Filed 7/14/16 P. v. Stillwell CA6
                      NOT TO BE PUBLISHED IN OFFICIAL REPORTS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 This opinion has not been certified for publication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.




              IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA

                                      SIXTH APPELLATE DISTRICT


THE PEOPLE,                                                          H041819
                                                                    (Santa Clara County
         Plaintiff and Respondent,                                   Super. Ct. No. 212036)

         v.

DUANE STILLWELL,

         Defendant and Appellant.




                                           I.        INTRODUCTION
         After a first trial resulted in a mistrial due to jury deadlock, a second jury found
that defendant Duane Stillwell was a sexually violent predator within the meaning of the
Sexually Violent Predators Act (SVPA) (Welf. & Inst. Code, § 6600 et seq.). The trial
court ordered defendant committed to the California Department of Mental Health for an
indeterminate term and transported to a hospital under the State Department of State
Hospitals (the Department).
         On appeal, defendant contends the trial court erred by allowing evidence of his
testimony from the first trial to be introduced at the second trial after he refused to testify.
He contends that, under the equal protection clauses of the state and federal
Constitutions, prospective sexually violent predators (SVP’s) have a right not to testify,
because such a right is afforded to persons committed for treatment after being found not
guilty by reason of insanity (NGI’s). Defendant further contends the trial court erred by
permitting the jury to draw adverse inferences from his refusal to testify, by allowing the
prosecution to present a hearsay statement and refusing to allow defendant to introduce
evidence impeaching the hearsay declarant, by failing to give a pinpoint instruction on
the meaning of the word “likely” that would have included the phrase “high risk of
offense,” and by permitting the prosecution to use the term “sexually violent predator.”
Defendant also contends there was cumulative error and that his indeterminate
commitment under the SVPA violates the federal Constitution’s guarantees of equal
protection and due process, as well as the federal Constitution’s prohibition against ex
post facto laws and double jeopardy.
       Following the rationale of People v. Curlee (2015) 237 Cal.App.4th 709 (Curlee),
we find that the record is inadequate for us to resolve defendant’s claim that under the
equal protection clauses of the state and federal Constitutions, he had a right not to testify
at the SVPA proceedings. We will therefore remand this matter to the trial court and
direct the trial court to conduct an evidentiary hearing at which the People will have the
opportunity to show that the differential statutory treatment of SVP’s and NGI’s is
justified with respect to the right not to testify. We find that defendant’s other claims
lack merit.

                                 II.     BACKGROUND
       A.     Commitment Petition and Pretrial Proceedings
       On January 25, 2012, the Santa Clara County District Attorney filed a petition to
commit defendant under the SVPA. (See Welf. & Inst. Code, § 6601, subd. (i).) The
petition alleged that defendant was in prison with a parole date of March 10, 2012. In a
declaration attached to the petition, the prosecutor alleged that defendant’s prior offenses
included three 1982 convictions—one for forcible sodomy (Pen. Code, § 286, subd. (c))
and two for forcible oral copulation (Pen. Code, § 288a, subd. (c))—and two 1983



                                              2
convictions—one for forcible sodomy and one for forcible oral copulation. Also attached
to the petition were reports from two psychologists who had recently evaluated
defendant. (See Welf. & Inst. Code, § 6601, subds. (a)-(h).)
       After a hearing, the trial court found probable cause to believe that defendant was
likely to engage in sexually violent predatory criminal behavior upon his release. (See
Welf. & Inst. Code, § 6602, subd. (a).)
       Defendant filed a written objection to the indeterminate term of commitment he
would receive if found to be an SVP, requesting that the trial court suspend the
proceedings in his case pending the outcome of the hearing ordered by People v. McKee
(2010) 47 Cal.4th 1172 (McKee I).1 Defendant also filed motions in limine, in which he
requested the trial court bar the use of the term “sexually violent predator”, give the jury
a pinpoint instruction regarding the definition of the phrase “likely [to] engage in
sexually violent criminal behavior” (see Welf. & Inst. Code, § 6600, subd. (a)), and
preclude the prosecution from calling him to testify based on the equal protection clauses
of the state and federal Constitutions. The trial court found that the term “sexually
violent predator” could be used during the trial, declined to give the proposed pinpoint
instruction, and ruled that the prosecution could call defendant to testify.
       A trial began on January 31, 2014, but it ended in a mistrial after the jury
deadlocked. During that first trial, defendant was called to testify by the prosecution.
       A second trial began on November 21, 2014. Prior to the second trial, defendant
refiled his motions in limine. The trial court again found that the term “sexually violent


       1
        In McKee I, the California Supreme Court ordered a hearing on whether there
was justification for differential treatment of individuals committed under the SVPA,
who are subject to an indeterminate term, and individuals committed under other civil
commitment schemes, who are subject to determinate commitment terms. (McKee I,
supra, 47 Cal.4th at pp. 1208-1209.) In People v. McKee (2012) 207 Cal.App.4th 1325
(McKee II), the Court of Appeal upheld the trial court’s subsequent finding that the
disparate treatment of SVP’s was justified. (Id. at p. 1347.)

                                              3
predator” could be used during the trial, denied defendant’s request for a pinpoint
instruction regarding the definition of the phrase “likely [to] engage in sexually violent
criminal behavior” (Welf. & Inst. Code, § 6600, subd. (a)), and ruled that the prosecution
could call defendant to testify. When the prosecution called defendant to testify, he
invoked the Fifth Amendment and refused to answer questions. The trial court found that
defendant was unavailable and allowed the prosecution to present evidence of
defendant’s prior testimony.
       B.     Prosecution Expert Witnesses
              1.     Dr. Patterson
       Mark Patterson, a licensed psychologist, evaluated defendant in December of
2011. In advance of the evaluation, he reviewed records from the Department of Mental
Health as well as defendant’s prison file and prison medical file.2 Defendant declined to
be interviewed at the time; he also declined to be interviewed in February of 2013 and
October of 2014.
       Dr. Patterson testified about defendant’s documented criminal history. In
September of 1977, when defendant was about 19 years old, he was arrested for loitering.
Also in 1977, defendant was arrested for loitering and prostitution, and he was convicted
of both charges.
       In 1978, defendant was charged with animal cruelty and inhumane treatment to
animals. Defendant had testified about the incident at his first trial, and Dr. Patterson had
reviewed his testimony. Defendant “said that he took his dog to work and left it in his
vehicle,” intending to take care of it during breaks. Also in 1978, defendant was charged
with trespassing, and with robbery of a co-worker.



       2
         A prison file typically contains charging documents, sentencing documents,
classification documents, disciplinary documents, and visitation documents. It may also
contain police reports and probation reports.

                                              4
       In 1979, defendant was charged with two robberies. Both incidents occurred on
the same day and both resulted in convictions at a joint trial. In each case, defendant
approached the victim, offered him a ride, engaged in unwelcomed sexual conduct with
him, and took items from him. The first victim was named Rodolfo; the second was
named Richard. Rodolfo told police defendant had used a knife during the incident.
When testifying at the first trial, defendant described most of the sexual conduct with
Rodolfo and Richard as consensual.
       In 1981, eight months after being released from custody for the 1979 robberies,
defendant committed offenses against two more victims. The first offense involved
defendant forcing James, a 16-year-old boy, into his car, driving to a remote location,
threatening James with a knife, and engaging in forcible sodomy and forcible oral
copulation. The second offense occurred six days later and involved another juvenile
victim, named Adam. Defendant offered Adam a ride, then assaulted him, threatened
him with a knife, engaged in forcible oral copulation, and then masturbated. Defendant
was convicted of multiple crimes, including forcible sex offenses, false imprisonment,
and robbery, and he was sentenced to prison for 39 years.
       While in jail after his arrest for the offenses relating to James and Adam,
defendant was in a cell with a 19-year-old male named Bennett. On a daily basis,
defendant engaged in various forcible sex acts with Bennett, along with threats,
punching, and choking. Defendant was charged with and convicted of criminal offenses
stemming from his conduct against Bennett.3


       3
         Bennett testified at defendant’s SVP trial. He described how defendant punched
him and made him orally copulate defendant on numerous occasions, and how defendant
forcibly sodomized him on multiple occasions. Defendant also made Bennett kneel on
the floor, then urinated in Bennett’s mouth. On several occasions, defendant had choked
Bennett into unconsciousness. Defendant threatened to “take out” one of Bennett’s
family members if Bennett reported the assaults. After Bennett reported the assaults,
defendant pressured Bennett into writing a letter recanting his allegations.

                                             5
       Since going to prison in 1982, defendant had a “significant number” of
disciplinary problems, including both serious rule violations and minor rule violations.
The violations included disobeying orders, fighting, being out of bounds or in
unauthorized areas, verbal abuse of staff, possession of alcohol, possession of
contraband, theft of state property, and battery or assault on an inmate. Defendant’s most
recent rules violation was in 2010, for fighting. After being transferred to a state hospital
in June of 2012, defendant also had violated rules.
       During his initial evaluation of defendant, Dr. Patterson had diagnosed defendant
with sexual sadism, polysubstance dependence, and a personality disorder, not otherwise
specified, with narcissistic and antisocial traits. Since that time, the diagnostic manual
had changed, which led to changes in his diagnoses. At the time of trial, Dr. Patterson’s
diagnoses were sexual sadism disorder, alcohol abuse, cannabis abuse, and other
specified personality disorder with narcissistic and antisocial traits. Sexual sadism is a
deviant sexual disorder that involves intense sexual arousal and causes the person to hurt
others. The traits included in defendant’s personality disorder included being very
manipulative, deceptive, controlling, egocentric, and self-centered, as well as having
angry outbursts. Defendant also exhibited psychopathic traits in that his crimes showed a
lack of empathy, callousness, and both physical and sexual violence. Defendant’s
combination of sexual deviance and personality traits put him “particularly at risk for
sexual re-offending.” Defendant’s sexual sadism impaired him emotionally and
volitionally.
       Dr. Patterson opined that there was a substantial risk that defendant would “re-
offend sexually in a violent and predatory way.” Dr. Patterson had conducted a risk
assessment using a variety of tools. On the Static-99R, which looks at ten different static
factors, defendant scored an eight, putting him in the 99th percentile. Forty-five percent
of offenders with that score will reoffend within five years of release into the community,
and 55 percent will reoffend within 10 years. On the Static-2002R, a similar instrument,

                                              6
defendant also scored an eight, which put him in the 95th percentile. About 35 percent of
offenders with that score will reoffend within five years of release into the community,
and about 45 percent will reoffend within 10 years. On the SRA-FV, a tool that looks at
dynamic factors, defendant’s risk factors included his sexual preoccupation, his difficulty
controlling anger, and his reliance on substances to cope with difficulties. Defendant’s
dynamic risk factors also included his psychopathic traits such as callousness and
externalization of blame, which were shown by his prior testimony about his sex
offenses.
       Dr. Patterson did not believe that defendant’s age at the time of trial—56 years
old—reduced his risk of committing future crimes. Age does not become a “protective
factor” until a person reaches age 70. Likewise, it was not significant that defendant had
not committed any sexual offenses while in prison, because defendant had spent most of
his prison time without “access, by virtue of not having a cellmate, to have sexual
relations.”4 While in prison, defendant had declined sex offender treatment.
       Dr. Patterson found it significant that when defendant testified at the first trial, he
claimed to have been working as a prostitute around the time of his sex offenses.
Defendant’s commission of sex offenses during a time when he had consenting partners
demonstrated his motivation to have non-consensual sexual interactions.
              2.     Dr. Dawn Starr
       Dawn Starr, a licensed psychologist, also performed an evaluation of defendant
in December of 2011. Dr. Starr updated her evaluation twice, including in October of
2014, two months before her testimony at the second trial. Defendant declined to be
interviewed each time.




       4
        Defendant had been put into Administrative Segregation within two years of
beginning his prison sentence, and he was “in single cell” for at least a decade.

                                               7
       Dr. Starr had reviewed the records relating to defendant’s prior offenses, his prison
files, and records from the Department. Dr. Starr had diagnosed defendant with suffering
from “other specified paraphilic disorder,” meaning that defendant had an intense and
persistent sexual interest that was not an interest involving consenting, mature human
partners—i.e., a deviant sexual interest. Dr. Starr’s other diagnoses related to his alcohol,
stimulant, and cannabis abuse. Dr. Starr also believed defendant had “some underlying
antisocial personality features.”
       Like Dr. Patterson, Dr. Starr found it significant that defendant had available
consensual sexual partners but still engaged in nonconsensual sexual activity with “young
guys.” Specifically, defendant had testified at the first trial that he was working as a
prostitute at the time of his sex offenses. Also like Dr. Patterson, Dr. Starr found it
insignificant that there had not been any reports of defendant committing a sexual assault
during the 30-plus years that he had been in prison, because during most of that time he
had been “at the highest level of security.”
       Dr. Starr described the traits that led to her conclusion that defendant had
“antisocial personality features.” Defendant had exhibited irresponsibility,
aggressiveness, reckless disregard for the safety of others, and lack of remorse.
Defendant had also shown deceitfulness: he had constantly changed his story about what
had happened during his sexual offenses, including when he testified at the first trial and
“gave a brand new story.” Dr. Starr found it “particularly bizarre” when defendant
testified that he had picked up the two juvenile victims (James and Adam) because he
thought they were “prostituting in his area” and he wanted to “teach them a lesson.”
Defendant had spoken of the incidents in the present tense, and his story had been
inconsistent with the reported facts of the cases. Defendant had claimed to not have
known that James was under 18 years of age, and he had denied raping James. Defendant
had claimed that James became upset when defendant did not give him “his turn for sex.”
Also, defendant had claimed he had orally copulated the other victim (Adam) in an

                                               8
attempt to get him not to report the robbery. Dr. Starr opined that defendant’s testimony
showed he did not fully accept responsibility for that assault.
       Dr. Starr also discussed defendant’s prior testimony about the Richard and
Rodolfo incidents. Defendant had denied engaging in sexual conduct with either victim.
To Dr. Starr, this further showed defendant’s deceitfulness and lack of empathy, and it
showed he had not changed. Dr. Starr acknowledged that in Rodolfo’s case, the trial
court had found an arming allegation untrue despite Rodolfo’s claim that defendant had
used a knife.
       Dr. Starr had also observed defendant’s testimony about the charges relating to his
cellmate, Bennett. Defendant had claimed the sex acts were consensual, and he had
denied using any threats or violence.
       Dr. Starr believed defendant had not changed during his many years in custody,
based on the evidence of his attitude and disciplinary problems in prison and in the state
hospital. While in the state hospital, defendant had exhibited behavior indicating he
believed he did not need to follow the rules, such as sneaking food and shaking foot
powder all over the floor. In Dr. Starr’s opinion, defendant continued to pose a danger
of re-offense because his “personality structure” had not changed. Like Dr. Patterson,
Dr. Starr had determined that defendant scored an eight on both the Static-99R and the
Static-2002R. Dr. Starr acknowledged that defendant’s scores would drop when he
reached age 60. However, defendant would still be “high-risk.”
       Dr. Starr had read the defense experts’ evaluations of defendant. She was aware
that both experts had been “doing a lot of defense work” and that one of the experts,
Dr. Alumbaugh, had made a statement indicating she was “going to start finding a lot
of patients negative” after learning that the Department had changed the pay rate for
evaluators. The other defense expert, Dr. Frances, had expressed the opinion that
paraphilia-NOS was a “misused” diagnosis—an opinion that was not shared by other
experts.

                                             9
       Dr. Starr agreed with Dr. Patterson that defendant’s risk of reoffense was not
affected by the fact he had not committed further sex offenses while in prison. She
explained that in prison, defendant was “highly monitored,” even for the first few years,
when he was in the general population.
       C.     Defense Expert Witnesses
              1.     Dr. Frances
       Allen Frances, a psychiatrist, had not personally evaluated defendant nor read the
documents associated with his prior crimes such as the police reports and probation
reports. Dr. Frances had, however, reviewed the evaluation reports of Dr. Patterson and
Dr. Starr, which included information from those documents. All of Dr. Frances’s prior
testimony in SVP cases had been on behalf of the alleged SVP, and he had never been on
the panel of evaluators for SVP evaluations.
       Dr. Frances acknowledged that defendant’s crimes were horrible and
reprehensible, but he did not believe that the crimes indicated defendant suffered from
sexual sadism or showed defendant had any other mental disorder. Dr. Frances believed
that defendant’s crimes showed he had simply engaged in “the repetitive pattern of a
rapist.” While defendant had inflicted pain and demonstrated callousness, sexual sadism
requires “much more specific, repetitive, preferential use of pain as the way of getting
excited.” Dr. Frances was also critical of Dr. Starr’s diagnosis of unspecified paraphilia,
describing such a diagnosis as following “no criteria” and being unreliable. Additionally,
Dr. Frances opined that there was nothing in the record to support Dr. Patterson’s
diagnosis of an unspecified personality disorder. The fact that Dr. Patterson and Dr. Starr
failed to agree on a diagnosis, moreover, rendered their diagnoses “essentially
meaningless.”
              2.     Dr. Alumbaugh
       Mary Jane Alumbaugh, a clinical psychologist and a member of the Department’s
panel of SVP evaluators, had interviewed defendant two times in 2013 and once in 2014.

                                            10
Dr. Alumbaugh had spoken with defendant’s sister, reviewed documents from
defendant’s criminal history, and reviewed the reports of Dr. Patterson and Dr. Starr.
Dr. Alumbaugh denied that she had begun doing defense work out of frustration about
the rate of pay for SVP evaluations.
       Defendant told Dr. Alumbaugh about his family background. Defendant reported
having been very close with his mother, who “checked out” after her oldest son drowned.
Defendant reported that his father would criticize him and call him “a fucking fag.” As a
teenager, defendant struggled with his sexuality and eventually was “out on the streets”
using drugs and “selling himself.”
       Defendant also discussed his criminal history with Dr. Alumbaugh. He claimed
that he had believed the sex with James was consensual but conceded he had threatened
one of the victims into having sex with him. Defendant claimed the sex with Bennett had
started out as consensual, but he admitted that eventually he had taken “control” so that
the situation “went out bad.”
       Dr. Alumbaugh did not believe that defendant suffered from sadism (as diagnosed
by Dr. Patterson) or paraphilia (as diagnosed by Dr. Starr). Sadism requires more than
the use of force and violence: “What you have to see is an escalating sexual excitement
the more the victim suffers.” She believed defendant was a rapist, but “[r]ape does not
equate to sadism.” Defendant’s history of rapes also did not show that he suffered from
paraphilia, because there was no evidence that he was driven by the need for sexual
coercion. Moreover, someone suffering from paraphilia would have displayed “[s]ome
sort of sexual deviance” during the prior 30-plus years, even in prison. Dr. Alumbaugh
believed defendant chose to be a criminal; he did not suffer from volitional impairment
caused by a mental disorder.
       Like Drs. Patterson and Starr, Dr. Alumbaugh determined that defendant scored an
eight on the Static-99R. Nevertheless, she did not believe defendant was likely to
reoffend. Even though group data showed a recidivism rate of about 23 percent within

                                            11
five years, the data did not address a particular individual’s likelihood of reoffending.
She believed the more appropriate recidivism rate was 12 percent—the rate at which
male rapists in their 50’s reoffend. At age 60, defendant’s risk of reoffense would go
down to about three percent.
       In his interviews with Dr. Alumbaugh, defendant expressed remorse for his
crimes. Defendant had completed courses entitled, “Changing Your Thinking” and
“Empathy and Emotional Intelligence.”

                                    III.   DISCUSSION
       A.     Admission of Defendant’s Prior Testimony
       Defendant contends that he had a right not to testify against himself in his SVPA
commitment trials. His argument is based on the equal protection clauses of the state and
federal Constitutions: he contends a person subject to SVPA commitment proceedings is
similarly situated to a person found not guilty by reason of insanity (NGI) who is subject
to commitment proceedings and who has a right not to testify against himself or herself.
(See Pen. Code, § 1026.5, subd. (b)(7) [NGI’s are “entitled to the rights guaranteed under
the federal and State Constitutions for criminal proceedings”]; Hudec v. Superior Court
(2015) 60 Cal.4th 815, 832 (Hudec).) Defendant contends the trial court therefore erred
by admitting his testimony from the first trial (through the testimony of the prosecution’s
expert witnesses) and by telling the jury it could assess defendant’s refusal to testify
when determining his credibility.
              1.     Proceedings Below
       As noted above, defendant filed motions in limine before both his first and second
trials, arguing that he had a right, under the equal protection clauses of the state and
federal Constitutions, not to testify. In his motions, defendant compared SVPA
commitment proceedings to commitment proceedings under Welfare and Institutions
Code section 1800, which pertains to juveniles. The trial court denied the motions, ruling



                                              12
that the prosecution could call defendant as a witness. The prosecution called defendant
to testify at the first trial, and defendant responded to questions by the prosecution.
       Prior to the second trial, defendant not only refiled his prior motions in limine, but
he also moved to preclude Dr. Starr from testifying, because she had been allowed to
observe defendant’s testimony at the first trial and had been allowed to diagnose
defendant based on those observations. Defendant noted that Dr. Starr’s opinion had
changed after hearing defendant’s testimony: she had initially been “borderline” on
whether or not defendant suffered from a personality disorder, but after defendant’s
testimony, she had concluded that defendant suffered from antisocial personality disorder
with narcissistic traits.
       The trial court ruled that Dr. Starr could testify about her observations of
defendant’s testimony at the first trial, where he was asked about his criminal offenses
but minimized or denied much of the conduct. The trial court indicated that one reason
for its ruling was that defendant had refused to be interviewed for his evaluations.
       The prosecution called defendant to testify at the second trial, after Dr. Patterson
testified and before Dr. Starr testified. The prosecutor asked defendant whether he had
been truthful in court when he testified in “prior proceedings . . . dating back to the late
1970s.” Defendant replied that he was “going to have to exercise” his Fifth Amendment
right not to answer the questions. The prosecutor told defendant he did not have such a
right and asked the question again, specifying that she wanted to know whether defendant
had been untruthful in the 1979 trial involving the crimes against Rodolfo and Richard.
Defendant again replied that he was invoking the Fifth Amendment. After the trial court
told defendant he did not have a Fifth Amendment right not to answer the question,
defendant replied that he did not remember what he had said at the prior trial. Upon
further questioning from the prosecution, defendant maintained he had a Fifth
Amendment right not to respond, despite the trial court telling defendant that if he
refused to answer, “that can be assessed by the jury in determining your credibility,

                                              13
reliability, and accuracy.” After defendant once again stated that he was “going to have
to take the Fifth Amendment,” the trial court struck defendant’s testimony, admonished
the jury to disregard it, and deemed defendant unavailable, such that the prosecution
could introduce his testimony from the first trial. (See Evid. Code, § 240.)
       During argument to the jury, the prosecutor noted that “things like can’t follow
rules, can’t follow a court order to answer questions in a trial” showed that defendant
suffered from psychopathy. The prosecutor asked “why would we believe” that someone
who could not “follow basic rules” would not “commit the same offenses” that he
committed in the past.
              2.     Forfeiture
       The Attorney General contends defendant forfeited his specific equal protection
claim, which compares SVPA commitment proceedings to NGI commitment
proceedings. As noted above, defendant’s motion in limine compared SVPA
commitment proceedings to commitment proceedings under Welfare and Institutions
Code section 1800. The Attorney General contends that because defendant’s motion in
limine did not make the exact same argument that he now makes on appeal, we should
decline to consider the issue.
       As the Attorney General acknowledges, a similar forfeiture argument was rejected
in Curlee, supra, 237 Cal.App.4th 709. In Curlee, the defendant was called as a
prosecution witness but did not object on equal protection grounds. (Id. at pp. 712-713.)
The appellate court nonetheless exercised its discretion to consider the issue. The court
explained that at the time of Curlee’s trial, there was published case law holding that a
person could be called to testify against himself or herself in an SVPA commitment
proceeding, and there was a split of authority as to whether an NGI could be called to




                                             14
testify against himself or herself.5 (Id. at p. 714.) Considering the state of the law at the
time of Curlee’s commitment trial, it was “not unreasonable to assume that an objection
would have been futile and to apply the rule that a party is not required to make fruitless
objections.” (Id. at p. 715.) In addition, the court noted that considering the significant
liberty issue at stake in an SVPA commitment proceeding, it was “an appropriate exercise
of [its] discretion to consider Curlee’s contention for the first time on appeal,” as well as
“to forestall a later claim of ineffective assistance of counsel. [Citations.]” (Id. at
p. 716.)
       Similar considerations apply in the instant case. At the time of defendant’s SVPA
commitment hearing, the right of NGI’s not to testify—an essential component of
defendant’s equal protection claim—was not firmly established. (See Hudec, supra, 60
Cal.4th 815.) Defendant’s trial counsel may reasonably have believed that an argument
based on a comparison of the SVPA and NGI commitment proceedings would not have
been successful. Moreover, as stated in Curlee, addressing this issue is an appropriate
exercise of our discretion in light of the significant liberty issue at stake in an indefinite
SVPA commitment and because doing so will forestall a claim of ineffective assistance
of counsel.
              3.      Prejudice
       The Attorney General also argues that we need not address the merits of
defendant’s equal protection claim because even if the trial court erred by allowing the
prosecution to call him as a witness and present his prior testimony through its expert
witnesses, defendant was not prejudiced. The Attorney General contends that such an
error would be reviewed under the state law standard set forth in People v. Watson (1956)




       5
       Hudec, supra, 60 Cal.4th 815 subsequently held that an NGI may not be
compelled to testify at a commitment extension hearing.

                                               15
46 Cal.2d 818 (Watson), and that there is no reasonable probability that the jury would
have reached a different verdict because defendant “never testified” at his second trial.
       Defendant contends that prejudice should be assessed under the standard for
federal constitutional error set forth in Chapman v. California (1967) 386 U.S. 18
(Chapman) and that “it is impossible to say . . . beyond a reasonable doubt” that the use
of defendant’s prior testimony, combined with the comments of the trial court and the
prosecutor, did not contribute to the verdict. Defendant contends that the trial court’s
ruling was prejudicial because it permitted the prosecution to introduce defendant’s
testimony from the first trial, prior to which he had also objected to being compelled to
testify on the basis of equal protection.
       On this record, we would conclude that if the trial court erred by permitting the
prosecution to call defendant as a witness and by permitting the prosecution to introduce
defendant’s prior testimony, the error was not harmless under either the Watson or
Chapman standards. Defendant’s prior testimony played a substantial part in Dr. Starr’s
opinions and testimony. For instance, Dr. Starr found it significant that although
defendant testified he had been working as a prostitute at the time of his offense and
therefore had consensual sex partners, he had still engaged in non-consensual sexual acts
with the victims. Dr. Starr found defendant’s prior testimony important to her conclusion
that defendant had “antisocial personality features,” and to her conclusion that defendant
was deceitful, lacked empathy, and had not changed. Dr. Patterson also based some of
his opinions on defendant’s prior testimony. It is also significant that the jury was
permitted to assess defendant’s credibility based on his refusal to testify. (See People v.
Haynie (2004) 116 Cal.App.4th 1224, 1230 [citing Cramer v. Tyars (1979) 23 Cal.3d 131
for the proposition that “permitting the jury to observe the person sought to be committed
and to hear him speak and respond provided ‘the most reliable proof and probative
indicator of the person’s present mental condition’ ”].) In addition, the prosecutor
referred to defendant’s refusal to testify during argument, the prosecution experts did not

                                             16
agree on a diagnosis, and the defense experts testified that they did not believe defendant
suffered from a mental disorder. On this record, it is reasonably probable that the jury
would have reached a different verdict had the trial court not ruled that defendant could
be compelled to testify (see Watson, supra, 46 Cal.2d at p. 836) and we cannot say
beyond a reasonable doubt that the ruling “did not contribute to the verdict obtained”
(Chapman, supra, 386 U.S. at p. 24). We will therefore proceed to consider the merits of
defendant’s equal protection claim.
              4.      Analysis
       “ ‘ “The first prerequisite to a meritorious claim under the equal protection clause
is a showing that the state has adopted a classification that affects two or more similarly
situated groups in an unequal manner.” [Citations.] This initial inquiry is not whether
persons are similarly situated for all purposes, but “whether they are similarly situated for
purposes of the law challenged.” ’ [Citation.] In other words, we ask at the threshold
whether two classes that are different in some respects are sufficiently similar with
respect to the laws in question to require the government to justify its differential
treatment of these classes under those laws.” (McKee I, supra, 47 Cal.4th at p. 1202.)
       When personal liberty is at stake, “the applicable standard for measuring the
validity of the statutory scheme [at issue] requires application of the strict scrutiny
standard of equal protection analysis. Accordingly, the state must establish both that it
has a ‘compelling interest’ which justifies the challenged procedure and that the
distinctions drawn by the procedure are necessary to further that interest. [Citation.]”
(In re Moye (1978) 22 Cal.3d 457, 465 (Moye).)
       Defendant contends that prospective SVP’s are similarly situated to prospective
NGI committees with respect to the question of whether they can be compelled to testify
in their commitment proceedings, and that under the strict scrutiny standard, there is no
justification for disparate treatment in this regard.



                                              17
       This issue was recently addressed in Curlee, supra, 237 Cal.App.4th 709. The
Curlee court first reviewed Moye, supra, 22 Cal.3d 457, in which the California Supreme
Court compared NGI commitments to commitments under the former Mentally
Disordered Sex Offender Act (MDSOA), which was the forerunner to the SVPA. (See
Curlee, supra, at p. 716.) Moye considered whether, under principles of equal protection,
NGI committees could be confined beyond the maximum term for the underlying offense
unless “they can establish their own fitness for release” by a preponderance of the
evidence, in light of the fact that under other statutory schemes such as the MDSOA, the
People had the burden to justify commitment. (Moye, supra, at p. 463.) Moye held that
persons committed under the MDSOA were “quite similar” to those found to be NGI’s:
“Both classes, for example, involve persons who initially have been found to have
committed a criminal act, but whose mental condition warrants a period of confinement
for treatment in a state institution, in lieu of criminal punishment.” (Ibid.) Applying the
strict scrutiny standard of equal protection analysis (id. at p. 465), Moye further held that
the People “failed to justify the different treatment of the two classes of committed
persons” (id. at p. 466).
       Next, the Curlee court discussed McKee I, which involved numerous challenges to
the indeterminate term of commitment provided for by the SVPA. (See Curlee, supra,
237 Cal.App.4th at pp. 717-719.) In McKee I, one of the court’s holdings was that SVP’s
were similarly situated to NGI’s and that the People had not yet justified the differences
in the length of commitments under the two statutory schemes. (McKee I, supra, 47
Cal.4th at p. 1207.) The court explained that on remand, the People would need to show
that SVP’s “as a class bear a substantially greater risk to society” than NGI’s and persons
committed under the Mentally Disordered Offender (MDO) scheme, “and that therefore
imposing on them a greater burden before they can be released from commitment is
needed to protect society.” (Id. at p. 1208.)



                                                18
       The Curlee court then discussed McKee II, which was the appeal after the remand
ordered by McKee I. (See Curlee, supra, 237 Cal.App.4th at pp. 719-720.) The
McKee II court explained that on remand, the trial court had found that the People had
met their burden to establish that the indeterminate term requirement of the SVPA was
justified by the perceived “greater and unique dangers” that potential SVPA committees
pose compared to MDO’s and NGI’s. (McKee II, supra, 207 Cal.App.4th at p. 1332.)
Specifically, the People presented “evidence showing the inherent nature of the SVP’s
mental disorder makes recidivism significantly more likely for SVP’s as a class than for
MDO’s and NGI’s” (id. at p. 1340), “evidence that the victims of sex offenses suffer
unique and, in general, greater trauma than victims of nonsex offenses,” which is relevant
to show that SVP’s pose “a greater risk to a particularly vulnerable class of victims than
do MDO’s and NGI’s” (id. at p. 1342), and “evidence showing SVP’s are significantly
different from MDO’s and NGI’s diagnostically and in treatment” (id. at p. 1344).
       After analyzing these cases, the Curlee court addressed the question of whether
SVP’s were similarly situated to NGI’s for purposes of the right against self-
incrimination. (Curlee, supra, 237 Cal.App.4th at p. 720.) The Attorney General
claimed that the two groups were not similarly situated, in that hospital records are more
available in an NGI extension hearing than in an SVP commitment proceeding, because
an NGI has already been in treatment by the Department, unlike an SVP. (Ibid.) Curlee
disagreed, pointing out that an SVP undergoes at least two evaluations and may be
committed to the state hospital pending trial. (Ibid.) The Curlee court found that the
record in that case was “inadequate” for determining whether there was, in fact, a
difference in the amount of medical information available under the two commitment
schemes and concluded that the two groups were similarly situated for the purpose of
compelled testimony. (Id. at p. 721.) The court explained, “Both groups have committed
a criminal act and have been found to suffer from a mental condition that might present a
danger to others. [Citation.] At the end of the SVP’s prison term, and at the end of the

                                            19
term for which an NGI could have been imprisoned, each is committed to the state
hospital for treatment if, at the end of that period, the district attorney proves in a jury
trial beyond a reasonable doubt that the person presents a danger to others as a result of a
mental disease, defect, or disorder. [Citations.] The purpose of the commitment is the
same: To protect the public from those who have committed criminal acts and have
mental disorders and to provide mental health treatment for the disorders. [Citations.]”
(Id. at p. 720.)
       Next, the Curlee court examined whether the People had justified the disparate
treatment between SVP’s and NGI’s with respect to the right against self-incrimination.
(Curlee, supra, 237 Cal.App.4th at p. 721.) The Attorney General’s first argument was
similar to her argument about the two groups being similarly situated: that the disparate
treatment was justified in that “hospital records are more available in an NGI extension
hearing and in an SVP commitment proceeding,” and therefore that an SVP’s testimony
is more necessary than that of an NGI. (Ibid.) The Curlee court reiterated that the record
in that case was “inadequate” for determining whether there was, in fact, a difference in
the amount of medical information available under the two commitment schemes and
thus whether the disparate treatment was justified on that basis. (Ibid.)
       The Curlee court then addressed the Attorney General’s argument that the factors
justifying an indefinite commitment for SVP’s also justified the fact that SVP’s may be
called as witnesses. (Curlee, supra, 237 Cal.App.4th at p. 721.) The court was not
persuaded that these factors—the greater likelihood that SVP’s will commit new sexual
offenses when released, the greater trauma suffered by victims of sex offenses, and the
lower likelihood that SVP’s will participate in treatment—also showed “that an SVP’s
testimony is more necessary than that of NGI’s.” (Ibid.) The court questioned whether
there was a “nexus between these factors and the need for compelled testimony from an
SVP, but not an NGI.” (Id. at p. 722.) In the end, because the equal protection issue in
Curlee had not been litigated in the trial court, Curlee followed McKee I’s lead and

                                              20
remanded the matter to the trial court for an evidentiary hearing, to allow the People to
demonstrate a justification for giving NGI’s the right against self-incrimination but not
SVP’s. (Ibid.)
       In the instant case, the Attorney General contends “Curlee was incorrect and
should not be followed.” The Attorney General first argues that SVP’s and NGI’s are
not similarly situated for the purpose of compelled testimony. The Attorney General
contends the Curlee court erred by finding that there was insufficient evidence to
determine whether a greater amount of treatment data was available in an NGI
proceeding than in an SVPA proceeding. We agree with Curlee that this argument “is
more closely connected to the question of whether the [state] has justified the disparate
treatment of NGI’s and SVP’s than to the question of whether they are in fact similarly
situated.” (Curlee, supra, 237 Cal.App.4th at p. 721.) We will therefore address the
Attorney General’s assertion regarding the amount of available treatment data in the
context of determining whether there is justification for disparate treatment of NGI’s and
SVP’s.
       The Attorney General argues that it is true “as a legislative fact” that there is a
greater amount of treatment data available in NGI commitment proceedings than in
SVPA proceedings. The Attorney General contends this position is supported by Jones v.
United States (1983) 463 U.S. 354 (Jones), which compared statutory schemes for NGI
commitments and civil commitments for persons who are mentally ill and likely to injure
themselves or others. (Id. at pp. 358-359.) Jones held that there were “important
differences” that justified differing standards of proof: a preponderance of the evidence
for NGI commitments, but clear and convincing evidence for civil commitments. (Id. at
p. 367.) The Jones court explained that there was “diminished concern as to the risk of
error” in the NGI scheme, because a commitment “follows only if the acquittee himself
advances insanity as a defense and proves that his criminal act was a product of his



                                              21
mental illness,” whereas the civil commitment scheme required the government to prove
the person had a mental illness and was dangerous. (Id. at p. 367, fns. omitted.)
       The Curlee court found Jones did not support a finding that NGI’s and SVP’s
were similarly situated for purposes of compelled testimony because Jones “allowed a
lower standard of proof for NGI’s—that is, less favorable treatment—because they had
already advanced their insanity as a defense and proved their criminal acts were a result
of their mental illness. [Citation.]” (Curlee, supra, 237 Cal.App.4th at p. 721, fn. 6.) In
the present case, defendant’s argument is based on the claim that there is no justification
to give NGI’s more favorable treatment than SVP’s. We also note that the issue in Jones
could be resolved based on the express provisions of the statutes at issue. By contrast,
the Attorney General’s argument about the greater availability of treatment records rests
on an assumption drawn from the statutory schemes. Thus, we agree with the Curlee
court that it “may or may not be true” that “hospital records are more available in an NGI
extension hearing than in an SVP commitment proceeding, and therefore the SVP’s
testimony is more necessary than that of an NGI,” but that this is a question of fact and
that “the record before us is inadequate for us to make that determination.” (Id. at
p. 721.)
       As in Curlee, we will remand this matter to the trial court and direct the trial court
to conduct an evidentiary hearing at which the People will have the opportunity to show
that the differential statutory treatment of SVP’s and NGI’s is justified with respect to the
right not to testify. Because we will order the trial court to confirm its order finding
defendant to be an SVP and committing him to the Department if the court finds that the
People have carried their burden, we proceed to consider defendant’s remaining claims.
       B.     Allowing Adverse Inferences from Refusal to Testify
       Defendant contends that his Fifth Amendment rights were violated “because he
was chastised for refusing to answer questions that could have incriminated him.” He
references his refusal to answer questions designed at eliciting an admission that he had

                                             22
been untruthful—i.e., that he had committed perjury—in prior court proceedings and
notes that he retained Fifth Amendment rights despite the fact that this was a civil trial.
(See Griego v. Superior Court (2000) 80 Cal.App.4th 568, 573.) Defendant contends that
although his responses were ultimately stricken, he suffered prejudice because his prior
testimony was admitted as a result of him invoking the Fifth Amendment and because the
trial court indicated that the jury could consider defendant’s refusal to testify when
evaluating his credibility.
       The Attorney General concedes that even if the prosecution had the right to call
defendant as a witness, “it did not have the right to question him about matters that would
tend to incriminate him, i.e., criminal acts for which he could still be punished.” The
Attorney General argues, however, that the questions posed by the prosecutor would not
subject defendant to punishment because the prosecutor’s final question asked whether
defendant had previously admitted perjury. The Attorney General also argues that any
error was harmless beyond a reasonable doubt because defendant did not respond to the
prosecutor’s questions about perjury, his “minimal” other testimony was stricken, and the
jury was not instructed it could consider defendant’s refusal to testify in determining his
credibility.
       We will assume, arguendo, that defendant had a Fifth Amendment right not to
answer questions designed to elicit his admissions to perjury, and that the trial court
therefore erred by failing to recognize that defendant had such a right and by informing
defendant that if he refused to answer, “that can be assessed by the jury in determining
your credibility, reliability, and accuracy.” Beyond a reasonable doubt, the trial court’s
ruling and comment “did not contribute to the verdict obtained.” (Chapman, supra, 386
U.S. at p. 24.) First, defendant did not admit perjury in response to any of the questions.
Second, the jury was instructed not to consider defendant’s testimony, and although the
trial court warned defendant that the jury could consider his refusal to testify in
determining his credibility, the trial court never gave the jury itself such an instruction.

                                              23
Finally, defendant’s prior testimony would have been admissible even if the trial court
had found that defendant had a valid Fifth Amendment privilege, because defendant still
would have been unavailable. (See Evid. Code, §§ 240, subd. (a)(1), 1291, subd. (a).)
Any error was therefore harmless beyond a reasonable doubt.
       C.     Admission of Hearsay and Exclusion of Impeachment Evidence
       Defendant contends the trial court erred by allowing the prosecution to present the
hearsay statement of one of defendant’s victims, Rodolfo, and by refusing to allow the
defense to introduce evidence of Rodolfo’s 1996 sexual battery conviction for
impeachment. Defendant contends the error violated his right to cross-examine
witnesses.
              1.     Proceedings Below
       In limine, defendant moved to exclude “all hearsay evidence.” Defendant’s
motion listed a number of statements he sought to exclude, including “any statement by
[Rodolfo] that a knife was used.” Defendant asserted that the statement was unreliable
because “[a] knife was never found and the prosecutor declined to charge [defendant]
with an arming allegation.” Defendant further argued that Rodolfo’s statement should be
excluded pursuant to Evidence Code section 352 because its admission could lead to
juror prejudice, confusion of the issues, and undue consumption of time.
       The trial court denied, as overbroad, defendant’s motion to exclude “all hearsay.”
The trial court also specifically ruled that the prosecution could introduce Rodolfo’s
statement about defendant using a knife.
       The prosecution introduced Rodolfo’s statement through Dr. Patterson. The
defense then elicited Dr. Starr’s testimony that in defendant’s criminal trial stemming
from the Rodolfo incident, the trial court had found an arming allegation untrue.
Dr. Starr testified that in her opinion, the not true finding did not indicate Rodolfo was
not credible. Rodolfo’s account of the incident had contained “some inconsistencies”
but in general, he had been consistent, and defendant had corroborated many details.

                                             24
         At the end of trial, defendant’s trial counsel sought to introduce evidence that
Rodolfo had suffered a sexual battery conviction in 1996. The trial court excluded the
evidence under Evidence Code section 352 “due to the undue consumption of time” and
the fact that “it’s not an issue that has great moment with respect to the issue in this
case.”
                2.     Analysis
         We first address defendant’s claim that the trial court should not have permitted
the prosecution to introduce Rodolfo’s hearsay statement about defendant’s use of a knife
during the 1979 incident. Defendant acknowledges that experts are entitled to rely on
hearsay statements in forming their opinions, but he argues that the trial court should
have excluded the statement itself pursuant to Evidence Code section 352, because there
was a risk the jury would use the statement as substantive evidence. (See People v.
Valdez (1997) 58 Cal.App.4th 494, 511 (Valdez) [trial court can preclude expert from
relating hearsay to jury under Evidence Code section 352].)
         Under the circumstances, it was “well within the trial court’s discretion” to allow
the prosecution’s experts to relate Rodolfo’s statement. (Valdez, supra, 58 Cal.App.4th
at p. 510.) The trial court reasonably determined that Rodolfo’s statement about
defendant’s use of a knife did not “create substantial danger of undue prejudice, of
confusing the issues, or of misleading the jury.” (Evid. Code, § 352, subd. (b).) The
evidence established that defendant had used a knife in committing other offenses—those
involving the two juveniles (James and Adam)—so the Rodolfo statement was not
particularly inflammatory. Further, defendant was able to elicit evidence that an arming
allegation was not found true in the trial of the Rodolfo robbery.
         We next turn to defendant’s claim that the trial court erred by precluding
defendant from introducing Rodolfo’s 1996 sexual battery conviction as impeachment
evidence. The Attorney General first points out that although evidence of prior felony
convictions is admissible “to attack the credibility of a hearsay declarant” under Evidence

                                               25
Code sections 788 and 1202 (see People v. Jacobs (2000) 78 Cal.App.4th 1444, 1449), in
this case the hearsay statement was not offered for its truth but as the basis for expert
opinion. Since hearsay is defined as a statement that is “offered to prove the truth of the
matter stated” (Evid. Code, § 1200, subd. (a)), Rodolfo’s credibility could not be attacked
by admission of his felony conviction. Even if admissible, however, the trial court did
not abuse its discretion by excluding the conviction pursuant to Evidence Code section
352. The conviction’s probative value was decreased by the fact Rodolfo suffered the
conviction about 17 years after he made the statement about defendant using the knife.
Further, to the extent the conviction cast doubt on Rodolfo’s credibility, it was somewhat
cumulative of the evidence that an arming allegation had been found not true in the 1979
robbery trial. Under these circumstances, the trial court reasonably found that the
conviction would consume an undue amount of time and reasonably excluded the
evidence under Evidence Code section 352.
       D.     Failure to Give Pinpoint Instruction
       Defendant contends the trial court erred by failing to give a pinpoint instruction on
the meaning of the word “likely,” which would have included the phrase “high risk of
offense.”
              1.     Proceedings Below
       As noted above, defendant requested the pinpoint instruction in his motions in
limine. Defendant’s proposed instruction provided: “The word ‘likely’ as used in this
definition means the person presents a substantial danger, that is, a serious and well-
founded risk that he will commit sexually violent predatory crimes if free in the
community. It does not mean that it must be more probable than not that there will
be an instance of reoffending. However, you may not find the respondent to be a
sexually violent predator unless you find that the respondent does in fact present a
high risk of re-offense.” (Bold in original.)



                                             26
       The trial court declined to give defendant’s proposed instruction and instructed the
jury pursuant to CALJIC No. 4.19, as follows: “The term ‘Sexually Violent Predator’
means a person who: One, has been convicted of a sexually violent offense against one
or more victims, and two, has a diagnosed mental disorder, and three, the disorder makes
him a danger to the health and safety of others, in that it is likely that he will engage in
sexually violent predatory criminal behavior. [¶] The word ‘likely,’ as used in this
definition, means that the person presents a substantial danger, that is a serious and well-
founded risk that he will commit sexually violent predatory crimes if free in the
community. [¶] The term ‘likely,’ as used in this definition, means much more than a
mere possibility, but it does not mean more likely than not. In other words, the likelihood
that the person will engage in such conduct does not have to be greater than 50 percent.”
              2.      Analysis
       A defendant “has a right to an instruction that pinpoints the theory of the defense.”
(People v. Mincey (1992) 2 Cal.4th 408, 437, italics omitted.) The trial court may,
however, “properly refuse an instruction offered by the defendant if it incorrectly states
the law, is argumentative, duplicative, or potentially confusing [citation], or if it is not
supported by substantial evidence [citation].” (People v. Moon (2005) 37 Cal.4th 1, 30
(Moon).) We apply the de novo standard of review when determining whether the trial
court erred in refusing to give a requested pinpoint instruction. (People v. Johnson
(2009) 180 Cal.App.4th 702, 707.)
       The language in defendant’s proposed pinpoint instruction is taken from People v.
Superior Court (Ghilotti) (2002) 27 Cal.4th 888 (Ghilotti). In that case, the court
explained that in the word “likely,” when used in the context of the likelihood of re-
offense, “must be given a meaning consistent with the statute’s clear overall purpose,”
which is “to protect the public from that limited group of persons who were previously
convicted and imprisoned for violent sex offenses, and whose terms of incarceration have
ended, but whose current mental disorders so impair their ability to control their violent

                                              27
sexual impulses that they do in fact present a high risk of reoffense if they are not treated
in a confined setting.” (Id. at p. 921.) The Ghilotti court concluded that the phrase
“likely to engage in acts of sexual violence” (Welf. & Inst. Code, § 6601, subd. (d))
“connotes much more than the mere possibility that the person will reoffend as a result of
a predisposing mental disorder that seriously impairs volitional control.” (Ghilotti, supra,
at p. 922.) The court held that an alleged SVP “is ‘likely’ to reoffend if, because of a
current mental disorder which makes it difficult or impossible to restrain violent sexual
behavior, the person presents a substantial danger, that is, a serious and well-founded
risk, that he or she will commit such crimes if free in the community.” (Ibid.)
       In Ghilotti, the California Supreme Court rejected the argument that
“constitutional principles of substantive due process, as applicable to involuntary civil
commitment statutes, require a limitation of such commitments to persons who are
‘highly likely’ to reoffend.” (Ghilotti, supra, 27 Cal.4th at p. 923.) The court was
unpersuaded that “a valid involuntary commitment law requires proof that the person is
more likely than not to reoffend.” (Ibid.) It determined that “the state has a compelling
protective interest in the confinement and treatment of persons who have already been
convicted of violent sex offenses, and who, as the result of current mental disorders that
make it difficult or impossible to control their violent sexual impulses, represent a
substantial danger of committing similar new crimes [citations], even if that risk cannot
be assessed at greater than 50 percent.” (Id. at p. 924.)
       A full reading of Ghilotti shows that defendant’s proposed instruction was likely
to confuse and mislead the jury regarding the meaning of “likely” as used in the
definition of “sexually violent predator” and that the trial court’s instruction adequately
and accurately defined the term “likely.” The trial court therefore did not err in refusing
to give that instruction. (See Moon, supra, 37 Cal.4th at p. 30.)




                                             28
       E.      Use of Term “Sexually Violent Predator”
       Defendant contends the trial court erred by allowing the prosecution to use the
term “sexually violent predator” at trial, over his objection. As noted above, defendant
sought this ruling in his motions in limine, but the trial court found that the term
“sexually violent predator” could be used during the trial.
       Trial courts have a duty to advise the jury of the legal principles necessary for a
proper evaluation of the case. (See People v. DePriest (2007) 42 Cal.4th 1, 50.) Using
the defining language from a statute is an appropriate way to inform the jury about the
definition of the offense. (People v. Estrada (1995) 11 Cal.4th 568, 574; People v. Poggi
(1988) 45 Cal.3d 306, 327.)
       Welfare and Institutions Code section 6600, subdivision (a)(1) defines the term
“ ‘[s]exually violent predator’ ” as “a person who has been convicted of a sexually
violent offense against one or more victims and who has a diagnosed mental disorder that
makes the person a danger to the health and safety of others in that it is likely that he or
she will engage in sexually violent criminal behavior.”
       Here, the trial court did not abuse its discretion by permitting the prosecution to
use the defining term contained in the applicable statute, since the jury was required to
prove that defendant fit the definition of that term (“sexually violent predator”). Further,
nothing in the record shows that the use of the phrase “sexually violent predator” resulted
in prejudice to defendant, and thus the trial court’s ruling did not violate defendant’s
rights to due process and a fair trial.
       F.      Cumulative Error
       Defendant contends the cumulative effect of the errors in his case denied him a
fair trial. (See People v. Hill (1998) 17 Cal.4th 800, 844 [“a series of trial errors, though
independently harmless, may in some circumstances rise by accretion to the level of
reversible and prejudicial error”].) We are remanding the matter for a determination of
whether defendant had an equal protection right not to testify. We determined that even

                                              29
if the trial court erred by finding that defendant had no Fifth Amendment privilege with
respect to questions designed to elicit his admissions to perjury, the error was harmless.
We found that none of defendant’s other claims have merit. Thus, there is no cumulative
prejudice.
       G.     Indeterminate Commitment
       Defendant contends that his indeterminate commitment under the SVPA, as
amended in 2006, violates equal protection, due process, and ex post facto principles of
the federal Constitution.6
              1.     Equal Protection
       Defendant’s equal protection argument has been rejected in McKee II, supra, 207
Cal.App.4th 1325 and in subsequent appellate court decisions, including People v.
McDonald (2013) 214 Cal.App.4th 1367 (McDonald), People v. Landau (2013) 214
Cal.App.4th 1 (Landau), People v. McCloud (2013) 213 Cal.App.4th 1076, and People v.
McKnight (2012) 212 Cal.App.4th 860 (McKnight).
       As an initial matter, defendant argues that McKee II is not binding authority on
this court and that he is entitled to present his own evidence on the question of whether
an indefinite commitment violates equal protection as a matter of due process. However,
the California Supreme Court not only denied review in McKee II, McDonald, Landau,
and McKnight, but it clearly indicated its belief that the remand proceedings following
McKee I would be determinative of the equal protection issue state-wide. As the
McKnight court noted, the California Supreme Court transferred “the multiple ‘grant and

       6
         Before 2006, an individual determined to be an SVP was committed to the
custody of the Department of Mental Health for a two-year term, which could be
extended for additional two-year periods. (Former Welf. & Inst. Code, § 6604, as
amended by Stats. 2000, ch. 420, § 3; former Welf. & Inst. Code, § 6604.1, as amended
by Stats. 2000, ch. 420, § 4.) In 2006, through both legislation and a voter initiative, the
SVPA was amended to provide for an indeterminate term of commitment. (Stats. 2006,
ch. 337, §§ 55, 56; Prop. 83; see People v. Whaley (2008) 160 Cal.App.4th 779, 785-
787.)

                                             30
hold’ cases under McKee I . . . to the Courts of Appeal with directions to vacate their
prior opinions and suspend further proceedings until the McKee I remand proceedings
were final, ‘in order to avoid an unnecessary multiplicity of proceedings.’ ” (McKnight,
supra, 212 Cal.App.4th at p. 863.)
       Defendant next contends McKee II was wrongly decided. First, defendant claims
that the McKee II court applied a deferential standard of review rather than an
independent standard of review. Defendant acknowledges that the appellate court stated
that it was conducting a de novo review (McKee II, supra, 207 Cal.App.4th at p. 1338),
but he asserts that the court actually performed a substantial evidence review.
Having reviewed the opinion, we believe the McKee II court’s description of its review is
consistent with an independent, de novo review of the evidence, as well as with the
California Supreme Court’s opinion and directions in McKee I. After the McKee I court
remanded the case, the McKee II court independently reviewed all of the evidence and
concluded that “the disparate treatment of SVP’s under the [SVPA] is reasonable and
factually based and was adequately justified by the People at the evidentiary hearing on
remand.” (McKee II, supra, 207 Cal.App.4th at p. 1348; see McKnight, supra, 212
Cal.App.4th at p. 864 [finding that the “claim that the appellate court failed to
independently review the trial court’s determination is frivolous”]; Landau, supra, 214
Cal.App.4th at pp. 47-48; McDonald, supra, 214 Cal.App.4th at pp. 1378, 1381.)
       Second, defendant claims that the McKee II court in effect applied a rational basis
test rather than a strict scrutiny test in reviewing the evidence presented at the hearing.
We disagree that McKee II failed to apply strict scrutiny. The McKee II court referred to
the issue as “whether the People presented substantial evidence to support a reasonable
inference or perception that the [SVPA’s] disparate treatment of SVP’s is necessary to
further compelling state interests. [Citations.]” (McKee II, supra, 207 Cal.App.4th at
p. 1339, italics added.) Moreover, the appellate court’s use of the phrase “reasonable
inference or perception” (ibid.) reflects the California Supreme Court’s remand

                                              31
instructions. In McKee I, the court stated, “On remand, the government will have an
opportunity to justify Proposition 83’s indefinite commitment provisions . . . and
demonstrate that they are based on a reasonable perception of the unique dangers that
SVP’s pose rather than a special stigma that SVP’s may bear in the eyes of California’s
electorate.” (McKee I, supra, 47 Cal.4th at p. 1210, fn. omitted.) Thus, in applying the
strict scrutiny test, McKee II followed the language set forth in McKee I.
       Moreover, we agree with the McKee II court’s statement that “[w]e are
unpersuaded the electorate that passed Proposition 83 in 2006 was required to adopt the
least restrictive means available (e.g., a two-year or other determinate term of civil
commitment) in disparately treating SVP’s and furthering the compelling state interests
of public safety and humane treatment of the mentally disordered.” (McKee II, supra,
207 Cal.App.4th at p. 1349.) Given the evidence presented in McKee II—that the vast
majority of SVP’s are diagnosed with pedophilia or other paraphilias, that a paraphilia
ordinarily persists throughout a patient’s lifetime, that treatment is not focused on
medication, and that most SVP’s do not participate in treatment (id. at pp. 1344-1345)—
we have no basis for concluding that an indeterminate term is not necessary to further the
compelling state interest in providing treatment to SVP’s and protecting the public or that
there is any less burdensome alternative to effectuate those interests.
       Defendant’s third contention is that the McKee II court’s analysis was flawed
because the trial court had not analyzed the electorate’s “actual motivation” for amending
the SVPA but rather evidence “about the theoretical reasons” for requiring indeterminate
commitment terms. We find no merit in this contention. As we have discussed, the
McKee II court’s analysis was consistent with the remand instructions of the California
Supreme Court in McKee I: “On remand, the government will have an opportunity to
justify Proposition 83’s indefinite commitment provisions . . . and demonstrate that they
are based on a reasonable perception of the unique dangers that SVP’s pose rather than a



                                             32
special stigma that SVP’s may bear in the eyes of California's electorate.” (McKee I,
supra, 47 Cal.4th at p. 1210, fn. omitted.)
       Defendant’s fourth claim is that the McKee II court failed to require that the
indeterminate term provision of the SVPA be “narrowly tailored” to serve its “purported
purpose.” In McKee II, the defendant similarly argued that the SVPA was
unconstitutional unless it adopted the “least restrictive means available.” (McKee II,
supra, 207 Cal.App.4th at p. 1349.) The McKee II court rejected this argument,
explaining, “[O]ur review of equal protection case law shows the two-part test, as
discussed in Moye[, supra, 22 Cal.3d 457] and McKee [I ], is the prevailing standard. . . .
Therefore, in strict scrutiny cases, the government must show both a compelling state
interest justifying the disparate treatment and that the disparate treatment is necessary to
further that compelling state interest. [Citations.] We are unpersuaded the electorate that
passed Proposition 83 in 2006 was required to adopt the least restrictive means available
(e.g., a two-year or other determinate term of civil commitment) in disparately treating
SVP’s and furthering the compelling state interests of public safety and humane treatment
of the mentally disordered.” (McKee II, supra, at p. 1349.)
       We agree with the McKee II court’s analysis of this issue. In remanding the case
in McKee I, the California Supreme Court instructed the trial court to “apply[ ] the equal
protection principles articulated in Moye and related cases discussed in the [McKee I ]
opinion” (McKee I, supra, 47 Cal.4th at p. 1208), and to determine whether, after a trial,
the People had shown that imposing on SVP’s greater burdens to obtain release from
commitment is necessary to promote the state’s compelling interests in public safety and
humane treatment of the mentally ill (id. at pp. 1207-1211). The evidence the People
presented in McKee II—that the vast majority of SVP’s are diagnosed with pedophilia or
other paraphilias, that a paraphilia ordinarily persists throughout a patient’s lifetime, that
treatment is not focused on medication, and that most SVP’s do not participate in
treatment (McKee II, supra, 207 Cal.App.4th at pp. 1344-1345)—supported the

                                              33
conclusion that an indeterminate term is necessary to further the compelling state interest
in providing treatment to SVP’s and protecting the public. We thus have no basis to hold
otherwise or determine that there is any less burdensome or narrowly tailored alternative
to effectuate those interests.
       Finally, defendant contends the McKee II court failed to address or distinguish
In re Calhoun (2004) 121 Cal.App.4th 1315 (Calhoun) to the extent it held that
differences between MDO’s and SVP’s did not justify different schemes for forcible
administration of medication. However, the equal protection issue in McKee II turned on
the differences in SVP’s and MDO’s recidivism rates, dangerousness, and diagnosis and
treatment. (McKee II, supra, 207 Cal.App.4th at pp. 1340-1347.) The equal protection
issue in Calhoun, in contrast, turned on whether there were any differences between
SVP’s and MDO’s regarding the need for and effectiveness of antipsychotic medication.
The decision in Calhoun thus has little relevance to the issues presented in McKee II.
(See McKee I, supra, 47 Cal.4th at p. 1220, fn. 4 (conc. & dis. opn. of Chin, J.) [noting
that Calhoun “hardly applies here” because the “exact criteria for medicating mentally
disordered offenders is an entirely different matter from the procedures adopted for
releasing them into society”].)
       In light of the California Supreme Court’s clearly expressed intent to avoid an
unnecessary multiplicity of proceedings, the denial of review in McKee II, and our
conclusions regarding the asserted flaws in McKee II, we find that defendant's equal
protection claims are without merit.
              2.      Due Process
       In McKee I, the California Supreme Court determined that a person subject to an
indefinite commitment under the amended SVPA is not deprived of due process because
he or she has the burden, after the initial commitment, to show by a preponderance of the
evidence that he or she no longer meets the statutory criteria for commitment as an SVP.
(McKee I, supra, 47 Cal.4th at p. 1191.) The McKee I court also found no merit in the

                                            34
contention that the trial court’s discretion to deny as frivolous a committed person’s
petition for conditional release pursuant to section 6608, subdivision (a) violates due
process. (McKee I, supra, at p. 1192.) Finally, the McKee I court construed the amended
SVPA to implicitly provide for the appointment of a state-funded mental health expert
when a committed person petitions for release under section 6608, subdivision (a), and
that as so construed, “it does not violate the due process clause.” (McKee I, supra, at
p. 1193.)
       Defendant contends the due process issues addressed in McKee I “must be
revisited.” However, we are bound by McKee I (see Auto Equity Sales, Inc. v. Superior
Court (1962) 57 Cal.2d 450, 455 (Auto Equity Sales)) and therefore must reject
defendant’s due process contention.
              3.     Ex Post Facto and Double Jeopardy
       Defendant contends that the SVPA’s requirement of an indeterminate commitment
renders the SVPA punitive in nature and violates the ex post facto and double jeopardy
clauses of the federal constitution.
       In McKee I, the California Supreme Court reiterated its decision in Hubbart v.
Superior Court (1999) 19 Cal.4th 1138 that the SVPA was not punitive because it had
two nonpunitive objectives, “treatment for the individual committed and protection of the
public.” (McKee I, supra, 47 Cal.4th at p. 1194.) After examining the amended SVPA,
the McKee I court determined that “the Proposition 83 amendments at issue here cannot
be regarded to have changed the essentially nonpunitive purpose of the [SVPA],” and
therefore that the amended SVPA does not violate the ex post facto clause. (Ibid.)
       In light of the California Supreme Court’s holding in McKee I that the amended
SVPA is not punitive in nature, defendant’s ex post facto and double jeopardy claims are
without merit. (See People v. Carlin (2007) 150 Cal.App.4th 322, 348, italics omitted
[California Supreme Court’s determination that SVPA is not punitive “ ‘removes an



                                             35
essential prerequisite for both . . . double jeopardy and ex post facto claims’ ”]; Auto
Equity Sales, supra, 57 Cal.2d at p. 455.)

                                   IV.     DISPOSITION
       The matter is remanded to the trial court for further proceedings. On remand, the
trial court is directed to conduct an evidentiary hearing at which the People will have the
opportunity to show that the differential statutory treatment of SVP’s and NGI’s is
justified with respect to the right not to testify. If the trial court determines the People
have carried their burden to justify that differential treatment, it shall confirm its order
finding defendant to be an SVP and committing him to the Department of Mental Health.
If the trial court determines the People have not carried their burden, the trial court shall
conduct a new hearing under the SVPA to determine whether defendant is an SVP.




                                              36
                             ___________________________________________
                             BAMATTRE-MANOUKIAN, J.




WE CONCUR:




__________________________
ELIA, ACTING P.J.




__________________________
MIHARA, J.




People v. Stillwell
H041819
