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                                                  ADVANCE SHEET HEADNOTE
                                                                 June 1, 2020

                                    2020 CO 45

No. 18SC445, People v. Jones—Statutory Interpretation—Sixth Amendment—
Closure—Public Trial—Child Abuse—Person—Rule of Lenity—Structural
Error.

      The supreme court holds that the trial court’s exclusion of the defendant’s

parents during the testimony of two of his children constituted a partial closure of

the courtroom. Further, because the trial court made no findings pursuant to

Waller v. Georgia, 467 U.S. 39 (1984) before closing the courtroom, and a remand for

additional findings cannot remedy that oversight, it violated the defendant’s Sixth

Amendment right to a public trial. And because that error was structural, Jones is

entitled to a new trial.

      The supreme court also concludes that it cannot discern the legislature’s

intent regarding a defendant’s criminal liability under the child abuse statute for

injury he caused to an unborn fetus who is later born alive with the consequences

of that injury. Under the rule of lenity, the court therefore vacates the defendant’s

conviction for child abuse and concludes that he may not be retried on that charge.
                 The Supreme Court of the State of Colorado
                 2 East 14th Avenue • Denver, Colorado 80203

                                   2020 CO 45

                      Supreme Court Case No. 18SC445
                    Certiorari to the Colorado Court of Appeals
                     Court of Appeals Case No. 14CA1752

                                   Petitioner:

                     The People of the State of Colorado,

                                        v.

                                  Respondent:

                         Andre Demetrius Willi Jones.

                              Judgment Affirmed
                                    en banc
                                  June 1, 2020


Attorneys for Petitioner:
Philip J. Weiser, Attorney General
Erin K. Grundy, Assistant Attorney General
      Denver, Colorado

Attorneys for Respondent:
Megan A. Ring, Public Defender
James S. Hardy, Lead Deputy Public Defender
      Denver, Colorado


JUSTICE HOOD delivered the Opinion of the Court.
JUSTICE BOATRIGHT dissents, and CHIEF JUSTICE COATS and JUSTICE
SAMOUR join in the dissent.
¶1    A jury concluded that Andre Jones shot and killed his estranged and

pregnant wife. Although she died, medical personnel managed to deliver her

severely injured baby. The jury found Jones guilty of many crimes related to the

shooting, including first degree murder of his wife and child abuse resulting in

serious bodily injury.

¶2    A division of the court of appeals reversed. First, it determined that the trial

court erred by excluding Jones’s parents from the courtroom during the testimony

of two witnesses. The division therefore reversed the judgment of conviction and

remanded the case for a new trial. Second, in a split decision, the division also

held that Jones could not be retried for child abuse because an unborn fetus, even

if later born alive, is not a “person” under the child abuse statute.

¶3    We affirm the division’s decision on both issues, albeit on slightly different

grounds as to the child abuse issue. First, the trial court’s exclusion of Jones’s

parents constituted a partial closure of the courtroom that violated Jones’s Sixth

Amendment right to a public trial. Because that error was structural, Jones is

entitled to a new trial. Second, we cannot discern the legislature’s intent regarding

a defendant’s criminal liability under the child abuse statute for injury he caused

to an unborn fetus who is later born alive. Under the rule of lenity, we therefore

vacate Jones’s conviction for child abuse and conclude that he may not be retried

on that charge.

                                          2
                         I. Facts and Procedural History

¶4      The record at trial established the following facts.

¶5      Jones broke into his estranged wife’s apartment while she was not home.

He then lay in wait until she returned. As she attempted to unlock her front door,

he fired a gun through the door, shooting her in the abdomen. She died shortly

after reaching the hospital. At the time, she was about thirty weeks pregnant.

¶6      As a result of the mother’s blood loss, the fetus was deprived of oxygen for

an extended period of time. Although the baby survived, she was born with—and

continues to endure—severe neurological deficits. The baby suffered a brain

injury, which caused lack of muscle control. She is unable to breathe or swallow

on her own. Therefore, she has a surgically implanted tube that allows her to eat,

though its use requires frequent hospital visits. She also has vision and hearing

loss.

¶7      The prosecution charged Jones with first degree murder (after deliberation),

first degree murder (felony murder), unlawful termination of a pregnancy, child

abuse resulting in serious bodily injury, second degree burglary, first degree

trespass, possession of a defaced firearm, and two crime-of-violence counts.

Jones’s defense at trial was one of identity—he asserted that he was not the

perpetrator. A jury convicted Jones as charged, and the court sentenced him to a

cumulative term of life in prison.


                                           3
¶8    Jones appealed. Among other things, Jones asserted that (1) the trial court

violated his constitutional right to a public trial by excluding his parents from the

courtroom during the testimony of his two children; and (2) he could not be tried

for child abuse because the child abuse statute does not recognize an unborn fetus

as a “person,” even if the fetus is subsequently born alive.

¶9    A division of the court of appeals unanimously agreed with Jones that the

trial court had violated his right to a public trial and that a new trial was

warranted. People v. Jones, No. 14CA1752, ¶ 1 (Apr. 19, 2018). It therefore reversed

the judgment of conviction, vacated Jones’s sentences, and remanded the case for

a new trial. Id.

¶10   The division was divided, however, on whether Jones could be retried for

child abuse. The majority concluded that, under the child abuse statute, a fetus is

not a “person.” Id. at ¶ 45. Accordingly, the division held that on remand, Jones

could only be tried “for the offenses of first degree murder after deliberation,

second degree burglary, and possession of a defaced firearm.” Id. at ¶ 82. In his

dissent, Judge Webb concluded that the prosecution should be able to retry Jones

for child abuse, primarily based on the common law “born alive” doctrine, id. at

¶ 83, which we discuss in greater detail below.




                                         4
¶11      We granted the prosecution’s petition for certiorari review.1

                                     II. Analysis

¶12      We first address a defendant’s constitutional right to a public trial. We

examine what constitutes a closure of the courtroom implicating that right. Based

on the circumstances presented here, we conclude that there was a partial closure

that violated Jones’s right to a public trial. Because this constituted structural

error, Jones is entitled to a new trial.

¶13      We also interpret the term “person” as it is used in the child abuse statute.

After using various tools of statutory construction and failing to ascertain the

General Assembly’s intent, we resort to the rule of lenity and conclude that the

term “person,” as used in the child abuse statute, does not include an unborn fetus.

Accordingly, on remand, Jones may not be retried for that charge.




1   We granted certiorari to review the following issues:
         1. Whether the exclusion of the defendant’s parents for cause during the
            testimony of the defendant’s [children] constitutes a “closure” for
            purposes of the Sixth Amendment when the courtroom remained open
            to the general public during the entire trial.

         2. Whether the court of appeals erred by interpreting the child abuse statute
            to preclude a conviction for child abuse where the child suffered injuries
            in utero but was then born alive, contrary to another division’s holding
            in People v. Lage, 232 P.3d 138 (Colo. App. 2009), and inconsistent with
            the post Lage amendments to the child abuse statute.
                                           5
                 A. Sixth Amendment Right to a Public Trial

                              1. Standard of Review

¶14   We review a trial court’s decision to close the courtroom as a mixed question

of law and fact. People v. Hassen, 2015 CO 49, ¶ 5, 351 P.3d 418, 420. Thus, “we

accept the trial court’s findings of fact absent an abuse of discretion, but we review

the court’s legal conclusions de novo.” Id. (quoting Pena-Rodriguez v. People,

2015 CO 31, ¶ 8, 350 P.3d 287, 289, rev’d on other grounds, 137 S. Ct. 855 (2017)).

                    2. The Right to a Public Trial Generally

¶15   “Both the United States and the Colorado Constitutions guarantee criminal

defendants the right to a public trial.” Id. at ¶ 7, 351 P.3d at 420; see U.S. Const.

amends. VI, XIV; Colo. Const. art. II, § 16.

¶16   This right “is for the benefit of the accused; that the public may see he is

fairly dealt with and not unjustly condemned, and that the presence of interested

spectators may keep his triers keenly alive to a sense of their responsibility and to

the importance of their functions.” Waller v. Georgia, 467 U.S. 39, 46 (1984) (quoting

Gannett Co. v. DePasquale, 443 U.S. 368, 380 (1979)). Courts specifically recognize

the important role a defendant’s family members play in reminding the trial

participants of this duty. See, e.g., In re Oliver, 333 U.S. 257, 272 (1948); United

States v. Rivera, 682 F.3d 1223, 1230 (9th Cir. 2012).




                                           6
¶17   Further, “[i]n addition to ensuring that [the] judge and prosecutor carry out

their duties responsibly, a public trial encourages witnesses to come forward and

discourages perjury.” Waller, 467 U.S. at 46; see Globe Newspaper Co. v. Superior

Court, 457 U.S. 596, 606 (1982) (“Public scrutiny of a criminal trial enhances the

quality and safeguards the integrity of the factfinding process . . . . [P]ublic access

to criminal trials permits the public to participate in and serve as a check upon the

judicial process—an essential component in our structure of self-government.”).

¶18   A public trial also protects the public’s and the press’s qualified First

Amendment rights to attend a criminal trial. Waller, 467 U.S. at 44; Richmond

Newspapers, Inc. v. Virginia, 448 U.S. 555, 580 (1980). “While innocent defendants

benefit from the potential advantages of public trials . . . a guilty defendant may

prefer secret proceedings where bribes, intimidation, or unfavorable verdicts can

pass without ‘the bracing sunshine of publicity.’ Society, however, has an interest

in fair outcomes in both situations.”         Kristin Saetveit, Close Calls: Defining

Courtroom Closures Under the Sixth Amendment, 68 Stan. L. Rev. 897, 903 (2016)

(citations omitted) (quoting Akhil Reed Amar, Sixth Amendment First Principles, 84

Geo. L.J. 641, 677 (1996); see Richmond Newspapers, 448 U.S. at 571 (“[T]he open

processes of justice serve an important prophylactic purpose, providing an outlet

for community concern, hostility, and emotion.”).




                                          7
¶19      Armed with these noble sentiments, we must now figure out how to deploy

them. First, what does it mean to have a “public” trial? Of course, in the most

general sense, the term defines itself: A “public” trial is one that is not secret; it is

one that the public is free to attend. Hampton v. People, 465 P.2d 394, 399 (Colo.

1970).

¶20      But this broad definition has limitations. Given competing interests, a

criminal defendant’s right to a public trial is not absolute. At times, it must yield

to concerns such as “the defendant’s right to a fair trial or the government’s

interest in inhibiting disclosure of sensitive information.” Waller, 467 U.S. at 45;

accord Hassen, ¶ 8, 351 P.3d at 421. Thus, while the total exclusion of the press and

the public generally amounts to a closure, such closures may be permissible under

certain circumstances.

¶21      Recently, we noted that these circumstances “will be rare” and “the balance

of interests must be struck with special care.” Hassen, ¶ 8, 351 P.3d at 421 (quoting

Waller, 467 U.S. at 45). To justify a closure, (1) “the party seeking to close the

[proceeding] must advance an overriding interest that is likely to be prejudiced”;

(2) “the closure must be no broader than necessary to protect that interest”; (3) “the

trial court must consider reasonable alternatives to closing the proceeding”; and

(4) the “trial court must make findings adequate to support the closure.” Id. at ¶ 9,

351 P.3d at 421 (quoting Waller, 467 U.S. at 48). Regarding the third factor, we

                                           8
recently emphasized that the Supreme Court insists that “[t]rial courts are

obligated to take every reasonable measure to accommodate public attendance at

criminal trials.” Id. (quoting Presley v. Georgia, 558 U.S. 209, 215 (2010)).

                      3. “Partial Closure” of a Courtroom
¶22   But what if the closure is less complete? What if only one or two people are

excluded from the trial? Or, as happened here, what if two people (specifically, a

defendant’s parents) are excluded but only during the testimony of two witnesses?

Are these closures that must first be justified by a Waller analysis? These questions

have been hotly debated.

¶23   Many courts recognize that the exclusion of even a single individual can,

under certain circumstances, implicate the values the Sixth Amendment seeks to

protect. For example, the Ninth Circuit has observed that, “because they are the

individuals most likely to be affected by the” outcome of a proceeding, “[f]riends

and family members . . . are particularly effective” at reminding “the [trial]

participants, especially the judge, that the consequences of their actions extend to

the broader community.” Rivera, 682 F.3d at 1230. Thus, many courts now

recognize limited exclusions as partial closures, though there remains some

disagreement regarding what findings are required for such closures.

¶24   Some courts apply a more lenient “substantial reason” test to justify partial

closures, reasoning that “the partial closing of court proceedings does not raise the


                                           9
same constitutional concerns as a total closure, because an audience remains to

ensure the fairness of the proceedings.” United States v. Osborne, 68 F.3d 94, 98–99

(5th Cir. 1995); accord United States v. Simmons, 797 F.3d 409, 414 (6th Cir. 2015);

Judd v. Haley, 250 F.3d 1308, 1315 (11th Cir. 2001). Under this modified Waller test,

courts generally replace Waller’s “overriding interest” factor with the less stringent

“substantial reason” factor, but otherwise employ the full Waller analysis. See

Simmons, 797 F.3d at 414; Woods v. Kuhlmann, 977 F.2d 74, 76–77 (2d Cir. 1992); see

also United States v. Addison, 708 F.3d 1181, 1187–88 (10th Cir. 2013); Davis v.

Reynolds, 890 F.2d 1105, 1109–10 (10th Cir. 1989).

¶25   Other courts require the full Waller analysis for partial closures. After all,

they say, the Waller test “already contemplates a balancing of competing

interests”—such as reasonable alternatives to closure and the scope of the closure

itself. People v. Jones, 750 N.E.2d 524, 529 (N.Y. 2001). So there is no need to

distinguish between partial and total closures. Id. (concluding that because a

partial closure implicates the same Sixth Amendment rights as a total closure,

Waller’s overriding interest requirement must still be met); see also, e.g., Tinsley v.

United States, 868 A.2d 867, 874 (D.C. 2005) (“[W]e are not persuaded that the

distinction between a ‘substantial reason’ and an ‘overriding interest’ is a

particularly meaningful one.”); State v. Mahkuk, 736 N.W.2d 675, 685 (Minn. 2007)

(“Although some federal circuit courts of appeals apply a lesser ‘substantial

                                          10
reason’ test to review the constitutionality of partial closures, we have not . . . .”

(citation omitted)).

¶26   While courts debate what test to use, it seems that most courts now

recognize that partial closures can have constitutional significance. See Saetveit,

supra, at 917–19 (collecting cases that recognize partial closures from nearly every

federal circuit court as well as New York, Illinois, Minnesota, Alabama, South

Dakota, and New Mexico); see also, e.g., State v. Barnes, 251 P.3d 96, 99, 100–01 (Kan.

Ct. App. 2011); Longus v. State, 7 A.3d 64, 67–68, 75–76 (Md. 2010); Commonwealth v.

Cohen, 921 N.E.2d 906, 920–22 (Mass. 2010); State v. Torres, 844 A.2d 155, 160–61

(R.I. 2004); Woods v. State, 383 S.W.3d 775, 781 (Tex. App. 2012).

¶27   We join these courts in recognizing the potential constitutional significance

of partial closures, but we save for another day the decision regarding whether the

first Waller factor requires a “substantial reason” or an “overriding interest” in this

context. Regardless, we conclude that before granting a partial closure request,

the trial court must consider the Waller factors.2




2 Despite this debate about how to address partial closures, courts still generally
agree that there are certain situations where the exclusion of specific individuals
does not constitute a closure that would implicate a defendant’s right to a public
trial.
       For example, it is well-accepted that sequestration orders do not implicate
this right. See, e.g., CRE 615; People v. Watkins, 553 P.2d 819, 821 (Colo. 1976)

                                          11
         4. Whether an Unconstitutional Partial Closure Occurred
                                 Here
¶28   With this precedent in mind, the initial question we confront is whether,

under the circumstances here, the trial court’s exclusion of Jones’s parents during

the testimony of his two children amounted to a closure requiring a Waller

analysis. If we conclude that this was a closure, we must then decide whether the

lack of Waller findings can be cured by a remand for additional findings or whether

the violation requires a new trial.

¶29   Here, the prosecution requested the exclusion of Jones’s mother and

stepfather during the testimony of Jones’s two children (A.J. and J.J.) based on




(acknowledging that regulating the sequestration of witnesses is a matter of
discretion); Williamson v. Sch. Dist. No. 2, 695 P.2d 1173, 1175 (Colo. App. 1984)
(“[A]bsent the exceptions not pertinent here, sequestration is a matter of right for
either litigant.”); see also 23 C.J.S. Criminal Procedure and Rights of Accused § 930
(updated 2020) (“The right to a public trial is not implicated by the exclusion of a
potential witness pursuant to the witness exclusionary or sequestration rule.”).
       Nor does in camera voir dire of jurors implicate the right. See People v.
Dunlap, 975 P.2d 723, 757–58 (Colo. 1999) (discussing the use of in camera voir dire
to question jurors individually about their views on the death penalty); People v.
Rudnick, 878 P.2d 16, 21 (Colo. App. 1993) (acknowledging the use of in camera
discussions with individual prospective jurors as a component of the voir dire
process); see also Richmond Newspapers, 448 U.S. at 598 n.23 (Brennan, J., concurring
in the judgment) (concluding that conferences held in chambers or at the bench do
not necessarily implicate the Sixth Amendment); United States v. Bansal, 663 F.3d
634, 661 (3d Cir. 2011) (holding that closed, in camera voir dire of individual jurors
on sensitive subjects did not “offend the Sixth Amendment”).
       Our opinion today should not be construed to suggest otherwise.


                                         12
events that had occurred outside the courtroom the previous weekend. According

to the prosecutor, as A.J. and J.J. left their paternal grandparents’ home, their

grandmother, Jones’s mother, hugged A.J., “started bawling uncontrollably and

said, I’m sorry you are going to have a tough week.” This then “sent A.J. into a bit

of a tailspin” and “[set] him very much on edge.” Thus, the prosecutor asked for

Jones’s parents to be excluded from the courtroom while the children testified, “for

the benefit of the children. . . . [Because the grandparents] have already put the

children on edge about a difficult situation they are in as it is. And I don’t want to

put them in harm’s way any further than we have to.”3

¶30   In granting the request, the court made no findings to support its decision.

The court simply said that, “given the circumstances, I’m going to order that

neither [of Jones’s parents] are going to be allowed in the courtroom during the

children’s testimony.” Defense counsel objected based on Jones’s right to a public

trial and asked that at least Jones’s stepfather be allowed to remain since he “[did]




3 The prosecutor claimed that “all parties [in the related dependency and neglect
proceeding] were asked to not speak to the kids about any of the court proceedings
or do anything that might make them more on edge regarding court proceedings.”
If there was a court order to this effect, it is not part of the record in this case.
Moreover, the trial court made no finding that anyone had violated a court order.
In the absence of such a finding, there is simply no basis to conclude that Jones’s
mother violated a court order by getting upset and expressing her concern that
one of the children was going to have a hard week.
                                         13
not have any involvement with this situation.” The court summarily denied the

request.

¶31   The prosecution contends that this was merely an exclusion for cause, not a

closure. As such, they say it was within the court’s discretion to exclude Jones’s

parents to maintain courtroom decorum without implicating the Sixth

Amendment. The prosecution cites to State v. Lormor, 257 P.3d 624, 628–29 (Wash.

2011), to support its argument that exclusion of only one or two people, “without

more, is simply not a closure.”

¶32   In Lormor, the defendant’s daughter, who was not quite four years old, was

confined to a wheelchair and on a ventilator. Id. at 626. In deciding to exclude the

daughter from the proceedings, the court noted that, given the girl’s young age, “I

don’t know how much she would understand of the proceedings[, and], given the

setup I could even hear at the bench the ventilator operating.” Id. The court then

concluded that having the daughter present “would be an inappropriate

distraction and frankly [as] difficult for her as it would be potentially distracting

for the jury.” Id.

¶33   On appeal, the Washington Supreme Court concluded that this exclusion

did not amount to a closure because only a single person was excluded from the

courtroom. Id. at 628–29. It therefore implicitly rejected the notion of a “partial”

closure. The court then concluded that, as a matter of maintaining courtroom

                                         14
decorum, the trial court had not abused its discretion in excluding the defendant’s

daughter for several reasons: the defendant’s entire family wasn’t excluded; the

doors were not locked; the proceedings were not held in a location closed to the

public (e.g., the judge’s chambers); and the defendant was not excluded from the

proceedings. Id. at 628. In affirming the trial court’s decision, the supreme court

further observed that the distraction was observable in the courtroom, the

defendant made no objection, and “[t]he trial court judge discussed the removal

on the record and gave his reasons for doing so.” Id. at 626–27, 630.

¶34   But the prosecution’s reliance on Lormor seems misplaced for at least two

reasons.   First, by joining what seems to be the majority of jurisdictions in

recognizing the constitutional significance of partial closures, we accept that the

exclusion of even a single person, depending on the circumstances, can violate a

defendant’s public trial right. Thus, on this point, we simply disagree with Lormor.

¶35   Second, unlike in Lormor, here there was no disruption in the courtroom.

Moreover, even accepting the prosecution’s offer of proof as to what had

happened the preceding weekend between Jones’s mother and his children, the

court made no findings—under Waller or otherwise—as to why this provided

cause to exclude both parents. There was no showing that Jones’s stepfather or

the child J.J. were involved in, or affected by, the out-of-court incident. Thus, at

least as to J.J.’s testimony and Jones’s stepfather’s presence, there was no record

                                        15
made showing any cause for exclusion. Even as to Jones’s mother, there is little to

nothing in the record to support the conclusion that her presence at trial would

have created the potential for disruption or witness intimidation.

¶36   Therefore, we conclude the trial court’s exclusion of Jones’s parents from the

courtroom without first making any Waller findings constituted an unjustified

partial closure.4

¶37   The prosecution further contends, however, that even if the court’s

exclusion of Jones’s parents was a closure, it was trivial. In a recent opinion, we

adopted the triviality exception. See People v. Lujan, 2020 CO 26, ¶ 23, 461 P.3d 494,




4  As noted, we distinguish the situation here from those situations where the trial
court must address a disturbance in the courtroom. Some courts treat the
exclusion of individuals who have caused, or are causing, a disruption as a matter
within the court’s discretion to maintain order that does not implicate the Sixth
Amendment. See, e.g., McCrae v. State, 908 So. 2d 1095, 1096 (Fla. Dist. Ct. App.
2005) (concluding the Sixth Amendment was not implicated, and a Waller analysis
was not necessary, where the court imposed “time and manner restrictions on
ingress and egress” because “[d]isruption may interfere with a spectator’s
attention, or a participant’s performance, at public events of many kinds”). Other
courts treat such exclusions as Sixth Amendment closures that must first be
justified under the Waller test. See, e.g., Cosentino v. Kelly, 926 F. Supp. 391, 395
(S.D.N.Y. 1996) (recognizing that “[t]he right to a public trial has always been
interpreted as being subject to the trial judge’s power to keep order in the
courtroom,” but nonetheless analyzing a partial closure based on disruptive
behaviors under Waller (quoting United States v. Hernandez, 608 F.2d 741, 747 (9th
Cir. 1979))), aff’d, 102 F.3d 71 (2d Cir. 1996). On the facts before us, we need not
join this debate today.

                                         16
499. A “trivial closure” is one where, although the closure might have been

unjustified, it was “‘so trivial as not to violate’ a defendant’s right to a public trial.”

Id. at ¶ 17, 461 P.3d at 498 (quoting Peterson v. Williams, 85 F.3d 39, 40 (2d Cir.

1996)).

¶38    In assessing triviality, courts consider “whether the actions of the court and

the effect that they had on the conduct of the trial deprived the defendant . . . of

the protections conferred by the Sixth Amendment.” Peterson, 85 F.3d at 42. To

do so, they look to the “values furthered by the public trial guarantee”; namely,

“1) to ensure a fair trial; 2) to remind the prosecutor and judge of their

responsibility to the accused and the importance of their functions; 3) to encourage

witnesses to come forward; and 4) to discourage perjury.” Id. at 43. A court should

consider the totality of the circumstances and consider factors such as “the

duration of the closure, the substance of the proceedings that occurred during the

closure, whether the proceedings were later memorialized in open court or placed

on the record, whether the closure was intentional, and whether the closure was

total or partial.” Lujan, ¶ 19, 461 P.3d at 498–99.

¶39    Courts sometimes find that closures that are brief and inadvertent are so

trivial as to not violate the defendant’s right to a public trial because they did not

infringe on the values protected by the right. See United States v. Ivester, 316 F.3d

955, 960 (9th Cir. 2003) (holding that a brief, mid-trial closure to question jurors

                                            17
about their expressed concerns regarding safety was trivial); Peterson, 85 F.3d at 44

(holding that “in the context of this case, where the closure was 1) extremely short,

2) followed by a helpful summation, and 3) entirely inadvertent, the defendant’s

Sixth Amendment rights were not breached”); United States v. Al-Smadi, 15 F.3d

153, 154–55 (10th Cir. 1994) (holding that a closure that was not ordered by the trial

court but rather was the result of standard courthouse practices, was “brief and

inadvertent,” “unnoticed by any of the trial participants,” and occurred only once

did not violate the Sixth Amendment); see also Lujan, ¶¶ 26–36, 461 P.3d at 500–02

(holding that although closure was deliberate, it was trivial for several reasons: it

was brief; it was transcribed by the recorder; it repeated information that had been

presented in open court; and it did not involve the presentation of evidence,

witness testimony, or any novel legal issues).

¶40   However, intentional closures during more significant, and less fleeting,

testimony are generally considered not trivial because of their potential to affect

the fairness of the proceedings. See Hassen, ¶ 16, 351 P.3d at 422 (concluding that

a closure during two witnesses’ testimony that spanned twenty-seven pages of

transcript was not trivial); see also Gonzalez v. Quinones, 211 F.3d 735, 737–38 (2d

Cir. 2000) (concluding that an intentional closure, during a key witness’s

testimony, that lasted an entire morning was not trivial); State v. Ndina, 761 N.W.2d

612, 627–28 (Wis. 2009) (concluding that the exclusion of most of the defendant’s

                                         18
family for three days of witness testimony was not trivial). But compare Rivera,

682 F.3d at 1230 (concluding that exclusion of the defendant’s seven-year-old son

and other family members from the sentencing hearing was not trivial), with

United States v. Perry, 479 F.3d 885, 890–91 (D.C. Cir. 2007) (concluding that the

exclusion of the defendant’s eight-year-old son for the entirety of trial was trivial).

¶41   We conclude that the exclusion here was not trivial for at least two reasons.

First, as previously noted, in evaluating a defendant’s right to a public trial, courts

emphasize the important role the presence of a defendant’s family plays in

ensuring a fair trial. See, e.g., In re Oliver, 333 U.S. at 272 (“[A]n accused is at the

very least entitled to have his friends, relatives and counsel present, no matter with

what offense he may be charged.”); English v. Artuz, 164 F.3d 105, 108 (2d Cir. 1998)

(“[T]he Supreme Court has specifically noted a special concern for assuring the

attendance of family members of the accused.” (quoting Vidal v. Williams, 31 F.3d

67, 69 (2d Cir. 1994))). Jones’s parents’ absence during his children’s testimony

implicated the public trial right guarantees because their presence could have

discouraged perjury. Further, numerous courts have concluded that the presence

of a defendant’s family at trial reminds the trial participants of their duty to treat

the defendant fairly. See, e.g., Rivera, 682 F.3d at 1230; Longus, 7 A.3d at 75 (“[T]he

defendant’s family and friends are the people who have the strongest interest or

concern in the handling of the defendant’s trial and their attendance perhaps best

                                          19
serves the purpose of the Sixth Amendment guarantee.”). This is all the more

important when a defendant is charged with an unusually vicious offense of the

sort likely to arouse passion and a widespread desire for vengeance.

¶42   Second, the testimony at issue was significant, and the partial closure here

was not brief. The two witnesses—Jones’s children—provided insight into Jones’s

relationship with the children’s mother around the time she was killed. They also

identified Jones’s gun. Moreover, their testimony was hardly fleeting. It resulted

in 146 pages of transcript, almost an entire afternoon during a ten-day trial.

¶43   Therefore, we conclude that the exclusion of Jones’s parents during his

children’s testimony violated his right to a public trial, despite the fact that other

members of the public were able to attend.

        5. The Remedy for Violating Jones’s Right to a Public Trial
¶44   In light of this violation, we must now determine the appropriate remedy.

¶45   Certain types of errors are structural, meaning that they affect the basic

framework within which the trial occurs and are not merely errors in the trial

process. Hassen, ¶ 7, 351 P.3d at 420. These errors “are not amenable to either a

harmless error or a plain error analysis.” Id. (quoting Griego v. People, 19 P.3d 1, 7

(Colo. 2001)). Therefore, they “require automatic reversal without individualized

analysis of how the error impairs the reliability of the judgment of conviction.”

Hagos v. People, 2012 CO 63, ¶ 10, 288 P.3d 116, 119. Examples include the


                                         20
“complete deprivation of counsel, trial before a biased judge, unlawful exclusion

of members of the defendant’s race from a grand jury, denial of the right to self-

representation, and denial of the right to a public trial.” Id. (emphasis added).

Nonetheless, some courts have chosen to remand cases where the trial court

violated the defendant’s right to a public trial to allow the trial court to make the

required findings. See Waller, 467 U.S. at 49–50; United States v. Galloway, 937 F.2d

542, 547 (10th Cir. 1991).

¶46   We conclude that such a remand would not be helpful here. First, the trial

judge, unfortunately, has died; therefore, it is not possible to remand for more

detailed findings about his reasoning at the time he closed the courtroom. Second,

while the prosecution has suggested that a remand to incorporate information

from a contemporaneous and related dependency and neglect case could support

the closure, any information from the dependency and neglect case would be

insufficient to satisfy the second, third, and fourth Waller factors.

¶47   A quick review of the Waller factors makes this more plain. As to the first

factor—advancing an overriding interest or substantial reason for the closure—we

assume, without deciding, that under either the overriding interest or the

substantial reason test, this factor is satisfied.

¶48   As to the second factor—whether the closure was no broader than

necessary—we believe a remand would constitute an exercise in futility. As noted

                                            21
above, defense counsel asked that Jones’s stepfather be allowed to attend, but the

court summarily denied the request. Whether it actually considered this option is

unclear. What is clear is that there was no discussion about whether either or both

of Jones’s parents could be present during J.J.’s testimony or whether J.J. had

observed and been similarly influenced by Jones’s mother’s conduct over the

weekend. Thus, we conclude that a remand would fail to satisfy this factor

because these options were not explored contemporaneously.

¶49   As to the third factor—whether the court considered any alternatives to

closing—here too, a remand would not help. It does not appear that the court

considered any alternatives to partially closing the courtroom, such as allowing

the children to testify in camera or having Jones’s parents observe the testimony

on a closed-circuit television. A remand cannot change that.

¶50   As to the fourth factor—adequate findings by the trial court—we’re

similarly stuck. Because the judge is now deceased, no such findings are possible.

And even if findings by another judge based on records from the dependency and

neglect case and other reconstruction methods were an option, supplemental

findings would still fail to adequately address the second and third factors, as

explained above.

¶51   Therefore, because the trial court violated Jones’s right to a public trial by

excluding Jones’s parents from the proceedings without first justifying that

                                        22
decision under Waller, and because such a violation constitutes structural error

that cannot be cured by a remand in this instance, we reverse Jones’s convictions

and remand the case for a new trial.

¶52   While this remedy will no doubt strike some as draconian, on these facts,

fidelity to the law regarding public trials and structural error compels the remedy

all the same.

           B. Definition of “Person” In the Child Abuse Statute

¶53   Because the issue will arise on remand, we must address the second

question on which we granted certiorari; namely, whether the court of appeals

erred by interpreting the child abuse statute to preclude a conviction for child

abuse where the fetus suffered injuries but is then born alive.

¶54   Statutory interpretation presents a question of law that we review de novo.

McCoy v. People, 2019 CO 44, ¶ 37, 442 P.3d 379, 389. In interpreting statutes, our

primary goal is to discern the legislature’s intent. Id. We do so by first looking to

the plain language of the statute, reading the statute as a whole and giving words

and phrases their common meanings. Id. If the language is clear, we apply it as

written. Id.

¶55   If, however, the language is ambiguous, meaning it is silent or susceptible

to more than one reasonable interpretation, we may use extrinsic aids of

construction, “such as the consequences of a given construction, the end to be


                                         23
achieved by the statute, and the statute’s legislative history.” Id. at ¶ 38, 442 P.3d

at 389; see Martinez v. People, 2020 CO 3, ¶ 17, 455 P.3d 752, 756; People v. Carrillo,

2013 COA 3, ¶¶ 12–13, 297 P.3d 1028, 1030.

¶56   The child abuse statute provides that “[a] person commits child abuse if

such person causes an injury to a child’s life or health, or permits a child to be

unreasonably placed in a situation that poses a threat of injury to the child’s life or

health.” § 18-6-401(1)(a), C.R.S. (2019). It also defines “child” as “a person under

the age of sixteen years.” § 18-6-401(2). The statute does not define “person.”

¶57   The legislature’s general definitions, which “apply to every statute, unless

the context otherwise requires,” § 2-4-401, C.R.S. (2019), define person as “any

individual, corporation, government or governmental subdivision or agency,

business trust, estate, trust, limited liability company, partnership, association, or

other legal entity,” § 2-4-401(8). This definition does not aid our interpretation of

the term “person” as it is used in the child abuse statute. And the common

definitions of the term “person” are also not dispositive in this context. See Person,

Black’s Law Dictionary (11th ed. 2019) (“A human being.”); Merriam-Webster

Dictionary,                https://www.merriam-webster.com/dictionary/person

[https://perma.cc/8ZAZ-9NY2] (defining “person” as “Human, Individual”).

¶58   Thus, because the child abuse statute is silent as to whether an unborn fetus

is a “child,” and because the plain language does not reveal a clear legislative

                                          24
intent regarding this term, we conclude that the statute is ambiguous.            We

therefore turn to other aids of construction.

¶59   One of the aids we may employ is to look to other statutes where the

legislature has defined the term at issue, particularly when those statutes should

be read in pari materia. Walgreen Co. v. Charnes, 819 P.2d 1039, 1043 n.6 (Colo.

1991) (“In pari materia is a rule of statutory construction which requires that

statutes relating to the same subject matter be construed together in order to gather

the legislature’s intent from the whole of the enactments.”). Using this tool, Jones

urges us to consider the definitions in the homicide and unlawful termination of

pregnancy statutes, both of which exclude an unborn fetus from the definition of

person. See § 18-3-101(2), C.R.S. (2019) (“‘Person’, when referring to the victim of

a homicide, means a human being who had been born and was alive at the time of

the homicidal act.”); § 18-3.5-110, C.R.S. (2019) (“Nothing in this article shall be

construed to confer the status of ‘person’ upon a human embryo, fetus, or unborn

child at any stage of development prior to live birth.”). The prosecution contends,

however, that the definitions contained in those statutes have no application to

our interpretation of “person” in the child abuse statute.

¶60   We agree with the prosecution that those exclusionary definitions do not

clarify the legislative intent in the child abuse context. First, we do not read these

statutes in pari materia.    They cover different subjects and different harms

                                         25
—causing death (to either an unborn fetus or a living child) versus protecting a

child who is still alive. The legislature clearly intended for the homicide statute to

apply only to those individuals “who had been born and [were] alive at the time

of the homicidal act.” § 18-3-101(2). We cannot infer from this definition, however,

that the child abuse statute similarly applies only to harm caused to those who are

already born at the time of the injurious conduct. See Gross v. FBL Fin. Servs., Inc.,

557 U.S. 167, 174 (2009) (“When conducting statutory interpretation, we ‘must be

careful not to apply rules applicable under one statute to a different statute

without careful and critical examination.’” (quoting Fed. Express Corp. v. Holowecki,

552 U.S. 389, 393 (2008))). Without a cross-reference or specific incorporation, we

will not infer a legislative intent to apply the homicide definition in the child abuse

context. See People v. Thornton, 929 P.2d 729, 733–34 (Colo. 1996) (refusing to

incorporate definitions from one statutory title into another title where such

application was not expressly provided for by the legislature).

¶61   Likewise, the unlawful termination of pregnancy statute expresses a clear

intent to protect a mother who has had a pregnancy terminated through the

injurious conduct of another: “A person commits the offense of unlawful

termination of pregnancy in the first degree if, with the intent to terminate

unlawfully the pregnancy of a woman, the person unlawfully terminates the

woman’s pregnancy.” § 18-3.5-103(1); see § 18-3.5-101(6), C.R.S. (2019) (“‘Unlawful

                                          26
termination of pregnancy’ means the termination of a pregnancy by any means

other than birth or a medical procedure . . . for which the consent of the pregnant

woman . . . has been obtained . . . .”). It does not address harm to fetuses, and it

does not discuss children.      Thus, as with the homicide statute, because the

unlawful termination of pregnancy statute and the child abuse statute cover

different harms, and because neither expressly cross-references or incorporates the

other, we will not infer a legislative intent to apply the unlawful termination of

pregnancy definition of “person” in the child abuse context.

¶62   Second, Jones contends that the legislative history, including several failed

voter initiatives, support the conclusion that the legislature did not intend to

permit recovery for injuries caused to a fetus under the child abuse statute.

However, we will not interpret failed voter initiatives as proof of legislative intent.

¶63   Similarly, we decline the prosecution’s invitation to infer legislative intent

from the fact that the legislature has not amended the definition of “child” or

“person” in the child abuse statute following People v. Lage, 232 P.3d 138 (Colo.

App. 2009), despite amending the statute several times. See Welby Gardens v. Adams

Cty. Bd. of Equalization, 71 P.3d 992, 998 n.8 (Colo. 2003) (“[W]e note that of the

many sources we may consult to discern legislative intent, reliance on legislative

inaction is particularly risky. The reasons for enacting, or not enacting, legislation

are too numerous to tally.”); Williams v. Dep’t of Pub. Safety, 2015 COA 180, ¶ 103,

                                          27
369 P.3d 760, 778 (refusing to interpret the legislature’s failure to amend a statute

following a decision interpreting it, despite amending other sections of the statute,

as indicative of legislative intent).

¶64      In Lage, a division of the court of appeals held that the term “person,” as

used in the child abuse statute, “include[s] a fetus who is injured while in the

womb, is subsequently born and lived outside the womb, and then died from the

injuries sustained.” 232 P.3d at 144. The division reached this conclusion based

on other jurisdictions’ application of the common law “born alive” doctrine in

criminal contexts and on this court’s application of the doctrine in the civil context

of interpreting Colorado’s wrongful death statute. Id. at 143–44.

¶65      However, “[i]t is ‘impossible to assert with any degree of assurance that

[legislative] failure to act represents’ affirmative [legislative] approval of the

Court’s statutory interpretation.” Patterson v. McLean Credit Union, 491 U.S. 164,

175 n.1 (1989) (quoting Johnson v. Transp. Agency, 480 U.S. 616, 672 (1987) (White,

J., dissenting)). And given that this court has never interpreted the term “person”

in the child abuse statute,5 we do not find such legislative inaction instructive. See

Welby Gardens, 71 P.3d at 998 n.8 (noting that it was not surprising that the




5   The parties in Lage did not file a petition for certiorari review.

                                             28
legislature had not amended a statutory definition where the supreme court had

never interpreted the subject term in the given context).

¶66   The prosecution further contends, as did Judge Webb in his dissent to the

division majority on this issue, that because the child abuse statute contains no

definition of “person,” and because definitions of that term in other criminal

contexts are inapplicable in this context, we should apply the common law “born

alive” doctrine. The “born alive” doctrine provides that “a fetus that suffers a

prenatal injury at the hands of a third party and is then born alive is capable of

supporting certain criminal charges against the third party.” 62A Am. Jur. 2d

Prenatal Injuries, Etc. § 40; Restatement (Second) of Torts § 869(1) (Am. Law Inst.

1979) (“One who tortiously causes harm to an unborn child is subject to liability to

the child for the harm if the child is born alive.”).

¶67   While “[c]ommon-law crimes are abolished and no conduct shall constitute

an offense unless it is described as an offense” by the legislature, this statutory

provision does not “affect the use of case law as an interpretive aid in the

construction of the provisions of this code.” § 18-1-104(3), C.R.S. (2019); see Allen v.

People, 485 P.2d 886, 887–88 (Colo. 1971) (recognizing “that the common law may

be used in aid of the meaning to be given statutory language”).

¶68   This court has never explicitly adopted or applied the common law “born

alive” doctrine, though we have impliedly recognized it in the civil law context.

                                           29
See Empire Cas. Co. v. St. Paul Fire & Marine Ins. Co., 764 P.2d 1191, 1193, 1195–96

(Colo. 1988) (approving, in a medical malpractice insurance case in which we were

not asked to decide, and did not in fact rule on, the validity of the underlying

judgment that granted recovery to a child who had suffered injury in utero but

was subsequently born alive with severe mental impairments and physical

disabilities); see also Pizza Hut of Am., Inc. v. Keefe, 900 P.2d 97, 101 (Colo. 1995) (“If

a child dies after birth as a result of prenatal injuries, a surviving parent may bring

a wrongful death claim derived from the child’s injuries.”).

¶69   In the criminal context, however, this court has never recognized the

doctrine even by implication; thus, there is no Colorado case law to illuminate our

interpretation of the child abuse statute. Given this absence of case law, we do not

believe reliance on this doctrine clarifies the legislative intent. See, e.g., Taylor v.

United States, 495 U.S. 575, 594 (1990) (“This Court has declined to follow any rule

that a statutory term is to be given its common-law meaning, when that meaning

is obsolete or inconsistent with the statute’s purpose.”).             Further, we are

particularly concerned that adopting the “born alive” doctrine to define a criminal

element would usurp the role of the legislature.            Therefore, we decline the

temptation to make law, no matter how sympathetic the alleged victim.

Accordingly, to the extent Lage conflicts with this opinion, we overrule it.




                                            30
¶70   Because the legislature has not provided a definition of “person” in the child

abuse statute, and because we have been unable to discern the legislature’s intent

using various aids of statutory construction, we resort to the rule of lenity. The

rule of lenity provides that, when we cannot discern the legislature’s intent,

“ambiguity in the meaning of a criminal statute must be interpreted in favor of the

defendant.” People v. Summers, 208 P.3d 251, 258 (Colo. 2009) (quoting People v.

Thoro Prods. Co., 70 P.3d 1188, 1198 (Colo. 2003)). This is “a rule of last resort,” and

is to be “invoked only ‘if after utilizing the various aids of statutory construction,

the General Assembly’s intent remains obscured.’” Id. (quoting Thoro Prods.,

70 P.3d at 1198).

¶71   And, applying the rule of lenity here, we conclude that a “person,” as that

term is used in the child abuse statute, does not include a fetus who is later born

alive. Therefore, we conclude that Jones cannot be retried for the crime of child

abuse based on his alleged conduct here.

                                  III. Conclusion

¶72   We affirm the court of appeals’ judgment. Accordingly, we reverse Jones’s

judgment of conviction, vacate his sentences, and remand the case for a new trial.

On remand, the prosecution may not retry Jones for child abuse based on Jones’s

alleged conduct giving rise to the underlying charges.




                                          31
JUSTICE BOATRIGHT dissents, and CHIEF JUSTICE COATS and JUSTICE
SAMOUR join in the dissent.




                               32
JUSTICE BOATRIGHT, dissenting.

¶73   Today, the majority usurps the legislature’s authority by rewriting the

definition of “child” in the child abuse statute. To do so, it relies on the rule of

lenity—a rule of last resort—to add words to that statute that simply do not exist

and, as a result, the majority fails to give effect to legislative intent. In my view,

the majority makes a policy decision. The majority’s rewrite of the statute goes

well beyond our role in interpreting statutes and its use of the rule of lenity under

these circumstances is unwarranted for three reasons.          First, the majority’s

rejection of the common law born alive doctrine, which permits prosecutions for

injuries caused to a fetus in utero that is later born alive, runs contrary to our

precedent that statutes “may not be construed to abrogate the common law unless

such abrogation was clearly the intent of the general assembly.” Robbins v. People,

107 P.3d 384, 387 (Colo. 2005).      Without question, the legislature has never

expressed any intent to abrogate the common law born alive doctrine in the child

abuse statute, leaving that doctrine viable.       Second, the majority’s decision

disregards what the legislature has done—and more specifically, not done—to the

crime of child abuse following a court of appeals decision over a decade ago in

People v. Lage, 232 P.3d 138 (Colo. App. 2009). In Lage, the court of appeals held

that a defendant could be charged with child abuse when he injured a fetus in utero

who was born alive via an emergency cesarean section but died shortly thereafter.



                                          1
Hence, that has been the law since that time and the legislature is aware of that,

and despite amending the child abuse statute three times since the court of

appeals’ decision in Lage, the legislature has not amended the child abuse statute

to prohibit such prosecutions. Third, the majority’s decision not only ignores our

well-established principles that we construe the legislature’s decision to omit

qualifying language as intentional and refrain from adding words to a statute but

does just the opposite; it actually imports limiting language—from other articles

in the criminal code—into the child abuse statute. I disagree with that course of

action. I submit, rather, that any one of these three reasons would be sufficient to

make the rule of lenity inapplicable in this case. Therefore, I would utilize our core

principles of determining legislative intent, and in so doing, I would conclude that

Jones can be charged with and convicted of child abuse for inflicting devastating,

life-long injuries to the child here.

¶74   I also disagree with the majority’s conclusion that the trial court’s exclusion

of Jones’s parents during their grandchildren’s testimony constituted a closure. In

my view, when people are excluded from the courtroom for their conduct, as was

the case here, that exclusion is not a closure that implicates the Sixth Amendment.

Hence, instead of remanding for a new trial due to structural error, as the majority

does, we should review these exclusions for an abuse of discretion.

¶75   Accordingly, I respectfully dissent.



                                          2
          I. Jones Can Be Properly Charged with and Convicted of
               Child Abuse Resulting in Serious Bodily Injury.
¶76   After laying-in-wait, Jones shot his estranged wife, who was pregnant with

another man’s child, in the abdomen, killing her and gravely injuring her unborn

child, who was delivered alive shortly after the shooting via an emergency

cesarean section. As a result, the child, a baby girl, has life-long disabilities. In

addition to convicting Jones of first-degree murder, a jury convicted Jones of child

abuse resulting in serious bodily injury pursuant to section 18-6-401(1)(a), C.R.S.

(2019).

¶77   That section provides that “[a] person commits child abuse if such person

causes an injury to a child’s life or health . . . that ultimately results in the death of

a child or serious bodily injury to a child.” § 18-6-401(1)(a). This statute defines a

child as “a person under the age of sixteen years.” § 18-6-401(2). The statute is

silent, however, as to whether a person can be charged with child abuse for injuries

caused to a fetus in utero that is later born alive. Furthermore, there is no generally

applicable definition of “person” or “child” in the Criminal Code. 1 Hence, the

majority is correct in its conclusion that “the child abuse statute is silent as to




1 While the general definitions applicable to all Colorado statutes do provide
definitions of both “child” and “person,” these definitions provide no guidance on
the question presented here. See § 2-4-401(1.1), (8), C.R.S. (2019).


                                            3
whether an unborn fetus is a ‘child.’” Maj. op. ¶ 58. But the majority then relies

on the rule of lenity to “conclude that a ‘person,’ as that term is used in the child

abuse statute, does not include a fetus who is later born alive.” Id. at ¶ 71. In so

doing, the majority uses a “rule of last resort” to add words to the child abuse

statute that simply do not exist and ignores the legislature’s changes—and more

significantly, lack of changes—to the child abuse statute following Lage. As a

result, the majority usurps the legislature’s authority to amend—or not amend—a

statute and ignores the legislature’s intent.

¶78   In interpreting a statute, our primary goal is to give effect to the legislature’s

intent. McCoy v. People, 2019 CO 44, ¶ 37, 442 P.3d 379, 389. If the language is

clear, we apply it as written. Id. at ¶ 38, 442 P.3d at 389. If, however, the statute is

silent or susceptible to more than one possible interpretation, we may then resort

to extrinsic aids of construction. Id. These additional aids include, for example,

relying on the common law in the absence of legislative action, looking at the

legislative action or inaction following a court decision, and examining the

legislature’s decision to include or omit qualifying language in certain statutes but

not others. If, and only if, the legislature’s intent remains unclear after utilizing all

of the different aids of statutory construction may we then resort to the rule of

lenity. People v. Summers, 208 P.3d 251, 258 (Colo. 2009). In other words, the rule

of lenity is a Hail Mary pass; it is a ”rule of last resort.” Id. (quoting People v. Thoro



                                            4
Prods. Co., 70 P.3d 1188, 1198 (Colo. 2003)). And without question, “the rule of

lenity should not be applied to defeat the evident intent of the General Assembly.”

Thoro Prods., 70 P.3d at 1198.

¶79   Following this court’s principles of statutory construction, in their proper

order, we are able to discern the legislative intent of the child abuse statute without

resorting to the rule of lenity, as the majority does, for the following three reasons:

(1) the common law born alive doctrine applies because the legislature has never

expressed a clear intent to abrogate it; (2) over ten years ago Lage adopted the

common law born alive doctrine to permit such prosecutions and since that time

the legislature has never disapproved of Lage; and (3) the decision to omit

qualifying language in the child abuse statute, while including it in other statutes,

demonstrates that the legislature’s intent was to permit child abuse prosecutions

on facts like those in this case. Applying these different tools demonstrates that

the rule of lenity is simply inapplicable here because the legislative intent is

discernible utilizing the principles of statutory construction that we employ in

nearly every case that requires us to make that determination.

¶80   First, the majority rejects “adopting the [common law] ‘born alive’ doctrine

to define a criminal element” because it is concerned doing so “would usurp the

role of the legislature.” Maj. op. ¶ 69. But this turns a key principle of statutory

construction on its head because when the legislature is silent with respect to a



                                          5
certain definition in a statute, we presume that it is subject to the common law.

Robbins, 107 P.3d at 387–88; see also Bradley v. People, 9 P. 783, 786 (Colo 1886) (“The

common law is . . . to be taken into account in construing a statute.”). In other

words, the common law becomes our starting point for interpretation. And the

common law born alive doctrine permits a prosecution for injuries caused to a

fetus in utero that is later born alive. 62A Am. Jur. 2d Prenatal Injuries, Etc. § 40;

Restatement (Second) of Torts § 869(1) (Am. Law Inst. 1979) (“One who tortiously

causes harm to an unborn child is subject to liability to the child for the harm if the

child is born alive.”); see Lage, 232 P.3d at 143–44; see also State v. Hammett,

384 S.E.2d 220, 221 (Ga. App. 1989); People v. Bolar, 440 N.E.2d 639, 643–44 (Ill. App.

1982); State v. Soto, 378 N.W.2d 625, 628–29, 628 n.8 (Minn. 1985) (collecting cases

from courts across the United States that have adopted or used the common law

born alive doctrine); People v. Hall, 557 N.Y.S.2d 879, 883 (N.Y. App. Div. 1990);

Cuellar v. State, 957 S.W.2d 134, 138–40 (Tex. App. 1997). Indeed, the majority

acknowledges that this doctrine exists. See Maj. op. ¶ 66. But the majority then

ignores this court’s longstanding principle “that a statute may not be construed to

abrogate the common law unless such abrogation was clearly the intent of the

general assembly.” Robbins, 107 P.3d at 387; Preston v. Dupont, 35 P.3d 433, 440–41

(Colo. 2001); Robinson v. Kerr, 355 P.2d 117, 119–20 (Colo. 1960). The legislature

has never expressed a clear intent, or any intent for that matter, to abrogate the


                                           6
common law born alive doctrine in the child abuse statute, which is particularly

significant given that when the legislature has wished to abrogate the common

law born alive doctrine for other criminal offenses—like homicide, for example—

it has done so explicitly. Specifically, the legislature defined “person,” when

referring to the victim of a homicide, as “a human being who had been born and

was alive at the time of the homicidal act.” § 18-3-101(2), C.R.S. (2019). The use of

this language is an example of explicit intent to abrogate the common law born

alive doctrine for homicide offenses. In the child abuse statute, however, there is

no clear intent to abrogate the common law. There is silence. The definition of

“child” has remained unchanged. Hence, our precedent requires us to rely on the

common law to construe the criminal code when the legislature is silent on certain

aspects of codified offenses. Robbins, 107 P.3d at 387, 390 (“Absent such clear

intent, statutes must be deemed subject to the common law.”). Accordingly,

contrary to the majority’s contention that adopting the born alive doctrine “would

usurp the role of the legislature,” the opposite is true; the born alive doctrine

remains viable and applies here because the legislature has never expressed a clear

intent to abrogate it for the crime of child abuse.

¶81   Second, in the simplest of terms, the majority does in two paragraphs what

the legislature has declined to do for over ten years: it redefines the definition of

“child” in the child abuse statute. That is significant because the court of appeals,



                                          7
following this court’s own long-established precedent to construe statutes in

accordance with the common law when there is no clear intent to abrogate it,

adopted the common law born alive doctrine and defined “child” in the child

abuse statute to include a fetus injured in utero that is later born alive. Lage,

232 P.3d at 143–44 (“[W]e conclude that the term ‘child’ used in [the child abuse

statute] . . . include[s] a fetus who is injured while in the womb, is subsequently

born and lived outside the womb, and then died from the injuries sustained.”). In

that case, a defendant was charged with, among other offenses, reckless child

abuse resulting in death after he caused a head-on collision with a woman who

was eight-and-a-half months pregnant. Id. at 139. The child was delivered alive

but died a little over one hour later. Id. Because the child abuse statute was silent

as to whether the defendant could be charged with child abuse for injuring a fetus

that was later born alive, the court of appeals turned to the common law born alive

doctrine. Id. at 143–44. As a result, the Lage majority concluded that the defendant

could properly be charged with child abuse after he injured a fetus in utero that

was later born alive. Id. In sum, the court of appeals did exactly what the rules of

statutory construction dictate; it looked to the common law to help construe the

child abuse statute.

¶82   That has remained the law since that time. It has remained the law because

the legislature has not done anything in response to Lage. Again, the legislature



                                         8
has never clearly expressed its intent to disapprove of Lage or to abrogate the

common law born alive doctrine. The majority downplays the significance of this

legislative inaction and declines “to infer legislative intent from the fact that the

legislature has not amended the definition of ‘child’ or ‘person’ in the child abuse

statute following [Lage].” Maj. op. ¶ 63.2 But again, that is directly contrary to one

of our bedrock principles of statutory interpretation: “The legislature’s actions

(and inactions) are significant because when the legislature amends a statute, it is

presumed that it ‘is aware of, and approves of, case law interpreting that statute.’”

Carrera v. People, 2019 CO 83, ¶ 29 449 P.3d 725, 731 (quoting Diehl v. Weiser,

2019 CO 70, ¶ 25, 444 P.3d 313, 319); see also Johnson v. Transp. Agency, 480 U.S. 616,




2  The majority relies on Welby Gardens v. Adams County Board of Equalization,
71 P.3d 992, 998 n.8 (Colo. 2003), to decline “to infer legislative intent from the fact
that the legislature has not amended the definition of ‘child’ or ‘person’ in the child
abuse statute following [Lage].” Maj. op. ¶ 63. But such reliance is misplaced.
Welby Gardens does not stand for the principle that legislative inaction is never
probative of legislative intent. Instead, it simply details that legislative inaction in
that case was not particularly helpful. Indeed, a careful reading indicates that the
court felt legislative inaction in that case “[was] not surprising” because two of the
cases that interpreted the statute were not published, and therefore had no
precedential value, and the third case had such a “limited scope” that it “[was] not
extraordinary” that the legislature had not responded. Welby Gardens, 71 P.3d at
999 (“Given the limited scope of the court’s decision, we would not expect the
legislature to amend the statute one way or another in response.”). The opposite
is true here: Lage was a published decision, not limited in scope, and the legislature
did amend the child abuse statute three times after Lage but chose not to abrogate
that holding. Hence, the lack of a legislative response here is quite telling.


                                           9
629 n.7 (1987) (finding “the absence of congressional efforts to amend [a] statute

to nullify [a prior decision]” probative of legislative intent); Leonard v. McMorris,

63 P.3d 323, 331 (Colo. 2003) (“We presume that the General Assembly knows the

pre-existing law when it adopts new legislation or makes amendments to prior

acts.”); People v. Swain, 959 P.2d 426, 430–31 (Colo. 1998) (“Under an established

rule of statutory construction, the legislature is presumed, by virtue of its action in

amending a previously construed statute without changing the portion that was

construed, to have accepted and ratified the prior judicial construction.”);

Tompkins v. DeLeon, 595 P.2d 242, 243–44 (Colo. 1979) (“When the legislature

reenacts or amends a statute and does not change a section previously interpreted

by settled judicial construction, it is presumed that it agrees with [the] judicial

construction of the statute.”). Case law from the Supreme Court and our own

court makes it clear that if the General Assembly had disapproved of Lage, then it

would have amended the statute. See, e.g., Johnson, 480 U.S. at 629 n.7 (“[W]hen

Congress has been displeased with our interpretation of [a statute], it has not

hesitated to amend the statute to tell us so.”); Fierro v. People, 206 P.3d 460, 462–64

(Colo. 2009) (recounting a series of legislative changes that occurred in direct

response to several court decisions). It has not—for over ten years—and this lack

of legislative amendments to the child abuse statute after Lage, despite amending

the very same statute three separate times without changing the portion Lage



                                          10
construed, establishes that the legislative intent was to permit prosecutions like

the one here.

¶83   The majority attempts to justify that this “legislative inaction [is not]

instructive” because Lage was a court of appeals opinion, not an opinion of “this

court.” Maj. op. ¶ 65. In attempting to lessen the import of Lage, the majority

implies that published court of appeals opinions create some sort of lesser laws by

stating that “this court has never recognized the doctrine.” Maj. op. ¶ 69. But this

attempt to distinguish Lage is simply not accurate. Published court of appeals

opinions are binding on lower courts and “must be followed as precedent by all

lower court judges in the state of Colorado.” C.A.R. 35(e); see also Chapman v.

Harner, 2014 CO 78, ¶ 11, 339 P.3d 519, 522 (detailing that an opinion was “binding

upon trial courts as a published court of appeals opinion”); Patterson v. James,

2018 COA 173, ¶ 40, 454 P.3d 345, 353 (“[P]ublished opinions are binding

precedent for all lower court judges.”). The legislature recognizes this very fact

and thus, contrary to the majority’s suggestion, does not wait for this court to

interpret a statute before it steps in to disapprove of a judicial construction. It also

acts when it disapproves of a court of appeals decision. See, e.g., City of Colo.

Springs v. Powell, 156 P.3d 461, 467 (Colo. 2007) (explaining that “the General

Assembly’s decision not to alter the definition of [a term in a statute] following

th[o]se [court of appeals] cases—even though it made several other amendments



                                          11
to the [statute] after th[o]se decisions—[w]as evidence of its acquiescence to the

judicial construction of the terms in those [court of appeals] opinions”). Hence,

contrary to the majority’s contention, the legislative inaction here is instructive

because Lage has been the law that all lower courts in this state have been required

to follow for over ten years. The legislature has never altered that law.

¶84   This legislative inaction is significant for another reason. Judge Connelly

dissented in Lage and declined to conclude that a defendant could be prosecuted

for inflicting injuries on a fetus in utero that is later born alive in that case. Lage,

232 P.3d at 145 (Connelly, J., concurring in part and dissenting in part). But in his

dissent, he specifically asked for the legislature to act, stating, “This is an area that

cries out for new legislation.” Id. at 146. Despite this plea, the legislature has not

acted to alter the majority’s conclusion in Lage. This speaks volumes. It reinforces

the conclusion that the legislature intended to permit prosecutions for child abuse

like the one we have in this case.

¶85   Third, “we construe the legislature’s decision to omit such qualifying

language . . . as intentional, and, of course, we must refrain from adding words to

the statute.” Mook v. Bd. of Cty. Comm’rs of Summit Cty., 2020 CO 12, ¶ 35, 457 P.3d

568, 576 (finding that the legislature’s omission of qualifying language was

intentional and disapproving of an interpretation that added limitations to a

statute that did not exist). Despite that clear precedent, the majority does just the



                                           12
opposite and both ignores the legislature’s decision to omit limiting language in

the definition of “child” or “person” in the child abuse statute and then goes one

step further and imports limiting language from different statutes in which the

legislature has used different definitions.

¶86   This disregards the fact that the legislature uses different definitions in

different articles for different crimes. That means that just because the legislature

defines a person in one statute does not mean that definition applies to all statutes.

If the legislature wanted a definition of person to be universal to all crimes, then it

would have said so. It has not. In fact, it has done the opposite. The legislature

defines “person” differently for different crimes. In Article 3, a “‘[p]erson,’ when

referring to the victim of a homicide, means a human being who had been born and

was alive at the time of the homicidal act.” § 18-3-101(2) (emphasis added). In

that statute, the legislature decided to exclude a fetus who was in utero at the time

of the offense. Similarly, in Article 3.5, Offenses Against Pregnant Women, the

legislature included a personhood disclaimer, which provides that “[n]othing in

this article shall be construed to confer the status of ‘person’ upon a human embryo,

fetus, or unborn child at any stage of development prior to live birth.” § 18-3.5-110,

C.R.S. (2019) (emphasis added). Again, the legislature decided to exclude a fetus

who was in utero at the time of the offense. Under the child abuse statute, in

Article 6, however, a “‘child’ means a person under the age of sixteen years.”



                                          13
§ 18-6-401(2). Here, the legislature chose to omit any limitations in the child abuse

statute. But despite this legislative choice, the majority decides that this omission

was just a simple mistake, an oversight, and imports limitations from other

statutes. This is simply improper. The different definitions of what constitutes a

“person” or “child” for different crimes reflect policy decisions that this court

should not alter. Hence, a legislative decision to omit qualifying language in the

child abuse statute indicates that the omission was intentional.

¶87    Had the legislature chosen to limit the definition of “person” or “child” to

only those already born and alive in the child abuse statute, the legislature could

have used language similar to that used for homicide offenses or offenses against

pregnant women. Indeed, those statutes demonstrate that the legislature “knew

how to do so.” See, e.g., Hernandez v. Ray Domenico Farms, Inc., 2018 CO 15, ¶ 12,

414 P.3d 700, 703–04 (explaining that had the legislature intended to use similar

limiting language from one section of a statute in another section, it “knew how to

do so”). Yet the legislature has not done so here, and we should heed that decision.

¶88    In sum, the rule of lenity is inapplicable in this case. It is a rule of last resort

that is intended to resolve “ambiguity in the meaning of a criminal statute” only

after we have exhausted all other options of statutory construction to discern the

legislative intent. See Summers, 208 P.3d at 258. We should never reach the rule of

lenity in this case.



                                            14
¶89   In addition to these three reasons detailed above, common sense

demonstrates why the legislature did not intend to preclude a defendant from

being charged with child abuse when he causes injuries to a fetus in utero that is

later born alive. Here, the defendant shot his estranged wife in the abdomen

knowing that she was pregnant with another man’s child. Where she was shot is

telling. He intended to kill the unborn child as much as he intended to kill his

estranged wife.      Now, the child suffers from severe neurological and

developmental disabilities that will persist throughout her life. She lacks muscle

control, is unable to swallow without assistance, suffers from vision and hearing

loss, and may never be able to walk or talk. As a result of Jones’s actions, this child

stands as an independent victim, separate and apart from her mother. She will

suffer for her entire life because of the defendant’s actions. Surely the legislature

did not intend to disregard her as a victim.

¶90   As a final note on this issue, while I agree with the majority’s statement that

the homicide, unlawful termination of pregnancy, and child abuse statutes cannot

be read in pari materia because the statutes don’t involve the same subjects and

cover different harms, the majority is, in effect, doing the very thing it claims to be

rejecting. Both the homicide and unlawful termination of pregnancy statutes, by

their plain terms, do not include a fetus that is later born alive. § 18-3-101(2)

(“‘Person’, when referring to the victim of a homicide, means a human being who



                                          15
had been born and was alive at the time of the homicidal act.”); § 18-3.5-110

(“Nothing in this article shall be construed to confer the status of ‘person’ upon a

human embryo, fetus, or unborn child at any stage of development prior to live

birth.”). The child abuse statute contains no similar limitation, yet the majority—

under the guise of the rule of lenity—imports into the statute that it too, like the

homicide and unlawful termination of pregnancy statutes, does not include a fetus

that is later born alive. In effect, it took the result that applying in pari materia

would provide and used the rule of lenity to get there. This is an action that I

cannot join.

¶91   Accordingly, for the aforementioned reasons, I believe that a defendant can

be charged with and convicted of child abuse resulting in serious bodily injury

when the defendant causes injuries to a fetus in utero that is later born alive.

        II. The Trial Court’s Exclusion of Jones’s Parents Was Not a
                 Closure Implicating the Sixth Amendment.
¶92   The majority also concludes that the trial court committed structural error

by excluding Jones’s parents from the courtroom during the testimony of his two

children. But, in my view, this misses the mark because it ignores the fact that

there is a difference between a courtroom closure and a trial court’s exclusion of

certain spectators because of their behavior. The former implicates the Sixth

Amendment, whereas the latter does not.         Excluding people whose conduct

negatively impacts a proceeding is a necessary and permissive exercise of the


                                         16
court’s discretion to control the courtroom. In my opinion, the majority conflates

the two.

¶93   Criminal defendants are guaranteed a right to a public trial under both the

U.S. and Colorado Constitutions. U.S. Const. amends. VI, XIV; Colo. Const. art. II,

§ 16. “The requirement of a public trial is for the benefit of the accused,” Waller v.

Georgia, 467 U.S. 39, 46 (1984), and “enhances both the basic fairness of the criminal

trial and the appearance of fairness so essential to public confidence in the

system,” Press-Enter. Co. v. Superior Court, 464 U.S. 501, 508 (1984).

¶94   While mindful of the importance of the right to a public trial and the

significant protections it confers to defendants, the right to a public trial is not

absolute and trial judges must have sufficient discretion to control their

courtrooms. See Illinois v. Allen, 397 U.S. 337, 343 (1970) (“[T]rial judges confronted

with disruptive, contumacious, stubbornly defiant defendants must be given

sufficient discretion to meet the circumstances of each case.”); see also People v.

Aleem, 149 P.3d 765, 773 (Colo. 2007) (noting the “trial court’s inherent authority

to control the courtroom”). When a court exercises that discretion and excludes a

spectator for cause, that exclusion does not constitute a Sixth Amendment closure.

State v. Lormor, 257 P.3d 624, 628–29 (Wash. 2011); see also People v. Angel, 790 P.2d

844, 846–47 (Colo. App. 1989). This is so because the “power to control the

proceedings must include the power to remove distracting spectators, or else it



                                          17
would be meaningless,” and “[a]ny other rule would leave a trial court judge

unable to keep the order necessary for a fair proceeding.” Lormor, 257 P.3d at 629.

¶95   Both Lormor and Angel are instructive here.3 In Lormor, even though the

child was not at fault, a trial court excluded the defendant’s daughter from the

courtroom because she was on a ventilator, which the court concluded would pose

a distraction during the trial. Id. at 625–26. In that case, the Supreme Court of

Washington held that no closure had occurred and reviewed the exclusion for an

abuse of discretion, explaining that the trial court “has the power to preserve and

enforce order in the courtroom and to provide for the orderly conduct of its

proceedings.” Id. at 629. Similarly, in Angel, a division of the Colorado Court of

Appeals concluded that excluding certain spectators from the courtroom while a

witness testified did not violate a defendant’s right to a public trial when the

presence of certain persons in the courtroom caused the witness to lose her

composure. 790 P.2d at 846–47.




3 The majority concludes that reliance on Lormor “seems misplaced” because
“unlike in Lormor, here there was no disruption in the courtroom.” Maj. op.
¶¶ 34–35. But this ignores the reality that judges must have the ability to control
their courtrooms. There does not need to be an actual disruption in the courtroom.
The court just needs good reasons to believe that there will be courtroom
disruptions if it does not take some course of action.

                                        18
¶96   In my opinion, the same reasoning applies here. On the morning of the fifth

day of the trial, the prosecutor requested that the children’s paternal grandparents

(Jones’s parents) be excluded from the courtroom when two of Jones’s and the

victim’s children testified for the prosecution. The prosecution detailed that “[t]he

Court knows that there is a [dependency and neglect proceeding] . . . that is in

tandem and that all parties were asked to not speak to the kids about any of the

court proceedings,”4 but that over the weekend, during a visit with Jones’s

children, the grandmother had violated that admonition by commenting that one

of the grandchildren would be testifying at his father’s trial. This put the child

“into a bit of a tailspin” and “sent him very much on edge.” The court granted the

prosecution’s request to exclude the defendant’s parents during the children’s

testimony, explaining that, “given the circumstances, I will order that neither be

present during the children’s testimony.” While no further record was made as to

the court’s reasons for excluding Jones’s parents, the trial judge’s statement about




4 The prosecutor used the word “asked.” Even without the dependency and
neglect proceeding’s record, I am confident that this was not a suggestion or a
mere request by the judge in the dependency and neglect proceeding. Rather,
experience dictates that this was an order regarding visitation. The record here,
however, does not establish that it was in fact an order. Therefore, in an
abundance of caution, I will call the court’s directive to the grandparents to not
discuss the court proceedings an admonition.


                                         19
“the circumstances” indicates he excluded them based on their conduct. Indeed,

the trial judge was also presiding over the dependency and neglect proceeding of

Jones’s children. In that case, the judge admonished the grandparents to not

discuss the criminal proceedings with the children. Despite that admonishment,

the grandmother did just that. And, as a result, it negatively impacted the children

in a significant way. In response, the court ordered that the grandparents could

not be in the courtroom when the children testified. While the court could have—

and should have—made a more thorough record regarding its reasons for

removing the grandparents, we can discern the court’s rationale. 5 It is cause and

effect. Hence, we should be reviewing the trial court’s decision to exclude the

grandparents based on their conduct for an abuse of discretion. But the majority

minimizes the need for the trial court to control behavior that can impact the truth-

seeking function of a trial and instead jumps to a courtroom closure and structural

error.

¶97      The majority also contends that “as to Jones’s mother, there is little to

nothing in the record to support the conclusion that her presence at trial would

have created the potential for disruption or witness intimidation.” Maj. op. ¶ 35.




5 The trial court should have described what specific action it took in the
dependency and neglect proceeding.


                                         20
But the majority ignores a critical fact in this case. Defense counsel agreed with

the court that the grandmother’s presence could be problematic. Indeed, defense

counsel stated, on the record, that “I certainly understand why the Court would

order that [she be excluded].       [She] is potentially very emotional about it.”

Furthermore, there is actually nothing in the record that shows that she was even

excluded by the court’s order. In fact, the record reflects the opposite point:

Defense counsel stated on the record that “I do not expect [Jones’s mother] to be

present.” (Emphasis added.) Hence, the record reflects that the exclusion order

did not impact her presence because it does not appear that she was in attendance

or that she even planned on attending. And defense counsel never supplemented

the record showing that she was there or that she now wanted to attend.

¶98   Under the majority’s holding today, trial courts will need to engage in a

Waller analysis any time they exclude spectators who could influence witness

testimony or disrupt judicial proceedings. In my view, this is unnecessary. See

Lormor, 257 P.3d at 629 (“[I]t would make little sense to engage in a . . . Waller

analysis every time an unruly spectator is ejected from the courtroom.”).

Furthermore, by requiring a Waller analysis before excluding a spectator when the

judge has cause to believe there will be a disruption, I fear that judges will hesitate.

Trial judges should not have to wait for a spectator to actually interfere, disrupt

the proceedings, or influence a witness in his or her presence before they can



                                          21
exclude a spectator if the court already has good cause to believe the spectator has

violated an order or admonishment to refrain from discussing a case with a

witness. Conduct outside of the courtroom can be considered. See, e.g., People v.

Marquantte, 923 P.2d 180, 183 (Colo. App. 1995) (explaining that a “court has broad

discretion to determine what actions are necessary to regulate the courtroom”

when a spectator makes “a specific threat . . . against a witness” outside of the

courtroom). Indeed, if trial judges were required to wait for conduct to occur in

open court, then they would run the risk of incomplete or influenced testimony,

or even a mistrial.

¶99   In addition, the majority’s decision to vacate Jones’s convictions and remand

for a new trial gives me significant pause, when, as here, we are dealing with a

record that does not make it clear when Jones’s parents were actually excluded.

To be sure, the majority is correct that the court ordered that Jones’s parents would

be excluded during the testimony of Jones’s children, A.J. and J.J. But there is

nothing in the record about what happened. This is so despite the fact that the

order came in the morning, and the children’s testimony occurred after lunch. A.J.

testified right after lunch, yet nothing in the record indicates whether the

grandparents were present or ordered out. Then, after A.J.’s testimony, another

witness testified before J.J. was called to the stand. Yet again, the record is

completely silent about what happened with the grandparents. J.J. then testified



                                         22
after this witness, but again, the record is silent about what happened with the

grandparents. Finally, two additional witnesses testified after J.J., but again, the

record is silent with what happened with the grandparents. What is established

by the record is that the grandmother was not even present at court that day.

Suffice it to say, the record does not reflect when, if, and for how long Jones’s

parents were actually excluded from the courtroom, which would enable us to

determine the full nature of the court’s exclusion in this case. Hence, I have

concerns with reversing and remanding for a new trial on this record. And even

though remanding for further factual findings is made more difficult here because

the trial judge has since passed away, this portion of the record could be

reconstructed in his absence.

¶100   The majority, however, concludes that remand “is not possible.” Maj. op.

¶ 46. It shrugs its shoulders and contends that because the trial judge made no

findings and has since passed away, we will never know why he excluded Jones’s

parents. But this misses the point; we already know why he excluded them: They

had been admonished to not speak with the children about the criminal trial yet

had done just that. What is missing is record support. In my view, the majority,

in effect, is conflating the lack of record support regarding the existence of an order

in the dependency and neglect case to mean that we don’t know why he excluded

the grandparents.     If remanded, the record in the dependency and neglect



                                          23
proceeding would establish if there was in fact an order. If there was not an order,

then the exclusion was an abuse of discretion. If, however, there was an order that

the grandparents did indeed violate, then the decision to exclude them was well

founded. Even in the absence of the presiding judge, that portion of the record in

this case could be reconstructed.

¶101   Finally, even if the majority is correct that the exclusion of Jones’s parents

here was an unjustified closure, I would conclude that it was trivial under the

triviality standard that we adopted in People v. Lujan, 2020 CO 26, 461 P.3d 494. As

we explained in Lujan, many jurisdictions have concluded that some closures are

simply so trivial that they do not rise to the level of a constitutional violation. Id.

at ¶¶ 16, 23, 461 P.3d at 498–500; see also, e.g., Peterson v. Williams, 85 F.3d 39, 40, 43

(2d Cir. 1996) (explaining that “even an unjustified closure may, on its facts, be so

trivial as not to violate” a defendant’s public trial right). This triviality standard

recognizes that certain courtroom closures do not implicate the values furthered

by the public trial right, and thus do not warrant automatic reversal. Lujan, ¶¶ 24,

28, 461 P.3d at 499–500; see also United States v. Perry, 479 F.3d 885, 889–91 (D.C.

Cir. 2007). The four primary values furthered by the public trial right include (1)

“to ensure a fair trial,” (2) “to remind the prosecutor and judge of their

responsibility to the accused and the importance of their functions,” (3) “to

encourage witnesses to come forward,” and (4) “to discourage perjury.” Lujan,



                                            24
¶ 28, 461 P.3d at 500 (quoting Peterson, 85 F.3d at 43). If these values are not

implicated, then even “the exclusion of a family member or friend may . . . not

implicate the Sixth Amendment public trial guarantee.” Perry, 479 F.3d at 890–91.

Courts consider various nondeterminative factors when determining whether a

closure was trivial, including: the duration of the closure, the substance of the

proceeding during the closure, whether the proceedings were later memorialized

in open court or placed on the record, and whether the closure was total or partial.

Lujan, ¶ 19, 461 P.3d at 498–500; see also Perry, 479 F.3d at 890–91.

¶102   Applying the triviality framework to the facts here, I would conclude that

any closure was trivial and does not warrant overturning Jones’s convictions. The

majority rejects the triviality framework to these facts for two primary reasons:

(1) the court excluded the defendant’s family members6 and (2) the children’s




6 The majority relies extensively on United States v. Rivera, 682 F.3d 1223 (9th Cir.
2012), to support its conclusion that any closure here was not trivial because the
court excluded the defendant’s family members. Maj. op. ¶¶ 16, 23, 40, 41. But
Rivera is distinguishable for two reasons. First, that case involved the exclusion of
the defendant’s son during the sentencing hearing. Rivera, 682 F.3d at 1230. As
the Ninth Circuit explained, “the presence of the public at sentencing reminds the
participants, especially the judge, that the consequences of their actions extend to
the broader community” and “[f]riends and family . . . are particularly effective in
this regard, because they are the individuals most likely to be affected by the
defendant’s incarceration.” Id. Of course the son would be impacted by his
father’s sentencing. Hence, I agree that if we were talking about the exclusion of
Jones’s parents during his sentencing hearing then this would be a different case,


                                          25
testimony was significant due largely to its duration. Maj. op. ¶¶ 41–42. In my

view, only relying on these two factors is insufficient. To begin, while I do not

dispute “the important role the defendant’s family plays during a trial,” just

because the exclusion covered a family member does not immediately render a

closure non-trivial. See Perry, 479 F.3d at 890–91 (holding that the exclusion of a

defendant’s eight-year-old son from the entire trial was trivial and did not violate

the defendant’s Sixth Amendment public trial right); see also Kelly v. State, 6 A.3d

396, 420 (Md. Ct. Spec. App. 2010) (finding that excluding the defendant’s family

for two to three hours of voir dire was trivial and did not warrant reversal). The

triviality standard requires a more balanced examination, looking at whether the

closure implicated the values that the Sixth Amendment seeks to further.

Additionally, while the majority is correct that the children’s testimony spanned

146 pages, the testimony was not as significant as the majority claims, and the

duration, when looked at in context of the entire trial, tips in favor of this being

trivial. This was a ten-day trial; the total transcript was nearly 2,200 pages, and 48

different witnesses testified. It also should not be forgotten that defense counsel




and the reasoning from Rivera would be applicable. But these are not the facts in
our case. Second, the son in Rivera did nothing wrong. Here, conversely, the court
excluded Jones’s parents based on their conduct.


                                         26
told the court that the grandmother was not even present on the day she was

excluded and that he understood the reason for her exclusion. And even if she

was there, the grandparents were presumably only excluded from the courtroom

during the testimony of 2 of those 48 witnesses, which encompassed just a very

small percentage of the trial (approximately 6 percent if measured by transcript

pages). Nobody else was excluded from any portion of the trial, and the trial

judge’s order did not prevent the grandparents from being present during any

other portion of the trial. And finally, even assuming for the sake of argument that

the duration of the children’s testimony was significant, as the majority concludes,

it is important to recognize that “the length of time, by itself, is not dispositive.”

Kelly, 6 A.3d at 420.

¶103   In assessing whether the exclusion here was trivial, I turn to whether the

exclusion implicated the values protected by the Sixth Amendment public trial

right. See Lujan, ¶ 28, 461 P.3d at 500. And applying these four values to these

facts warrants a determination, in my view, that this closure was trivial because

these values were not implicated here.          First, excluding the grandparents

furthered, not diminished, the defendant’s “right to a fair trial” because it

prevented the grandparents from possibly influencing the children’s testimony.

Indeed, there was concern that the grandparents would negatively impact the

children’s testimony. Defense counsel seemingly admitted as much, at least with



                                         27
respect to the grandmother, stating that “I certainly understand why the Court

would order that [she be excluded]. [She] is potentially very emotional about it.”

In sum, no one benefits from testimony that is influenced. Second, the general

public and press were not excluded, so the prosecutor and judge were still

reminded of their “responsibility to the accused and the importance of their

functions.” Excluding two spectators did not change this. Third, excluding the

grandparents did not discourage witnesses from coming forward; in fact, the

defense had already decided that the grandparents would not be testifying in this

trial and, conversely, the children did testify. Fourth, it seems that the exclusion

furthered—rather than hampered—the goal of discouraging perjury because the

record reflects concerns that the grandparents would influence the children’s

testimony. In sum, it does not appear that the exclusion here implicated the values

furthered by the Sixth Amendment. Hence, even if I were to accept the majority’s

contention that the exclusion of Jones’s parents here was an unjustified closure,

under these facts, I would find that it was trivial.

                              III. Conclusion

¶104   I believe that Jones can be properly charged with and convicted of child

abuse for the life-long and devastating injuries that he inflicted on the child here.

As such, I would affirm Jones’s conviction for child abuse resulting in serious

bodily injury. Additionally, when people are excluded from the courtroom for



                                          28
their conduct, that exclusion is not a closure that implicates the Sixth Amendment.

Hence, I would review these exclusions for an abuse of discretion. Accordingly, I

respectfully dissent.



I am authorized to state that CHIEF JUSTICE COATS and JUSTICE SAMOUR join

in this dissent.




                                        29
