852; see In re Hitchings (1993) 6 Cal.4th 97, 110 [“one accused of a crime
has a constitutional right to a trial by impartial jurors”].) Priscilla contends the trial
court’s failure to replace Jurors 6 and 9, who learned about the contact between Juror 8
and Darryl Conner and could have inferred from his dismissal that the remaining
defendants were guilty, violated her right to trial by impartial jurors.
       The trial court may discharge a juror for good cause during deliberations if it finds
the juror is unable to perform his or her duty. (See People v. Lomax (2010) 49 Cal.4th
530, 589; People v. Bennett (2009) 45 Cal.4th 577, 621 [“trial court ‘has broad discretion
to investigate and remove a juror in the midst of trial where it finds that, for any reason,
the juror is no longer able or qualified to serve’”].) Section 1089 provides, if a juror upon
“good cause shown to the court” is found to be unable to perform his or her duty, the
court may order the juror discharged and an alternate juror seated.18 Good cause includes
a “juror’s ‘unwillingness to engage in the deliberative process’” and “refusal to follow
the law set forth in the instructions . . . .” (People v. Alexander (2010) 49 Cal.4th 846,
926.) “‘[A]n inquiry sufficient to determine the facts is required whenever the court is

       In any event, like Priscilla’s claim that use of the deposition testimony violated her
privilege against self-incrimination, this contention borders the frivolous. Priscilla’s
testimony about her billing and recordkeeping practices was admitted to show how she
personally maintained her records during the relevant time period, not to prove that she
changed those procedures as evidence of prior culpable conduct. (See Alcaraz v. Vece
(1997) 14 Cal.4th 1149, 1169 [evidence of subsequent measures admissible when offered
to show ownership or control].)
18
       Section 1089 states in part, “If at any time, whether before or after the final
submission of the case to the jury, a juror dies or becomes ill, or upon other good cause
shown to the court is found to be unable to perform his or her duty, or if a juror requests a
discharge and good cause appears therefor, the court may order the juror to be discharged
and draw the name of an alternate, who shall then take a place in the jury box, and be
subject to the same rules and regulations as though the alternate juror had been selected
as one of the original jurors.”

                                               21
put on notice that good cause to discharge a juror may exist.’” (People v. Williams
(1997) 16 Cal.4th 153, 231.)
       “‘We assess the effect of out-of-court information upon the jury in the following
manner. When juror misconduct involves the receipt of information about a party or the
case from extraneous sources, the verdict will be set aside only if there appears a
substantial likelihood of juror bias. [Citation.] Such bias may appear in either of two
ways: (1) if the extraneous material, judged objectively, is so prejudicial in and of itself
that it is inherently and substantially likely to have influenced a juror; or (2) even if the
information is not “inherently” prejudicial, if, from the nature of the misconduct and the
surrounding circumstances, the court determines that it is substantially likely a juror was
“actually biased” against the defendant. If we find a substantial likelihood that a juror
was actually biased, we must set aside the verdict, no matter how convinced we might be
that an unbiased jury would have reached the same verdict, because a biased adjudicator
is one of the few structural trial defects that compel reversal without application of a
harmless error standard.’” (In re Boyette (2013) 56 Cal.4th 866, 890-891 (Boyette),
quoting People v. Nesler (1997) 16 Cal.4th 561, 578-579 (Nesler).) “Although juror
misconduct raises a presumption of prejudice [citations], we determine whether an
individual verdict must be reversed for jury misconduct by applying a substantial
likelihood test. That is, the ‘presumption of prejudice is rebutted, and the verdict will not
be disturbed, if the entire record in the particular case, including the nature of the
misconduct or other event, and the surrounding circumstances, indicates there is no
reasonable probability of prejudice, i.e., no substantial likelihood that one or more jurors
were actually biased against the defendant.’” (Boyette, at pp. 889-890.)19



19
        Whether juror misconduct has occurred is “a legal question we review
independently.” (People v. Collins (2010) 49 Cal.4th 175, 242). However, we “‘accept
the trial court’s credibility determinations and findings on questions of historical fact if
supported by substantial evidence.’” (Ibid.) Similarly, whether misconduct is prejudicial
is reviewed independently as a mixed question of law and fact when the trial court denies
a motion for new trial. (People v. Ault (2004) 33 Cal.4th 1250, 1260-1263.)

                                              22
       The episode recounted by Juror 8 falls within the second of the Nesler categories
because it involves “information [that] is not ‘inherently’ prejudicial.” (Boyette, supra,
56 Cal.4th at p. 890; Nesler, supra, 16 Cal.App.4th at p. 578.) According to Juror 8, he
had been walking along the street when Darryl, driving a tow truck, pulled up next to him
and stopped abruptly. When Juror 8 seemed reticent to approach Darryl, Darryl
explained he was no longer a defendant and was back in business. It was at that point
that Juror 8 congratulated Darryl and shook his hand. Nothing else was said; the two
men did not discuss anything related to the case. At the next court session Juror 8 asked
Juror 9 whether he should disclose the incident to the court, which he did. Juror 9
confirmed that Juror 8 had described the conversation with Darryl to him and that he in
turn had mentioned the incident only to Juror 6. Juror 6 told the court he understood
Juror 8 had seen Darryl, who had greeted him, but nothing else had happened. Juror 6
had not mentioned the incident to anyone else. The court directed each juror not to
discuss the matter further, and each man told the court the incident would have no impact
on his ability to be fair and impartial. Priscilla raises no challenge to these facts.
       In a discussion following the court’s questioning of the jurors, the prosecutor
argued Juror 8 should be replaced because he had been less than forthcoming about the
episode. Curtis’s counsel responded that none of the three should be dismissed and
acknowledged the potential for prejudice was slight because there had been almost no
evidence against Darryl during the two-and-a-half-month trial. Further, because of the
lengthy trial, there was danger of running out of alternates and precipitating a mistrial.
Delilah’s counsel agreed with Curtis’s counsel. Both stated, however, that if one was
discharged, all three should be discharged. Priscilla’s counsel criticized the prosecutor
for characterizing Juror 8 as dishonest and argued he had acted responsibly. After this
discussion, the court concluded it would discharge Juror 8 but retain the other two jurors
and noted the objections of defense counsel for the record. After the court had
discharged Juror 8, Curtis’s counsel made a motion to discharge Juror 9 as well. Two of
the three remaining defense lawyers, including Priscilla’s counsel, joined in the motion,



                                              23
which the court denied. The court subsequently instructed the jury not to “speculate or
guess as to why the other person is not being prosecuted in this trial.”
       As these proceedings demonstrate, defense counsel generally agreed there was little
inherent prejudice associated with the accidental contact between Darryl and Juror 8. The
second-hand receipt of information about the contact by two other jurors had even less
potential for prejudice. Under these circumstances, we see no “substantial likelihood” that
either of the two jurors was actually biased against the remaining defendants because of
Juror 8’s contact with Darryl.
       6. Substantial Evidence Supports Priscilla’s Convictions
       To assess a claim of insufficient evidence in a criminal case, “we review the whole
record to determine whether any rational trier of fact could have found the essential
elements of the crime or special circumstances beyond a reasonable doubt. [Citation.]
The record must disclose substantial evidence to support the verdict—i.e., evidence that
is reasonable, credible, and of solid value—such that a reasonable trier of fact could find
the defendant guilty beyond a reasonable doubt. [Citation.] In applying this test, we
review the evidence in the light most favorable to the prosecution and presume in support
of the judgment the existence of every fact the jury could reasonably have deduced from
the evidence. [Citation.] ‘Conflicts and even testimony [that] is subject to justifiable
suspicion do not justify the reversal of a judgment, for it is the exclusive province of the
trial judge or jury to determine the credibility of a witness and the truth or falsity of the
facts upon which a determination depends. [Citation.] We resolve neither credibility
issues nor evidentiary conflicts; we look for substantial evidence. [Citation.]’ [Citation.]
A reversal for insufficient evidence ‘is unwarranted unless it appears “that upon no
hypothesis whatever is there sufficient substantial evidence to support”’ the jury’s
verdict.” (People v. Zamudio (2008) 43 Cal.4th 327, 357.)
       Priscilla contends the evidence was insufficient to support the convictions because
it failed to establish she did anything more than treat patients she believed presented real




                                              24
injuries.20 In other words, she challenges the necessary finding she intended to defraud
the insurers when she billed them for her services.
       However, “‘“[i]t is well established that criminal intent may be inferred from the
general circumstances surrounding the transactions, and that other similar transactions
carried on by a defendant are sufficient to prove guilty knowledge and criminal intent.”’”
(People v. Singh, supra, 37 Cal.App.4th at p. 1371.) The People presented evidence
Priscilla treated patients referred to her by other persons involved in the scheme
(including relatives), rendered identical diagnoses (often containing unusual neurological
findings) for patients in the same and different collisions, reported extensive treatment for
those injuries, yet never billed for, or ordered, X-rays of the patients or referred them to
other medical professionals. Three of the patients for whom she billed insurers large
amounts testified at trial they were not injured or received far less treatment than
reported. In one instance, she reported treating a particular patient beginning five days
before the accident. In another her records purport to show she treated a patient a day
before the reported date of the accident and additionally failed to disclose as required she
had previously treated the patient for a similar injury. In addition, the People’s expert
witness on chiropractic treatment testified that all of Priscilla’s reports contained
fabricated narratives. Under these circumstances we have no difficulty concluding the
evidence amply supported the jury’s conclusion Priscilla acted with the requisite intent to
defraud.



20
       Priscilla also suggests she could not be guilty based on counts for incidents in
which she received no payment. This is simply wrong; the crime of presenting a
fraudulent claim is ordinarily complete the moment the claim is made to the insurance
company, whether or not payment is ultimately received. (See, e.g., People v. Zanoletti
(2009) 173 Cal.App.4th 547, 560 [“Insurance fraud under section 550 is . . . concerned
with the means, rather than the end. As defined in subdivision (a)(5), the crime is
complete when an individual ‘[k]nowingly prepare[s], make[s], or subscribe[s] any
writing, with the intent to present or use it, or to allow it to be presented, in support of
any false or fraudulent claim.’ Under subdivision (a)(1), the crime is complete when a
fraudulent claim is ‘presented.’”].)

                                              25
       7. Delilah’s Convictions Were Supported by Substantial Evidence; the People
          Were Not Required To Prove the Existence of Overt Acts for Counts 25, 40
          and 44
       Delilah contends her convictions on counts 25, 40 and 44 were not supported by
substantial evidence because the People failed to establish overt acts in support of the
conspiracy allegations contained in the charging information.21 Delilah has misconceived
the effect of the allegations of conspiracy and the lack of jury findings of overt acts with
respect to those counts.
       Delilah was charged with four counts of insurance fraud.22 Each count alleged
that between certain dates Delilah and others “did aid, abet, solicit, conspire with another
and did knowingly present and cause to be presented a false and fraudulent claim . . . .”
None of the defendants was charged with the crime of conspiracy; instead, the jury was
given an uncharged conspiracy instruction based on CALJIC No. 6.10.5.23


21
       As the prosecutor explained to the court, the three-year statute of limitations
precluded findings of guilt for many of the counts under a conspiracy theory. (See § 801;
People v. Prevost (1998) 60 Cal.App.4th 1382, 1401 [“[c]riminal conspiracy is governed
by a three-year statute of limitations”].) Accordingly, verdict forms required findings on
overt acts only for those counts (30, 49, 51, 60 and 61) falling within the statutory period.
22
        A person is guilty of insurance fraud in violation of section 550, subdivision
(a)(1), if he, “with the specific intent to defraud, either directly and actively or aids and
abets, solicits, or conspires with any person to . . . [k]nowingly present or cause to be
presented any false or fraudulent claim for the payment of a loss or injury . . . under a
contract of insurance.” (CALJIC No. 15.40.)
23
       CALJIC No. 6.10.5 provides: “A conspiracy is an agreement between two or more
persons with the specific intent to agree to commit the crime of [insurance fraud], and with
the further specific intent to commit that crime, followed by an overt act committed in this
state by one or more of the parties for the purpose of accomplishing the object of the
agreement. Conspiracy is a crime, but is not charged as such in this case. . . .”
       Elsewhere, the jury was instructed, “Before you may return a guilty verdict as to any
defendant of the crime of insurance fraud as part of a conspiracy, you must unanimously
agree and find beyond a reasonable doubt, that (1) there was a conspiracy to commit the
crime of insurance fraud and (2) the defendant willfully, intentionally and knowingly
joined with any other or others in the alleged conspiracy. You must also unanimously
agree and find beyond a reasonable doubt, that an overt act was committed by one of the
conspirators. You are not required to unanimously agree as to who committed an overt act,

                                              26
       The combination of these instructions was entirely proper: “When a statute . . .
lists several acts in the disjunctive, any one of which constitutes an offense, the
complaint, in alleging more than one of such acts, should do so in the conjunctive to
avoid uncertainty.” (In re Bushman (1970) 1 Cal.3d 767, 775, disapproved on another
ground in People v. Lent (1975) 15 Cal.3d 481, 486, fn. 1.) As Justice Corrigan
explained in a recent concurring opinion, “the use of the conjunctive ‘and’ is not a ‘fact’
alleged in the accusatory pleading. Nor does it effectively incorporate one theory of an
offense into another for the purpose of defining the elements of the charged crime. When
multiple theories of committing an offense are involved, the prosecution, by pleading the
statute in the conjunctive, puts the defendant on notice that he may face conviction under
either theory. The prosecution does not, however, assume the burden of proving each
theory.” (People v. Smith (2013) 57 Cal.4th 232, 247-248 (conc. opn. of Corrigan, J.);
see also Bushman, at p. 775 [“[m]erely because the complaint is phrased in the
conjunctive . . . does not prevent a trier of fact from convicting a defendant if the
evidence proves only one of the alleged acts”]; People v. Lopez (2005) 129 Cal.App.4th
1508, 1532-1533 [“When a crime can be committed in more than one way, it is standard
practice to allege in the conjunctive that it was committed every way. Such allegations
do not require the prosecutor to prove that the defendant committed the crime in more
than one way.”].)




or which overt act was committed, so long as each of you finds beyond a reasonable doubt,
that one of the conspirators committed one of the acts alleged in the information to be overt
acts. [¶] The overt acts alleged are listed in the verdict forms as to Counts 30, 49, 51, 60
and 61.” (See CALJIC No. 6.22.)
       “It is long and firmly established that an uncharged conspiracy may properly be
used to prove criminal liability for acts of a coconspirator. [Citations.] ‘Failure to charge
conspiracy as a separate offense does not preclude the People from proving that those
substantive offenses which are charged were committed in furtherance of a criminal
conspiracy [citation]; nor, it follows, does it preclude the giving of jury instructions based
on a conspiracy theory.’” (People v. Belmontes (1988) 45 Cal.3d 744, 788-789,
disapproved on another ground in People v. Doolin (2009) 45 Cal.4th 390, 421 & fn. 22.)

                                             27
       Ultimately, “[t]he test for determining whether instructions on a particular theory
of guilt are appropriate is whether there is substantial evidence which would support
conviction on that theory. [Citation.] To determine whether there is substantial evidence
to support a conviction we must view the record in a light most favorable to conviction,
resolving all conflicts in the evidence and drawing all reasonable inferences in support of
conviction. We may conclude that there is no substantial evidence in support of
conviction only if it can be said that on the evidence presented no reasonable fact finder
could find the defendant guilty on the theory presented.” (People v. Nguyen (1993)
21 Cal.App.4th 518, 528-529.)
       The evidence presented at trial was more than sufficient to convict Delilah of the
charged offenses on any of the theories incorporated in the court’s instructions. Section
550, subdivision (a), allowed the jury to convict any of the defendants of insurance fraud
based on actions that “either directly and actively” or by “aid[ing] and abet[ting]” or by
“solicit[ing]” or by “conspir[ing] with” another person to present a fraudulent insurance
claim. As instructed, the jury was authorized to convict Delilah on count 60 based on a
conspiracy theory and on counts 25, 40 and 44 under a direct or aiding and abetting
theory. That the jury attended to these instructions and considered each count carefully is
patent: One defendant was entirely acquitted, and Priscilla was acquitted of four of the
14 counts against her. The evidence against Delilah was ample, and the verdicts against
her demonstrate the jury did not accept Delilah’s defense the claims were made without
her knowledge.
       8. Delilah Was Not Entitled to a Jury Trial on the Award of Direct Victim
          Restitution
       Delilah contends the trial court’s award of direct victim restitution24 violated her
Sixth Amendment right to a jury trial, reasoning the restitution order constituted

24
       Section 1202.4, subdivision (a)(1), provides that “a victim of crime who incurs an
economic loss as a result of the commission of a crime shall receive restitution directly
from any defendant convicted of that crime.” Section 1202.4, subdivision (f), states that,
subject to certain exceptions not applicable here, “[I]n every case in which a victim has
suffered economic loss as a result of the defendant’s conduct, the court shall require that

                                             28
additional punishment that could not be imposed without jury findings beyond a
reasonable doubt under the rationale of Apprendi v. New Jersey (2000) 530 U.S. 466
[120 S.Ct. 2348, 147 L.Ed.2d 435] (Apprendi) and its progeny.
       In Apprendi, supra, 530 U.S. 466, the United States Supreme Court held that
“[o]ther than the fact of a prior conviction, any fact that increases the penalty for a crime
beyond the prescribed statutory maximum must be submitted to a jury, and proved
beyond a reasonable doubt.” (Id. at p. 490; see also Blakely v. Washington (2004)
542 U.S. 296, 304 [124 S.Ct. 2531, 159 L.Ed.2d 403] [“[T]he ‘statutory maximum’ for
Apprendi purposes is the maximum sentence a judge may impose solely on the basis of
the facts reflected in the jury verdict or admitted by the defendant.” (Italics omitted.) It
follows that a judgment may not “inflict[] punishment that the jury’s verdict alone does
not allow.”].)
       In Southern Union Co. v. United States (2012) 567 U.S. ___ [132 S.Ct. 2344, 183
L.Ed.2d 318] (Southern Union) the Court extended the rule of Apprendi to the imposition
of criminal fines. (Southern Union, 132 S.Ct. at p. 2357.) The statutory fine imposed in
Southern Union was $50,000 for each day of violation; the trial court, rather than the
jury, determined the number of days of violation. Because the amount of the fine was
directly tied to the number of days of violation, the Court held the trial court’s factual
finding violated Apprendi. (Southern Union, 132 S.Ct. at pp. 2354, 2357.)

the defendant make restitution to the victim or victims in an amount established by court
order, based on the amount of loss claimed by the victim or victims or any other showing
to the court. . . . The court shall order full restitution unless it finds compelling and
extraordinary reasons for not doing so, and states them on the record.” Restitution “shall
be of a dollar amount that is sufficient to fully reimburse the victim or victims for every
determined economic loss incurred as the result of the defendant’s criminal conduct . . . .”
(§ 1202.4, subd. (f)(3).)
        Although a defendant is entitled to a restitution hearing to “dispute the
determination of the amount of restitution” (§ 1202.4, subd. (f)(1)), Delilah waived her
right to such a hearing in this case. The People argue she has thus forfeited her right to
appellate review. (See People v. Williams, supra, 16 Cal.4th at p. 250 [constitutional
objections not properly raised are forfeited].) We choose to address her claim on the
merits but recognize forfeiture as an alternate ground for affirmance.

                                              29
       Contrary to Delilah’s claim, however, Southern Union does not mandate a jury
trial for direct victim restitution awards. Unlike the criminal fine in Southern Union the
restitution awarded here is direct victim compensation, not a fine.25 The California
Constitution provides in relevant part that “[r]estitution shall be ordered from the
convicted wrongdoer in every case, regardless of the sentence or disposition imposed, in
which a crime victim suffers a loss.” (Cal. Const., art. I, § 28, subd. (b)(13)(B).)
Subdivision (f) of section 1202.4 simply implements the constitutional directive to
require restitution for crime victims. A court must order “full restitution unless it finds
compelling and extraordinary reasons for not doing so, and states them on the record.”
(§ 1202.4, subd. (f).) “If, as a result of the defendant’s conduct, the Restitution Fund has
provided assistance to or on behalf of a victim . . . , the amount of assistance provided
shall be presumed to be a direct result of the defendant’s criminal conduct and shall be
included in the amount of the restitution ordered.” (§ 1202.4, subd. (f)(2), (4)(A).)
       At this juncture, virtually every court that has considered this question has
concluded that Southern Union and other Apprendi progeny do not apply to direct victim
restitution because victim restitution is not a criminal penalty. (See, e.g., People v.
Pangan (2013) 213 Cal.App.4th 574, 585-586 [discussing California and federal cases];
People v. Millard (2009) 175 Cal.App.4th 7, 35 [“the primary purpose of a victim
restitution hearing is to allow the People to prosecute an expedited hearing before a trial
court to provide a victim with a civil remedy for economic losses suffered, and not to

25
       Direct victim restitution and restitution fines are distinct. (See People v.
Villalobos (2012) 54 Cal.4th 177, 181.) “[S]ection 1202.4, subdivisions (a) and (f)
require every person convicted of a crime to pay restitution directly to the victim in an
amount equal to the economic loss suffered by the victim as a result of the defendant’s
conduct. . . . Separate and apart from restitution, section 1202.4, subdivision (b) requires
every person convicted of a crime to pay a restitution fine: ‘In every case where a person
is convicted of a crime, the court shall impose a separate and additional restitution fine,
unless it finds compelling and extraordinary reasons for not doing so, and states those
reasons on the record.’ A restitution fine is not paid by the defendant directly to the
victim. Instead, it ‘shall be deposited in the Restitution Fund in the State Treasury’
(§ 1202.4, subd. (e)), from which crime victims may obtain compensation through an
application process (see Gov. Code, §§ 13950-13960).” (Id. at pp. 181-182.)

                                             30
punish the defendant for his or her crime”]; People v. Chappelone (2010)
183 Cal.App.4th 1159, 1184 [same]; cf. People v. Harvest (2000) 84 Cal.App.4th 641,
645, 650 [victim restitution does not constitute punishment for double jeopardy
purposes].) As these courts have uniformly recognized, “[t]o the extent a victim
restitution order has the secondary purposes of rehabilitation of a defendant and/or
deterrence of the defendant and others from committing future crimes, those purposes do
not constitute increased punishment of the defendant.” (Millard, at pp. 35, 36; accord,
Pangan, at p. 585; Chappelone, at p. 1184; but see Acker, The Mandatory Victims
Restitution Act Is Unconstitutional: Will the Courts Say So After Southern Union v.
United States? (2013) 64 Ala. L.Rev. 803.) Until either of the Supreme Courts directs
otherwise, we follow this substantial authority.
       9. The Omission of CALJIC No. 15.26 on Specific Intent To Defraud Was Not
          Error
       The trial court must instruct the jury on all general principles of law necessary to
properly perform its function: “‘It is settled that in criminal cases, even in the absence of
a request, the trial court must instruct on the general principles of law relevant to the
issues raised by the evidence. [Citations.] The general principles of law governing the
case are those principles closely and openly connected with the facts before the court, and
which are necessary for the jury’s understanding of the case.’” (People v. Breverman
(1998) 19 Cal.4th 142, 154.)
       “In reviewing any claim of instructional error, we must consider the jury
instructions as a whole, and not judge a single jury instruction in artificial isolation out of
the context of the charge and the entire trial record. [Citations.] When a claim is made that
instructions are deficient, we must determine whether their meaning was objectionable as
communicated to the jury. If the meaning of instructions as communicated to the jury was
unobjectionable, the instructions cannot be deemed erroneous. [Citations.] The meaning
of instructions is no longer determined under a strict test of whether a ‘reasonable juror’
could have understood the charge as the defendant asserts, but rather under the more
tolerant test of whether there is a ‘reasonable likelihood’ that the jury misconstrued or


                                              31
misapplied the law in light of the instructions given, the entire record of trial, and the
arguments of counsel.” (People v. Dieguez (2001) 89 Cal.App.4th 266, 276 (Dieguez); see
People v. Clair (19912) 2 Cal.4th 629, 663; see generally Estelle v. McGuire (1991)
502 U.S. 62, 72 [112 S.Ct. 475, 116 L.Ed.2d 385].) “No judgment shall be set aside, or
new trial granted, in any cause, on the ground of misdirection of the jury . . . unless, after
an examination of the entire cause, including the evidence, the court shall be of the opinion
that the error complained of has resulted in a miscarriage of justice.” (Cal. Const., art. VI,
§ 13.) “A miscarriage of justice occurs only when it is reasonably probable that the jury
would have reached a result more favorable to the appellant absent the error.” (Dieguez, at
pp. 277-278.)
       Delilah contends the trial court erred by omitting CALJIC No. 15.26, which
defines “specific intent to defraud.”26 In the context of workers’ compensation fraud (see
Ins. Code, § 1871.4),27 the Dieguez court rejected a similar argument that the trial court’s
failure to instruct on specific intent to defraud required reversal of the appellant’s
conviction: “Because the language of section 1871.4, subdivision (a)(1) is clear and
unambiguous, there is no need to insert a superfluous additional specific intent
requirement.” (Dieguez, supra, 89 Cal.App.4th at p. 279.) “[I]ntent to defraud is actually
‘built into’ the language of the instruction given by the trial court” because “a jury
necessarily finds an intent to defraud” when it determines a defendant “specifically
intended to obtain workers’ compensation by means of knowingly making false or
fraudulent material statements.” (Id. at p. 279; see People v. Blick (2007)
153 Cal.App.4th 759, 773-774.) “In other words, there was no error for failure to instruct
26
       CALJIC No. 15.26 provides: “An intent to defraud is an intent to deceive another
person for the purpose of gaining some material advantage over that person or to induce
that person to part with property or to alter that person’s position to his injury or risk, and
to accomplish that purpose by some false statement, false representation of fact, wrongful
concealment or suppression of truth, or by any other artifice or act designed to deceive.”
27
       Insurance Code section 1871.4, subdivision (a)(1), makes it unlawful to “[m]ake
or cause to be made a knowingly false or fraudulent material statement or material
representation for the purpose of obtaining or denying any compensation, as defined in
Section 3207 of the Labor Code.”

                                              32
on specific intent to defraud when the specific intent required for the offense was actually
spelled out in the statute and instruction.” (Blick, at p. 774 [discussing Dieguez].)
       In this case, the jury was instructed under CALJIC No. 3.31, which, as given,
provides: “In the crimes of perjury and insurance fraud, there must exist a union or joint
operation of act or conduct and a certain specific intent in the mind of the perpetrator.
Unless this specific intent exists the crime to which it relates is not committed. [¶] The
specific intent required is included in the definitions of the crimes set forth elsewhere in
these instructions.” The jury was also instructed under CALJIC No. 15.40, as follows:
“Every person who, with specific intent to defraud, either directly and actively, or aids
and abets, solicits, or conspires with any person to knowingly present or cause to be
presented any false or fraudulent claim for the payment of a loss or injury, including
payment of a loss or injury under a contract of insurance, is guilty of a violation of Penal
Code section 550, subdivision (a)(1), a crime. [¶] In order to prove this crime, each of
the following elements must be proved: [¶] 1. A person either directly and actively or
aided and abetted, solicited, or conspired with another person to knowingly present or
cause to be presented any false or fraudulent claim for the payment of a loss or injury,
including payment of a loss or injury under a contract of insurance; and [¶] 2. That
person acted with the specific intent to defraud.”
       We find Dieguez persuasive under the circumstances presented here. The phrase
intent to defraud is not a technical legal term; to the contrary, it is a term of common use
and knowledge. (See People v. Hardy (1992) 2 Cal.4th 86, 153 [trial court’s failure to
include legal definition and elements of “fraud” and “specific intent to defraud” did not
amount to error because the terms are in common use and of common knowledge].) To
conclude the defendants in this case were guilty of insurance fraud, the jury was required
to find they acted with the specific intent to defraud insurers by knowingly presenting or
causing to be presented false or fraudulent claims for the payment of a loss or injury
under an insurance contract. Reading CALJIC No. 15.26 would have added little to the
jury’s understanding of its task, and it necessarily found an intent to defraud when it



                                             33
convicted defendants of the crime of insurance fraud. (See Dieguez, supra,
89 Cal.App.4th at pp. 279-280.)28
       10. Priscilla’s Sentence Must Be Modified To Impose a One-year Enhancement
           Under Section 186.11, Subdivision (a)(1)29
       As the People concede, the trial court erred in imposing a two-year sentence
enhancement based on the jury’s findings Curtis and Priscilla had engaged in felony
conduct involving “the taking of more than $100,000” within the meaning of section
186.11, subdivision (a)(1), which directs imposition of a sentence enhancement “as
specified in paragraph (2) or (3).”30
       Section 186.11, subdivision (a)(3), provides that a “pattern of felony conduct
involv[ing] the taking of . . . more than [$100,000], but not more than [$500,000], the
additional term of punishment shall be the term specified in [section 12022.6].” Section
12022.6, subdivision (a)(1) and (a)(2), provide for an additional term of one year if the
loss exceeds $65,000 and two years if the loss exceeds $200,000.

28
       The comments to CALJIC No. 15.40 do not mandate the use of CALJIC
No. 15.26, although the companion instruction for medical insurance fraud (CALJIC
No. 15.41.3) does. Even if the trial court erred in failing to give CALJIC No. 15.26, any
such error was harmless beyond a reasonable doubt under the circumstances of this case.
(See Chapman v. California, supra, 386 U.S. at p. 24.)
29
       This argument was raised by Curtis and joined by Priscilla pursuant to California
Rules of Court, rule 8.200(a)(5). As provided in that rule, both Priscilla and Delilah
joined the arguments of their codefendants to the extent those arguments favored them.
We have reviewed each of the claims discussed above in light of their joinder but have
found no other instance in which our resolution of the claim favors another defendant.
30
       Section 186.11, subdivision (a)(1), provides: “Any person who commits two or
more related felonies, a material element of which is fraud or embezzlement, which
involve a pattern of related felony conduct, and the pattern of related felony conduct
involves the taking of, or results in the loss by another person or entity of, more than one
hundred thousand dollars ($100,000), shall be punished, upon conviction of two or more
felonies in a single criminal proceeding, in addition and consecutive to the punishment
prescribed for the felony offenses of which he or she has been convicted, by an additional
term of imprisonment in the state prison as specified in paragraph (2) or (3). This
enhancement shall be known as the aggravated white collar crime enhancement. The
aggravated white collar crime enhancement shall only be imposed once in a single
criminal proceeding. . . .”

                                            34
       The only jury finding here is that Priscilla’s takings exceeded $100,000.
Accordingly, the sentence enhancement imposed under section 186.11, subdivision
(a)(1), should have been limited to one year, not two years.
                                     DISPOSITION
       The judgment as to Delilah Lafawn Johnson is affirmed. The judgment as to
Priscilla Conner is modified to reflect a one-year white collar crime enhancement, rather
than a two-year enhancement, and is affirmed in all other respects. The appeal of Curtis
Conner is dismissed. The superior court is directed to prepare a corrected abstract of
judgment as to Priscilla Conner and forward it to the Department of Corrections and
Rehabilitation.




                                                        PERLUSS, P. J.

       We concur:



                     WOODS, J.



                     ZELON, J.




                                            35
