                           ILLINOIS OFFICIAL REPORTS
                                        Appellate Court




                           People v. Luna, 2013 IL App (1st) 072253




Appellate Court            THE PEOPLE OF THE STATE OF ILLINOIS, Plaintiff-Appellee, v.
Caption                    JUAN LUNA, Defendant-Appellant.



District & No.             First District, Fourth Division
                           Docket No. 1-07-2253


Filed                      April 25, 2013


Held                       Defendant’s conviction for first degree murder for the shooting deaths of
(Note: This syllabus       seven employees of a fast-food restaurant was upheld over his
constitutes no part of     contentions that expert testimony that defendant’s latent fingerprint was
the opinion of the court   found on a napkin found in the restaurant should have been excluded or
but has been prepared      a Frye hearing should have been held on the admissibility of the
by the Reporter of         evidence, that defense counsel was ineffective in failing to seek a Frye
Decisions for the          hearing, since the DNA found at the scene was too small to test for
convenience of the         reliable testing, that Daubert should be adopted for assessing the
reader.)
                           admissibility of scientific evidence, that the prosecutor presented
                           improper comments in closing argument, and that the denial of
                           defendant’s motion to admit out-of-court statements of two witnesses was
                           an abuse of discretion.


Decision Under             Appeal from the Circuit Court of Cook County, No. 02-CR-15430 (02);
Review                     the Hon. Vincent M. Gaughan, Judge, presiding.


Judgment                   Affirmed.
Counsel on                 Michael J. Pelletier, Patricia Unsinn, Alan D. Goldberg, and Kahtleen M.
Appeal                     Flynn, all of State Appellate Defender’s Office, of Chicago, for appellant.

                           Anita M. Alvarez, State’s Attorney, of Chicago (Alan J. Spellberg,
                           Assistant State’s Attorney, of counsel), for the People.


Panel                      JUSTICE EPSTEIN delivered the judgment of the court, with opinion.
                           Presiding Justice Lavin and Justice Fitzgerald Smith concurred in the
                           judgment and opinion.



                                             OPINION

¶1          Juan Luna and James Degorski were charged with first degree murder for the 1993
        shooting deaths of seven people at a Brown’s Chicken restaurant in Palatine, Illinois.
        Following a severed jury trial in 2007, defendant Luna was found guilty of first degree
        murder and sentenced to natural life imprisonment. Defendant presses several arguments on
        appeal: (1) the trial court should have excluded expert testimony that a latent print found on
        a napkin matched defendant’s palm print, or the court should have granted defendant’s
        request for a Frye hearing, because the “controversy surrounding latent print identification”
        shows that the relevant scientific community does not generally accept the method used to
        match latent prints to known prints; (2) defense counsel was ineffective for failing to move
        for a Frye hearing, because testing showed that the amount of DNA recovered from the crime
        scene was less than 0.5 nanograms, and obtaining a profile from such low amounts of DNA
        is not generally accepted within the relevant scientific community; (3) this court should
        discard Frye and adopt Daubert v. Merrell Dow Pharmaceuticals, Inc., 509 U.S. 573 (1993),
        for assessing the admissibility of scientific evidence; (4) defendant was denied a fair trial
        because the prosecutor made improper comments during rebuttal closing argument; and (5)
        the trial court abused its discretion in denying defendant’s motion to admit two out-of-court
        statements from Casey Sander and Todd Wakefield. For the reasons that follow, we affirm.

¶2                                        BACKGROUND
¶3              In the early morning of January 9, 1993, Palatine police officers received separate
        reports that workers from a Palatine Brown’s Chicken had not returned home after their
        shifts. Upon entering the restaurant, police found the bodies of seven persons, all of whom
        had been shot in the head. Richard Ehlenfeldt and Thomas Mennes were found in the cooler
        on the west side of the restaurant. The other five, Lynn Ehlenfeldt, Guadalupe Maldonado,
        Rico Solis, Michael Castro, and Marcus Nellsen, were found in the freezer on the east side
        of the restaurant.
¶4          At the trial, spanning several weeks, dozens of witnesses testified for the State and

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       defendant. We provide a brief overview of the relevant testimony, which we explore in more
       detail, where necessary, as part of our analysis.

¶5                                    I. Defendant’s Statements
¶6                                         A. Eileen Bakalla
¶7          Eileen Bakalla testified that on January 8, 1993, James Degorski called and asked her to
       meet him and defendant in the parking lot of a Jewel grocery store in Carpentersville,
       Illinois. Bakalla was Degorski’s close friend, and she knew defendant; they would visit at
       Degorski’s house and smoke marijuana. When she met them in the parking lot, Bakalla saw
       Degorski and defendant in defendant’s car, along with latex gloves and a canvas money bag.
       The men got into Bakalla’s car, and as she drove them to her home, they told her they had
       robbed the Brown’s Chicken. At Bakalla’s home, defendant and Degorski split the money
       in the bag, which Bakalla estimated at over $1,000. They gave $50 to Bakalla, which she said
       was repayment for a loan she had given to Degorski. The three smoked marijuana, relaxed
       for a few hours, and Bakalla drove defendant back to his car. Bakalla and Degorski then
       drove past the Brown’s Chicken restaurant, where she saw numerous ambulances and police
       cars. The next day, Bakalla met Degorski at a car wash, where Degorski “extensively
       cleaned” defendant’s car. A few weeks later, Bakalla and defendant were at Degorski’s
       house. Defendant smiled as he talked about slitting a lady’s throat.
¶8          Bakalla testified that on November 25, 1995, a police officer investigating the murders
       asked her to go to the Palatine police station. She went with Degorski and defendant, who
       had been an employee at the Brown’s Chicken. Bakalla told a police officer that she was with
       Degorski and defendant at her house on the night of the murders, and they found out about
       the murders the next morning. Bakalla testified that only some of that was true. Bakalla
       admitted that, in exchange for her testimony, the State’s Attorney’s office promised Bakalla
       that she would not be prosecuted for “obstruction of justice” or “concealment or accessory
       after the fact.” The judge instructed the jury to view Bakalla’s testimony “with caution.”

¶9                                         B. Anne Lockett
¶ 10       Anne Lockett testified that in 1991, when she was 17 and still in high school, she met
       defendant and Bakalla through Degorski. Defendant, Degorski, and Lockett used to drink and
       smoke marijuana together. Lockett, who used others drugs like PCP and LSD, started dating
       Degorski in 1992 when she was 17. On January 7, 1993, she was admitted to Forest Hospital
       after she attempted suicide. A few days after she was admitted, Degorski called her at the
       hospital. Lockett testified that after the phone call, she watched the evening news. The lead
       story was the Brown’s Chicken murders.
¶ 11       After she was discharged from the hospital on January 25, 1993, Lockett went to
       Degorski’s house. Defendant was there. Degorski asked Lockett if she wanted to know what
       happened at Brown’s Chicken, and Lockett said yes. Lockett testified that “they” told her that
       they went to the Brown’s Chicken with pockets full of bullets. Degorski had a .38-caliber
       revolver. They went in around closing and defendant ordered chicken, which angered
       Degorski because he was worried about leaving greasy fingerprints. Lockett testified that

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       they told her they put on gloves in the bathroom. The men blocked the back exit door with
       a wedge so that no one could run out the back exit.
¶ 12       Lockett testified that both men admitted shooting the victims with Degorski’s gun. At
       one point, one of the Brown’s employees ran through the kitchen, jumped over the counter,
       and was shot. They told her one of the boys who was left in the cooler had vomited French
       fries before he died. Defendant demonstrated how he cut the throat of “a woman who made
       him mad, something about the safe.” Afterward, they cleaned up and disposed of their
       clothing, shoes, and the gun. Degorski threatened to kill Lockett if she said anything, and he
       told her that because she had been in the hospital at the time, he was going to use Bakalla as
       an alibi.
¶ 13       In March 2002, Lockett eventually recounted to a friend what Degorski and defendant
       had told her. That same month, after the friend had gone to police, Sergeant Bill King of the
       Palatine police department contacted Lockett. Lockett admitted that she did not come
       forward earlier, even when Martin Black, a friend of hers, was arrested for the murders.
¶ 14       Lockett testified that her drug and alcohol use continued until 2004, when she was sent
       to “detox” after arriving to work intoxicated. Lockett relapsed a year later, but, at the time
       of trial, she had been sober for one year. She denied significant memory or cognitive
       difficulties, but when she testified before the grand jury, Lockett read from a statement the
       prosecutor’s office had typed out.

¶ 15                           C. Defendant’s Videotaped Statement
¶ 16       Following his arrest on May 16, 2002, defendant gave a videotaped statement that he and
       Degorski went to Brown’s Chicken to commit a robbery. Assistant State’s Attorney Darren
       O’Brien testified that on May 17, 2002, he spoke with defendant, who after waiving his
       Miranda rights, agreed to give the statement. The statement was played for the jury.
¶ 17       Defendant stated that on January 8, 1993, he and Degorski planned to rob the Brown’s
       Chicken in Palatine; they chose the restaurant because defendant had worked there and knew
       there was no alarm. They decided to go there “at closing time like around 9:00 o’clock”
       because fewer people would be there and because there would be money at that time since
       “everybody was doing their counts to make deposits for the bank or just to count and leave
       some in there in the safe.” At around 9 p.m., defendant and Degorski drove to the restaurant,
       parked “on the north side of the building,” and then “walked by the west side of the building
       to walk inside, by the west side, double side doors to walk in there.” Defendant ordered “four
       or five pieces of chicken,” and the two walked “on the west side of the building” to sit down
       at “the first booth next to the garbage can.”
¶ 18       Defendant and Degorski then put on latex gloves and decided to go ahead with the
       robbery. Defendant approached Rico Solis, who was mopping the floor, and told him to go
       to the back of the restaurant. Degorski fired a shot and told everyone to get on the floor. One
       employee tried to jump over the counter, and Degorski shot him. Degorski took the man into
       “the west side cooler,” and at some point, took Richard Ehlenfeldt, one of the owners, into
       the cooler. Degorski then fired several shots.
¶ 19       Defendant kept an eye on the five other employees until Degorski ordered them into the

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       freezer. Degorski gave defendant a knife and told him to have the “lady owner” (Lynn
       Ehlenfeldt) get the money out of the safe, but “with everything going all wild and crazy,”
       defendant “got caught up in the moment and *** cut her on her throat.” Degorski then
       handed the gun to defendant, took some money out of the safe and dragged Lynn Ehlenfeldt
       into the freezer. When defendant looked into the freezer, the four men inside pleaded with
       him not to shoot. Defendant fired one shot into the freezer, and Degorski then took the gun
       back and fired repeatedly into the freezer. After Degorski checked to “make sure everyone
       was dead” by kicking them and poking them with a stick, he and Degorski turned off the
       lights and locked the doors to make it look like the place was closed. After leaving through
       the side employee door, defendant and Degorski drove to Carpentersville where they met
       Bakalla. She then drove them in her car to her house where defendant and Degorski split the
       money.

¶ 20                                   II. Palm Print Evidence
¶ 21       Dr. Jane Homeyer testified that at the time of trial she was the Director of Competencies
       and Standards in the Office of the Director of National Intelligence. She had also worked for
       the FBI, but before 1999, Dr. Homeyer was a forensic scientist at the Northern Illinois Police
       Crime Laboratory (NIPCL). Testifying as an expert in the “field of prints and *** crime
       scenes,” Dr. Homeyer explained that she was part of the team that documented the Brown’s
       Chicken crime scene. Her primary responsibilities were to process prints and help collect and
       preserve evidence.
¶ 22       On January 11, 1993, while examining the scene at the Brown’s Chicken, Dr. Homeyer
       saw that the register receipt on one of the cash registers showed that a four-piece chicken
       meal with fries, coleslaw, and a small drink was purchased at 9:08 p.m. She also noticed that,
       although the garbage receptacle on the west side of the dining room had a relatively fresh
       bag, it contained a cardboard box with four pieces of chicken, scattered French fries, biscuits,
       coleslaw, paper products (including four used napkins), and other chicken pieces and bones.
¶ 23       Dr. Homeyer and her colleague Chris Hedges removed the plastic garbage bag and set
       it on the floor so that they could “compar[e] the cash register receipt with the general
       contents of the garbage bag to see if in general they looked and appeared to be consistent.”
       After concluding that there “was good alignment between the items, the food items, and the
       paper items that were in the bottom of the garbage bag” with what was on the register tape,
       Dr. Homeyer began separating out the paper items from the food items. She sealed them in
       paper bags and transported them to the laboratory for processing.
¶ 24       On January 14, 1993, Dr. Homeyer began processing the paper items for fingerprints at
       the NIPCL laboratory. Dr. Homeyer examined the four napkins from the bag under various
       angles of light to see if there were any patent print impressions. She then dipped each in a
       ninhydrin solution to help make any latent fingerprints visible. Dr. Homeyer found one
       suitable impression on one napkin and photographed it (ninhydrin prints fade over time). She
       repeated the ninhydrin treatment to enhance the print and took another photograph.
¶ 25       Later, sometime around January 22 or 23, 1993, at the Illinois State Police Crime
       Laboratory, Dr. Homeyer attempted to use zinc chloride to react with the lipids in the print

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       residue to develop additional impressions on the napkins. No additional prints were
       developed, but the process left the earlier-developed print obscured by darkened or blackened
       areas.
¶ 26       Dr. Homeyer examined defendant’s fingerprint and palm print cards on March 2, 1993,
       but the left palm print was missing from those cards. Arlington Heights Police Officer
       Ronald Sum testified that he interviewed defendant (along with other former Brown’s
       employees) and took defendant’s fingerprints and palm prints, along with his photograph,
       on February 17, 1993. Sum testified that he accidentally failed to include defendant’s left
       palm print on the card.
¶ 27       After defendant’s arrest, however, his full palm prints were submitted to John
       Onstwedder, a latent print examiner, who testified as an expert in latent print examination
       at trial. Onstwedder, a member of the International Association for Identification, had
       testified over 100 times as an expert in latent print examination. He concluded that the
       napkin print matched a small area of the palm under defendant’s left “pinky.” Using a
       technique known as ACE-V (analysis, comparison, evaluation, and verification), Onstwedder
       testified in detail about the common characteristics between the latent print and defendant’s
       known print.
¶ 28       On cross-examination, Onstwedder testified that he first ran the print through the
       Automated Fingerprint Identification Service (AFIS), which contains only fingerprints. When
       Onstwedder performed the comparison between the known print and the latent print, he knew
       that defendant had been arrested and that “there was other evidence pointing at him.” While
       Onstwedder testified that he had never made an error, he acknowledged that errors in
       fingerprint identification have occurred in the past, and he testified about his knowledge of
       specific cases of erroneous identifications. He also acknowledged that earlier in the
       investigation, two examiners had matched the napkin print to someone other than defendant.
       Onstwedder agreed that “every step of the way involves subject calls or judgment calls for
       you [to] get to the next step.”

¶ 29                                     III. DNA Evidence
¶ 30       Along with the paper napkins, the chicken bones in the garbage bag were taken back to
       the evidence room on January 11, 1993. At some point, Dr. Homeyer combined all the food
       pieces into a single plastic bag. The bag was stored at the NIPCL laboratory at room
       temperature until January 14, 1993, when she opened it to inventory and photograph the
       chicken pieces found in the box.
¶ 31       In 1994, Dr. Homeyer sent the chicken pieces to a private laboratory, Life Codes, for
       DNA testing. Rich Cunningham, a former employee of Life Codes, testified that he
       attempted to obtain a DNA sample from one of the chicken bones, but the amount of DNA
       potentially present, about 1 to 2 nanograms, was too small for the type of testing Life Codes
       was using at the time. Cunningham was looking for a sample size of around 10 nanograms,
       as Life Codes was not yet using “Short Tandem Repeat” (STR) testing, which works well
       with smaller amounts of DNA. After the testing, Cunningham disposed of the bone he tested.
       In Cunningham’s opinion, there “would be no reason” to keep the bone, for he had exposed

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       the bone to a chemical bath, such that he had removed “all the cellular material” from the
       bone. He returned the other untested chicken bones to the Palatine police.
¶ 32       Ornithologist Dr. David Willard testified that in June 1995, he received the chicken
       evidence at the Chicago Field Museum from Palatine police officers. He attempted to
       determine how many pieces of chicken were in the garbage bag. The partially thawed chicken
       was set out on an unsterilized table in a semi-public area of the museum. Dr. Willard and a
       colleague pulled back meat from some of the bones and removed meat from others. They did
       not wear gloves or masks. Dr. Willard testified that he looked at each bone and gave it a
       name (e.g., “wing bone”), but he could not determine what type of meal (e.g., four-piece or
       five-piece) was presented by the chicken pieces because he did not know what type of pieces
       were included in those different-sized meals.
¶ 33       Debra Depczynski of the Illinois State Police Forensic Science Center in Chicago (ISP
       laboratory) testified that on September 18, 1998, she began tests to determine if there was
       any saliva on the partially eaten chicken bones. On two of the five bones, she was able to get
       a positive result. Depczynski gave a set of four swabs for each of the two bones to Cecilia
       Doyle for testing.
¶ 34       Cecilia Doyle, chief of the Biology-DNA section of the ISP laboratory, testified as an
       expert in the field of DNA analysis. As explained in greater detail in the analysis section
       below, Doyle used STR DNA analysis on the swabs from the two bones and was able to
       obtain a nine-loci DNA profile from the bones. She explained that in 1998, the laboratory
       was only looking at 9 allele locations for DNA profiles and did not advance to 13-loci DNA
       testing until 1999.
¶ 35       The testing revealed that each sample contained DNA from multiple contributors. Doyle
       testified that a DNA profile, viewed on a graph called an electropherogram, normally has just
       two peaks at any one area of the DNA (i.e., any locus), because half of the DNA is inherited
       from the mother and half from the father. When an allele (i.e., an area of genetic variation
       that analysts measure and use for comparison) is detected at a particular locus, it is
       represented by a peak plotted at a point on the electropherogram. Here, Doyle saw more than
       two peaks at two of the nine loci tested, indicative of a mixture. To bring up more alleles
       from the “minor profile” (the one with lower peak heights), Doyle repeated the analysis using
       more of the sample. That test revealed alleles at four more loci.
¶ 36       Kenneth Pfoser testified as an expert in the field of DNA. In May 2002, when he was
       assistant DNA technical leader at the ISP laboratory, Pfoser reviewed the DNA profile
       obtained from defendant (in 2002 and 2004) as well as the major profile obtained from the
       chicken bone swabs. In his opinion, the profiles matched. He testified that the profile would
       be expected to occur in 1 in 139 trillion Black, 1 in 8.9 trillion Caucasian, and 1 in 2.8 trillion
       Hispanic unrelated individuals.
¶ 37       Defendant presented testimony of Dr. Karl Reich, founder and part owner of a private
       laboratory that performs and advises on DNA testing for law enforcement and private
       individuals. Dr. Reich, who holds an M.D. and a Ph.D. in molecular biology, testified that
       the ISP ran the 220,456 records in the Combined DNA Index System (CODIS) database
       against each other to determine the number of nine-loci matches. The study revealed 903


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       pairs of matching nine-loci profiles in the database, i.e., 1,806 persons with identical DNA
       at nine loci. In Dr. Reich’s opinion, the study cast doubt on the State’s claim that the odds
       of another unrelated Hispanic sharing defendant’s DNA at nine loci are 1 in 2.8 trillion.
¶ 38        Dr. Reich also testified that there was “no way” to determine the source of the DNA or
       when the DNA was deposited on the bone. Dr. Reich stated that 13 loci, not 9, are necessary
       to have a “scientifically, fully justifiable identity match.” On cross-examination, Dr. Reich
       testified that his laboratory was paid over $100,000 for its work on this “very complicated”
       case.
¶ 39        In rebuttal, the State called Dr. Ranajit Chakraborty, who testified that the results of the
       Illinois DNA database study did not cast doubt on the random match probability that another
       person shares defendant’s particular nine-loci profile.

¶ 40                               IV. Statements of John Simonek
¶ 41       Before trial, the court granted defendant’s motion to admit a statement by John Simonek,
       given to Palatine detectives August 9, 1999, that he and Todd Wakefield committed the
       murders. According to Simonek’s videotaped statement, which was played for the jury, he
       and Wakefield went to Brown’s Chicken on the evening of January 8, 1993. Wakefield drove
       a brown station wagon, which he parked on the east side of the restaurant, and Simonek and
       Wakefield entered through the east door. Wakefield ordered food. Five to ten minutes later,
       he pulled out a revolver and told the employees to move into the freezer. According to
       Simonek, Wakefield “moved everybody except for two people into the freezer,” and
       Simonek escorted the two people into the “other freezer.”
¶ 42       As he moved back toward Wakefield, Simonek heard gunshots and “started freaking
       out.” Wakefield shot the people in the freezer and then ordered Simonek to shoot the people
       in the cooler. Simonek argued with him and told Wakefield he did not “want any part of
       this,” but Wakefield “proceeded to make [Simonek] do it anyway.” Simonek “recall[ed]
       shooting somebody outside the freezer,” but did not “remember how they got out there
       though.” When Wakefield directed Simonek to shoot the person inside the cooler, Simonek
       resisted, but then shot into plastic strips over the entrance of the cooler. Wakefield and
       Simonek moved the body that was outside the cooler into the cooler and “laid it on its right
       side facing east.” Simonek then saw Wakefield stab two or three people in the freezer. Before
       leaving, Simonek saw that the freezer door was left partially open. He waited in the car for
       Wakefield, who drove him home. Simonek said he was “very sorry it happened,” he “just
       want[ed] this to be over,” and he “hope[d] [Wakefield] gets locked up.”
¶ 43       Before giving the videotaped statement, Simonek was arrested on August 5, 1999.
       Sergeant King testified that Jim Bell, coordinator of a task force to investigate the Brown’s
       Chicken murders, had Simonek arrested, without King’s knowledge, when King was on
       vacation. Police officer Steve Bratcher, who was one of the officers present for the statement,
       denied supplying Simonek with details about the crime scene. After giving his statement on
       August 9, 1999, Simonek was released and never prosecuted.
¶ 44       Assistant State’s Attorney John Dillon testified that in July 1998, he had questioned
       Simonek at the request of Jim Bell. Simonek initially described what he was telling Dillon

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       as a “vision statement,” meaning that the information Simonek gave was based on a vision
       he had. Dillon further testified that Simonek gave five statements, none of which was the
       same, which Simonek claimed were based on his firsthand knowledge.
¶ 45       Apart from Simonek’s statement, the court denied defendant’s motion to admit two other
       statements made to police, from Todd Wakefield and his former girlfriend, Casey Sander.
       In his statement, Wakefield told police that he was at Brown’s Chicken on the night of the
       murders, that he ate the last meal sold that night, but that he was not involved in the murders.
       Sander told police that she saw Wakefield shoot people at the Brown’s Chicken, but she
       denied any involvement in the murders. The trial court found that these hearsay statements,
       discussed in more detail in the analysis below, could not be admitted as statements against
       penal interest.
¶ 46       The jury found defendant guilty of seven counts of first degree murder. The trial court
       denied defendant’s motion for a new trial. The jury found defendant eligible for the death
       penalty but did not reach a unanimous verdict on imposing a death sentence, and the court
       sentenced defendant to natural life imprisonment. Defendant now appeals.

¶ 47                                        ANALYSIS
¶ 48                                  I. Latent Print Evidence
¶ 49        Defendant first argues that the trial court erred when it denied his motion in limine to
       exclude John Onstwedder’s expert testimony that defendant’s palm print matched the partial
       latent print from the napkin found at Brown’s Chicken. Defendant contends that the method
       used to match a known print to a latent print, known as friction ridge analysis or, more
       specifically “ACE-V,” is not generally accepted in the relevant scientific community and thus
       the expert testimony should have been excluded under Frye v. United States, 293 F. 1013,
       1014 (D.C. Cir. 1923). Alternatively, defendant argues that the court should have conducted
       a Frye hearing to determine whether friction ridge analysis is a generally accepted technique
       within the relevant community. Our review is de novo. In re Commitment of Simons, 213 Ill.
       2d 523, 530-31 (2004); People v. McKown (McKown I), 226 Ill. 2d 245, 254 (2007).
¶ 50        The admission of expert testimony in Illinois is governed by the Frye “general acceptance
       test.” Under Frye, “scientific evidence is admissible at trial only if the methodology or
       scientific principle upon which the opinion is based is ‘sufficiently established to have gained
       general acceptance in the particular field in which it belongs.’ ” Simons, 213 Ill. 2d at 529-30
       (quoting Frye, 293 F. at 1014). “[T]he Frye test is necessary only if the scientific principle,
       technique or test offered by the expert to support his or her conclusion is ‘new’ or ‘novel.’ ”
       People v. McKown (McKown II), 236 Ill. 2d 278, 282-83 (2010). “General acceptance” of
       a methodology does not mean “universal acceptance,” and “it does not require that the
       methodology *** be accepted by unanimity, consensus, or even a majority of experts.”
       Simons, 213 Ill. 2d at 530; Donaldson v. Central Illinois Public Service Co., 199 Ill. 2d 63,
       76-77 (2002), abrogated on other grounds by Simons, 213 Ill. 2d at 530. Under Frye, we
       inquire as to the general acceptance of a methodology, not the particular conclusion reached
       by an examiner or the application of the methodology in a particular case. Donaldson, 199
       Ill. 2d at 77; McKown I, 226 Ill. 2d at 255.

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¶ 51                         A. Judicial Notice of General Acceptance
¶ 52        “A court may determine the general acceptance of a scientific principle or methodology
       in either of two ways: (1) based on the results of a Frye hearing; or (2) by taking judicial
       notice of unequivocal and undisputed prior judicial decisions or technical writings on the
       subject.” McKown I, 226 Ill. 2d at 254. In this case, the trial court denied defendant’s motion
       for a Frye hearing and instead concluded that “the methodology used in palm print
       identification is commonly accepted within the scientific community.” Because the court’s
       decision to take judicial notice of general acceptance is central to this appeal, we review in
       some detail two recent opinions from our supreme court on the issue: In re Commitment of
       Simons, finding that judicial notice of general acceptance was proper, and McKown I, finding
       that a Frye hearing was required.
¶ 53        In Simons, our supreme court considered whether the trial court properly took judicial
       notice of the general acceptance of actuarial risk assessment. Simons, 213 Ill. 2d at 533. The
       supreme court, noting that the appellate court in Illinois was “sharply divided” on the
       question (id.), explained that “experts in at least 19 other states rely upon actuarial risk
       assessment in forming their opinions on sex offenders’ risk of recidivism.” Id. at 535-36.
       Among these court opinions, eight had “directly addressed the Frye question and concluded
       either that Frye is inapplicable to actuarial risk assessment or that actuarial risk assessment
       satisfies the general acceptance standard.” Id.
¶ 54        While acknowledging that “relying exclusively upon prior judicial decisions to establish
       general scientific acceptance can be a hollow ritual if the underlying issue of scientific
       acceptance has not been adequately litigated,” the court concluded that “general acceptance
       of actuarial risk assessment has been thoroughly litigated in several states.” (Internal
       quotation marks omitted.) Id. at 537. As an example, the Simons court reviewed a Florida
       appellate court opinion where the court reviewed testimony of four experts at trial (which
       showed that actuarial risk assessment was frequently used), “exhaustively examined”
       conclusions reached by a number of other psychologists in the academic literature, and
       “surveyed the nationwide jurisprudence,” which uniformly found actuarial risk assessment
       evidence admissible. Id. at 537-39 (citing Roeling v. State, 880 So. 2d 1234, 1238-40 (Fla.
       Dist. Ct. App. 2004)). The court specifically noted the absence of judicial opinions
       contradicting the conclusion reached by the Florida court: “As importantly, we were unable
       to identify any state outside of Illinois in which expert testimony based upon actuarial risk
       assessment was deemed inadmissible on the question of sex offender recidivism.” Id. at 539.
¶ 55        The Simons court then observed that several jurisdictions mandated actuarial risk
       assessment by statute or regulation. The court further “note[d] that the academic literature
       contains many articles confirming the general acceptance of actuarial risk assessment by
       professionals who assess sexually violent offenders for risk of recidivism.” Id. at 541.
       Ultimately, the court concluded that “[t]aking all of this together–the case law, the statutory
       law, and the academic literature,” it was “more than convinced that actuarial risk assessment
       has gained general acceptance in the psychological and psychiatric communities.” Id. at 543.
¶ 56        The court encountered a very different landscape of judicial opinions and scientific
       literature in McKown I. In McKown I, the trial court admitted the results of Horizontal Gaze


                                                -10-
       Nystagmus (HGN) testing, purportedly measuring involuntary rapid movement of the
       eyeballs. McKown I, 226 Ill. 2d at 247-48. On appeal, the defendant argued that the trial court
       erred in admitting the results of a test without first holding a Frye hearing to determine
       whether it was generally accepted that HGN testing is a reliable indicator of alcohol
       consumption. Id. at 247.
¶ 57       Our supreme court first determined that the methodology of HGN testing is novel for
       purposes of Frye “[g]iven the history of legal challenges to the admissibility of HGN test
       evidence, and the fact that a Frye hearing has never been held in Illinois on this matter.” Id.
       at 258. The court relied on a decision of the California Supreme Court, which held that
       “ ‘HGN testing has been repeatedly challenged in court, with varying degrees of success, in
       this and other states, and accordingly its courtroom use cannot fairly be characterized as
       “routine” or settled in law.’ ” Id. at 257 (quoting People v. Leahy, 882 P.2d 321, 332 (Cal.
       1994)). The McKown I court noted that since the California decision in 1994, “HGN testing
       has been repeatedly challenged in courts around the nation, and the issue remains unsettled.”
       Id.
¶ 58       Turning to the issue of general acceptance, the court first reviewed the divergent
       decisions of the Illinois Appellate Court. While two districts of the Illinois Appellate Court
       had taken judicial notice of general acceptance of HGN testing as an indicator of
       intoxication, in another decision, People v. Kirk, 289 Ill. App. 3d 326 (1997), the appellate
       court declined to take judicial notice of the general acceptance of HGN testing. In Kirk, the
       appellate court found that in the seminal case establishing general acceptance relied on by
       most courts, the trial court had not conducted a Frye hearing, and the reviewing court relied
       on the testimony of the State’s expert to establish general acceptance, as no defense witness
       had been called. Kirk, 289 Ill. App. 3d at 333-34; McKown I, 226 Ill. 2d at 263-65. Beyond
       the Kirk decision, the McKown I court reviewed several appellate court decisions from
       foreign jurisdictions and found that they were “as varied as the states that have made them”
       regarding the general acceptance of HGN testing. McKown I, 226 Ill. 2d at 272. The court
       concluded that these decisions did “not present the kind of unequivocal or undisputed
       viewpoint on the issue upon which a court can take judicial notice.” Id.
¶ 59       Turning to the State’s argument that the court could take judicial notice of the general
       acceptance of HGN testing “based on the technical writings on the subject,” the court found
       that “HGN testing appears to have as many critics as it does champions.” Id. at 275. Without
       an “unequivocal or undisputed viewpoint” from the scientific literature, the court decided
       that it could not “take judicial notice of the general acceptance of the HGN test as a reliable
       indicator of alcohol impairment based on these technical writings.” Id. In contrast to its
       resolution in Simons, the McKown I court concluded that general acceptance could not be
       resolved on judicial notice alone:
           “In light of the disparate resolutions of the issue in foreign jurisdictions, the varying
           opinions expressed in articles on the subject, the fact that a Frye hearing has never been
           held on the matter in Illinois, and the fact that, as far as we are aware, the last Frye
           hearing held on this controversial methodology was held in Washington in 2000, we hold
           that a Frye hearing must be held to determine if the HGN test has been generally
           accepted as a reliable indicator of alcohol impairment.” Id. at 275.

                                                -11-
       With this framework in mind, we turn to the relevant methodology in this case.

¶ 60                     B. Latent Print Identification: The ACE-V Method
¶ 61       Print examiners compare impressions left by “friction ridge skin” found on the inner
       surfaces of the hand, the fingertips, between and along the fingers, the palms, and on the
       soles of the feet. While defendant does not dispute that human friction ridge skin is unique
       and permanent, defendant challenges the method used to match a latent print (i.e., a
       fingerprint impression that is not visible to the naked eye without chemical enhancement)
       with the print of an identified source. That method is known as “ACE-V,” which signifies
       analysis, comparison, evaluation, and verification. While the steps performed under ACE-V
       are essentially the same steps performed by fingerprint experts over the last hundred years,
       ACE-V has been identified in forensic literature as a means of comparative analysis of
       evidence since 1959. National Research Council of the National Academy of Sciences,
       Strengthening Forensic Science in the United States: A Path Forward 37 (2009) (NRC
       Report). The ACE-V method has been generally described as follows:
           “The process begins with the analysis of the unknown friction ridge print (now often a
           digital image of a latent print). Many factors affect the quality and quantity of detail in
           the latent print and also introduce variability in the resulting impression. ***
                                                 ***
               *** If the examiner deems that there is sufficient detail in the latent print (and the
           known prints), the comparison of the latent print to the known prints begins.
               Visual comparison consists of discerning, visually ‘measuring,’ and
           comparing–within the comparable areas of the latent print and the known prints–the
           details that correspond. The amount of friction ridge detail available for this step depends
           on the clarity of the two impressions. The details observed might include the overall
           shape of the latent print, anatomical aspects, ridge flows, ridge counts, shape of the core,
           delta location and shape, lengths of the ridges, minutia location and type, thickness of the
           ridges and furrows, shapes of the ridges, pore position, crease patterns and shapes, scar
           shapes, and temporary feature shapes (e.g., a wart).
               At the completion of the comparison, the examiner performs an evaluation of the
           agreement of the friction ridge formations in the two prints and evaluates the sufficiency
           of the detail present to establish an identification (source determination). Source
           determination is made when the examiner concludes, based on his or her experience, that
           sufficient quantity and quality of friction ridge detail is in agreement between the latent
           print and the known print. Source exclusion is made when the process indicates sufficient
           disagreement between the latent print and known print. If neither an identification nor
           an exclusion can be reached, the result of the comparison is inconclusive. Verification
           occurs when another qualified examiner repeats the observations and comes to the same
           conclusion, although the second examiner may be aware of the conclusion of the first.”
           NRC Report, supra, at 137-38.



                                                -12-
¶ 62                        C. Latent Print Analysis as “New” or “Novel”
¶ 63        As a threshold matter, we must consider whether a Frye inquiry is required at all, for
       application of the Frye tandard is limited to scientific methodology that is considered “new”
       or “novel.” McKown, 226 Ill. 2d at 257; Donaldson, 199 Ill. 2d at 78. While recognizing that
       “a ‘new’ or ‘novel’ scientific technique is not always easy to identify, especially in light of
       constant scientific advances in our modern era,” our supreme court has instructed that
       generally a “scientific technique is ‘new’ or ‘novel’ if it is ‘original or striking’ or does ‘not
       resembl[e] something formerly known or used.’ ” Donaldson, 199 Ill. 2d at 78 (quoting
       Webster’s Third New International Dictionary 1546 (1993)).
¶ 64        The State initially contends that we can end our inquiry here because the long history of
       latent print analysis precludes a conclusion that the “methodology used in [the] comparison
       of the latent and known prints” is new or novel. People v. Mitchell, 2011 IL App (1st)
       083143, ¶ 31. In Mitchell, this court reasoned that “[u]ntil our supreme court decides
       otherwise, as it did with regard to the HGN evidence in People v. McKown, 226 Ill. 2d 245,
       257 (2007), there is no authority in this state for the defendant’s claim that the circuit court
       erred in rejecting the defendant’s motion for a Frye hearing on the admissibility of
       fingerprint evidence. Nor are we persuaded to provide such authority in this case.” Id.
¶ 65        While it would be difficult to describe fingerprint evidence as “original or striking” or
       not “formerly known or used,” Donaldson acknowledges that “constant scientific advances
       in our modern era” may affect our inquiry as to the novelty of a particular methodology.
       Donaldson, 199 Ill. 2d at 79. Drawing support from McKown I, defendant argues that latent
       print identification should be deemed “novel” because although latent print analysis has long
       been used by print examiners, the methodology, like HGN testing, has been subject to recent
       court challenges and has not been subject to a Frye hearing in Illinois. See McKown I, 226
       Ill. 2d at 258 (“Given the history of legal challenges to the admissibility of HGN test
       evidence, and the fact that a Frye hearing has never been held in Illinois on this matter, we
       conclude that the methodology of HGN testing is novel for purposes of Frye.”).
¶ 66        According to defendant, “[n]ovelty for Frye purposes is not determined by the number
       of years a technique has been used, but by whether the methodology has been subject to
       recent challenge.” We find it unclear whether the court in McKown I found that HGN testing
       was novel (1) merely because there was a “history of legal challenges,” or (2) because the
       courts addressing those challenges had reached different conclusions as to the general
       acceptance of HGN testing. See id. at 257. As explained below, courts have uniformly
       rejected challenges to the admissibility of print evidence under Frye or Daubert. In any
       event, even if we agree with defendant’s view of the novelty threshold and find that the
       ACE-V methodology is “novel” merely because recent challenges have been brought, it does
       not follow that the trial court was required to hold a Frye hearing. We must consider whether
       it was proper for the trial court to take judicial notice of prior judicial decisions that have
       thoroughly explored the issue or technical writings on the subject. McKown I, 226 Ill. 2d at
       254.




                                                 -13-
¶ 67             D. Judicial Notice of General Acceptance of the ACE-V Method
¶ 68       As noted above, and as defendant acknowledges, wholesale objections to the ACE-V
       methodology have been uniformly rejected by state appellate courts (under Frye, Daubert,
       or some hybrid standard of admissibility) and by federal appellate courts (under Daubert).1
       See, e.g., State v. Dixon, 822 N.W.2d 664, 674-75 (Minn. Ct. App. 2012) (affirming lower
       court’s conclusion that ACE-V methodology was generally accepted within the relevant
       scientific community, after conducting Frye hearing involving three expert witnesses from
       the State and two expert witnesses for the defendant); Commonwealth v. Patterson, 840
       N.E.2d 12 (Mass. 2005) (affirming lower court’s conclusion, after conducting five-day
       evidentiary hearing to consider defendant’s challenge to the admissibility of print evidence,
       that latent print identification theory and the ACE-V process of identification were generally
       accepted in the fingerprint examiner community); Commonwealth v. Gambora, 933 N.E.2d
       50, 55-61 (Mass. 2010) (reaffirming its earlier decision in Patterson); Markham v. State, 984
       A.2d 262 (Md. Ct. Spec. App. 2009) (taking judicial notice of general acceptance of latent
       fingerprint analysis in case involving a palm print); Barber v. State, 952 So. 2d 393, 422
       (Ala. Crim. App. 2005) (taking judicial notice of general acceptance of latent print analysis
       in case involving a palm print); State v. Escobido-Ortiz, 126 P.3d 402, 413 (Haw. Ct. App.
       2005) (“We take judicial notice, based on the overwhelming case law from other
       jurisdictions, that the theory underlying latent fingerprint identification is valid and that the
       procedures used in identifying latent fingerprints, if performed properly, have been widely
       accepted as reliable.”); United States v. Herrera, 704 F.3d 480, 484 (7th Cir. 2013) (rejecting
       the defendant’s “frontal assault on the use of fingerprint evidence in litigation” under
       Daubert); United States v. Baines, 573 F.3d 979, 989-92 (10th Cir. 2009) (finding, based on
       record developed at a Daubert hearing, “overwhelming acceptance” among “experts in the
       field,” but noting “little presence of disinterested experts such as academics”); United States
       v. Pena, 586 F.3d 105, 109-11 (1st Cir. 2009) (taking judicial notice of Baines, Mitchell, and
       other federal decisions as to reliability of ACE-V method under Daubert); United States v.
       Vargas, 471 F.3d 255, 265-66 (1st Cir. 2006); United States v. Abreu, 406 F.3d 1304, 1307
       (11th Cir. 2005); United States v. Mitchell, 365 F.3d 215, 244-46 (3d Cir. 2004) (reviewing
       the “voluminous record” developed at a Daubert hearing where witnesses for the government
       and defendant testified, finding latent print evidence admissible under Daubert, and finding
       that “finger print identification is generally accepted within the fingerprint identification
       community”); United States v. Crisp, 324 F.3d 261, 269 (4th Cir. 2003) (finding that
       defendant had “provided us no reason today to believe that this general acceptance of the
       principles underlying fingerprint identification has, for decades, been misplaced”); United
       States v. George, 363 F.3d 666, 672-73 (7th Cir. 2004); United States v. Sherwood, 98 F.3d
       402, 408 (9th Cir. 1996); see also United States v. Llera Plaza, 188 F. Supp. 2d 549, 563-64


               1
                While Daubert looks to the reliability of an expert’s methodology, as well as the expert’s
       conclusion, courts applying Daubert also consider general acceptance within the relevant scientific
       or expert community, among other factors. See Daubert v. Merrell Dow Pharmaceuticals, Inc., 509
       U.S. 579, 593-94 (1993); United States v. Baines, 573 F.3d 979, 985-86 (10th Cir. 2009). See
       generally Michael H. Graham, Graham’s Handbook of Illinois Evidence § 702.10 (10th ed. 2010).

                                                  -14-
       (E.D. Pa. 2002) (finding that latent print analysis satisfied Daubert test, after hearing from
       two government witnesses and three defense witnesses, and finding that “fingerprint
       community’s ‘general acceptance’ of ACE-V should not be discounted because fingerprint
       specialists *** have ‘technical, or other specialized knowledge’ [citation], rather than
       ‘scientific knowledge’ [citation]”).
¶ 69        Indeed, defendant has not cited a published opinion of any court2 suggesting that ACE-V
       methodology is not generally accepted within the relevant scientific community or holding
       that finger or palm print evidence is inadmissible. Instead, while acknowledging the
       pervasive use of fingerprint identification–and the overwhelming conclusion by the courts
       that such evidence is admissible under Daubert or Frye–defendant argues that recent
       criticisms of the ACE-V method in the scientific literature preclude this court from taking
       judicial notice of its general acceptance. Focusing primarily on a 2009 report from the
       National Research Council of the National Academy of Sciences, defendant identifies several
       specific criticisms of the ACE-V method, which he contends establish a lack of general
       acceptance within the relevant scientific community. NRC Report, supra. Defendant further
       argues that because earlier court decisions merely reflect “[u]ncritical admission of latent
       print evidence,” or otherwise do not address the report’s critiques, it was improper for the
       trial court to take judicial notice of court decisions finding a general acceptance of latent
       print identification. For several reasons, we conclude that these criticisms–which have
       already been considered in detail by courts since the report’s release–do not undermine the


               2
                 Defendant cites an unpublished Maryland trial court order, Maryland v. Rose, No. K06-
       0545 (Cir. Ct. Baltimore Co. Oct. 19, 2007), in support of his claim that the case law is not
       “unequivocal,” making judicial notice of ACE-V’s general acceptance improper. We disagree that
       the unpublished trial court order precludes this court from taking judicial notice of general
       acceptance based on the considerable authority cited above. First, we are unsure of the order’s
       bearing on the general acceptance inquiry. While the court stated that it was undertaking a traditional
       Frye inquiry, the court noted “while Defendant has argued a number of reasons why general
       acceptance should be discounted, Defendant has not challenged the notion that latent fingerprint
       identifications have been generally accepted. Rather, Defendant’s contention is that the reliability
       of such identifications have not been proved since they have not been subjected to scientific testing.”
       Second, the court did not define the relevant scientific community or otherwise discuss the views
       of forensic scientists supporting admissibility. It may be that those views were not adequately
       presented; the court characterized the government’s presentation as “principally [relying] on the
       history of acceptance of fingerprint identification evidence.” We note, however, that the court did
       not mention an amicus brief submitted by scientists in support of the admissibility of fingerprint
       testing that was apparently before the court. See United States v. Rose, 672 F. Supp. 2d 723, 725 (D.
       Md. 2009) (referencing amicus brief in the state trial court record). Third, after the prosecution
       withdrew the case in state court, the federal district court considering the issue, on the same record,
       rejected the admissibility challenge. See id. Finally, in a decision after Rose, the Maryland appellate
       court, while noting that the defendant had provided a “sole citation is to a circuit court decision
       excluding fingerprint evidence,” rejected the defendant’s argument that latent print analysis was not
       a generally accepted methodology within the scientific community. Markham v. State, 984 A.2d 262
       (Md. Ct. Spec. App. 2009).

                                                   -15-
       uniform judicial conclusion that latent print identification is generally accepted in the
       scientific community.
¶ 70        First, under the Frye framework in Illinois, various critiques that defendant highlights
       from the NRC Report go to the weight of the evidence, not to its admissibility under Frye.
       Our supreme court has repeatedly reaffirmed that under Frye, our role is to evaluate the
       underlying methodology used to generate the conclusion, not the conclusion reached by the
       examiner: “If the underlying method used to generate an expert’s opinion [is] reasonably
       relied upon by the experts in the field, the fact finder may consider the opinion–despite the
       novelty of the conclusion rendered by the expert.” Donaldson, 199 Ill. 2d at 77; McKown I,
       226 Ill. 2d at 255. Similarly, “[q]uestions concerning underlying data, and an expert’s
       application of generally accepted techniques, go to the weight of the evidence, rather than
       its admissibility.” (Emphasis in original.) Donaldson, 199 Ill. 2d at 81; In re Detention of
       Erbe, 344 Ill. App. 3d 350, 372 (2003).
¶ 71        We acknowledge that the NRC Report and the scientific literature sound direct criticisms
       to specific claims from latent print examiners. For example, the report contends that
       examiners have no justification for “claims of absolute, certain confidence” when declaring
       a match, and that examiners sometimes testify to a “zero error rate,” even though there are
       known cases of false identification based on errors in human judgment or in execution of the
       ACE-V method. NRC Report, supra, at 143-44; see also Gambora, 933 N.E.2d at 60 (noting
       that these are “issues about which the NAS Report[3] is most critical”). Under Illinois law,
       the forum for these criticisms–directed at the examiner’s stated conclusion regarding what
       his testing revealed–is trial, not a Frye admissibility challenge. Before the jury, the
       examining attorney “may expose shaky but admissible evidence by vigorous cross-
       examination or the presentation of contrary evidence.” Donaldson, 199 Ill. 2d at 88.
       Donaldson, 199 Ill. 2d at 81; see also Detention of Erbe, 344 Ill. App. 3d at 372 (noting that
       “concern with ‘frequent scoring inconsistencies by different evaluators’ [in actuarial risk
       assessment to determine probability of reoffending] goes to the expert’s application of the
       actuarial instruments, not to their general acceptance”).
¶ 72        Our supreme court has also recently emphasized that expert testimony may be excluded
       or limited under traditional evidentiary rules, even where Frye is not a bar to admissibility.
       In McKown II, in response to the defendant’s argument “that despite its relevance, a failed
       HGN test result ‘proves too much’ because of its ‘aura’ of scientific certainty,” the court
       noted that “finding that HGN evidence meets the Frye standard does not preclude the
       possibility that, in a given case, the trial court might rule such evidence inadmissible on
       grounds of undue prejudice.” McKown II,236 Ill. 2d at 305. Similarly, where an expert
       testifies as to a generally accepted method, the proponent of that testimony has the burden
       of laying a proper foundation. Id. at 311. While we express no opinion about the viability of
       specific efforts to exclude claims of zero error or testimony regarding the certainty of a match


              3
               The “NRC Report” and “the NAS report” both refer to National Research Council of the
       National Academy of Sciences, Strengthening Forensic Science in the United States: A Path
       Forward (2009).

                                                -16-
       in future cases (which depend on the specific testimony and the support offered for those
       claims), we reiterate that a Frye admissibility challenge is not the proper vehicle to question
       the conclusions an examiner reaches in a particular case. Further, in this case, latent print
       examiner Onstwedder was thoroughly cross-examined by defense counsel about his ability
       to draw a conclusion as to the partial palm print in this case, as well as the reliability of latent
       print identification in light of past mistaken fingerprint identifications and the subjective
       nature of comparison.
¶ 73       Second, while there is no doubt that the report raises important criticisms of the ACE-V
       method and otherwise highlighted areas for further research, the report is not a proxy for the
       admissibility of latent print evidence under either Frye or Daubert:
               “The committee decided early in its work that it would not be feasible to develop a
           detailed evaluation of each discipline in terms of its scientific underpinning, level of
           development, and ability to provide evidence to address the major types of questions
           raised in criminal prosecutions and civil litigation.” NRC Report, supra, at 7.
       Nor do the specific critiques of ACE-V, in themselves, necessarily reflect a view that the
       methodology is not “sufficiently established to have gained general acceptance in the
       particular field in which it belongs.” (Internal quotation marks omitted.) Simons, 213 Ill. 2d
       at 529-30. To be sure, the report is critical of the ACE-V methodology and its reliance on
       subjective assessment of an examiner:
               “ACE-V provides a broadly stated framework for conducting friction ridge analyses.
           However, this framework is not specific enough to qualify as a validated method for this
           type of analysis. ACE-V does not guard against bias; it is too broad to ensure
           repeatability and transparency; and does not guarantee that two analysts following it will
           obtain the same results. For these reasons, merely following the steps of ACE-V does not
           imply that one is proceeding in a scientific manner or producing reliable results.” NRC
           Report, supra, at 142.
       Yet in its summary assessment of print identification, the report explains that “[b]ecause of
       the amount of detail available in friction ridges, it seems plausible that a careful comparison
       of two impressions can accurately discern whether or not they had a common source.” Id.
       And the report acknowledges that “[h]istorically, friction ridge analysis has served as a
       valuable tool, both to identify the guilty and to exclude the innocent.” Id. As the Supreme
       Court of Massachusetts explained, the report “does not conclude that fingerprint evidence
       is so unreliable that courts should no longer admit it.” Gambora, 933 N.E.2d at 58.
¶ 74       As in Gambora, several other courts have found that the nuanced report, while critical
       of various aspects of the ACE-V methodology, does not in itself establish a lack of general
       acceptance among the relevant scientific community or otherwise undermine the uniform
       body of precedent rejecting admissibility challenges to print evidence. See State v. Dixon,
       822 N.W.2d 664, 674-75 (Minn. Ct. App. 2012) (agreeing with the lower court’s
       conclusion–after conducting a Frye hearing, hearing from experts for the State and the
       defendant, and assessing the NRC Report–that the relevant scientific field widely accepts the
       ACE-V methodology and that “[t]he fact that friction ridge analysis can and should be
       improved and strengthened does not mean that it is inadmissible under Frye”); Johnston v.


                                                  -17-
       State, 27 So. 3d 11, 21 (Fla. 2010) (agreeing with a lower court that the NRC report “is
       merely a new or updated discussion of issues regarding developments in forensic testing” and
       concluding that it “lacks the specificity that would justify a conclusion that it provides a basis
       to find the forensic evidence admitted at trial to be infirm or faulty”); United States v. Rose,
       672 F. Supp. 2d 723, 725 (D. Md. 2009) (“[T]he Report itself did not conclude that
       fingerprint evidence was unreliable such as to render it inadmissible under Fed. R. Ev.
       702.”); United States v. Stone, 848 F. Supp. 2d 714, 717-18 (E.D. Mich. 2012) (rejecting
       defendants’ request to exclude finger and palm print evidence under Daubert, despite
       defendants’ challenge to the “the continuing viability of latent fingerprint evidence in the
       face of the NAS Committee’s call for more research”); see also Pettus v. United States, 37
       A.3d 213, 226-29 (D.C. 2012); State v. McGuire, 16 A.3d 411, 436-37 (N.J. Super. Ct. App.
       Div. 2011) (both discussing relevance of NRC Report to admission of non-fingerprint
       scientific evidence). We find the conclusion of the Massachusetts Supreme Court captures
       the prevailing view of the NRC report:
                 “As our discussion of the NAS Report reflects, there is tension in the report between
            its assessments that, on the one hand, ‘it seems plausible that a careful comparison of two
            impressions can accurately discern whether or not they had a common source,’ NAS
            Report at 142; but that, on the other, ‘merely following the steps of ACE-V does not
            imply that one is proceeding in a scientific manner or producing reliable results.’ Id. We
            are not able to resolve that tension at this time, as the dialogue in the relevant community
            appears to be a continuing one, see NAS Report at 144-145 & n. 37, but nothing in this
            opinion should be read to suggest that the existence of the NAS Report alone will require
            the conduct of Daubert-Lanigan hearings as to the general reliability of expert opinions
            concerning fingerprint identifications.”4 Gambora, 933 N.E.2d at 61 n.22.
¶ 75        Third, while the report represents the views of a segment of the scientific community, it
       does not neatly reflect the views of the entirety of the relevant scientific community. This
       court has counseled against too narrowly defining the relevant scientific community to those
       who share the views of the testifying expert. See Bernardoni v. Industrial Comm’n, 362 Ill.
       App. 3d 582, 595 (2005) (“The community of experts must include a sufficiently broad
       sample of experts so that the possibility of disagreement exists.”). But we would make a
       similar mistake if we assume that the criticisms in the report are representative of the views
       of experts throughout the community.
¶ 76        Although the parties offer little discussion of the makeup of the relevant scientific
       community, defendant concedes that it includes “forensic practitioners,” as well as those with
       a scientific background and training “sufficient to allow them to comprehend and understand
       [the ACE-V method] and form a judgment about it.” That view is generally consistent with
       decisions in Illinois considering other methodologies and scientific principles. See People
       v. Eyler, 133 Ill. 2d 173, 215 (1989) (agreeing with lower court that “electrophoresis is


               4
                Massachusetts follows a hybrid Frye-Daubert test that first looks to general acceptance, but
       allows the proponent of evidence to use the remaining Daubert factors as “an alternate method of
       establishing reliability.” Patterson, 840 N.E.2d at 23.

                                                   -18-
       generally accepted by forensic scientists as a reliable method of detecting genetic markers
       in blood and is therefore admissible”); People v. Thomas, 137 Ill. 2d 500, 518 (1990) (“The
       Partee decision allowed the trial court in this case to effectively take judicial notice of the
       fact that the relevant scientific community, that is, the community of forensic scientists, has
       determined that the process itself is reliable.”); People v. Watson, 257 Ill. App. 3d 915, 926
       (1994) (rejecting the State’s argument that the relevant field includes only forensic scientists
       and concluding that the general acceptance of the proposed DNA profiling evidence should
       be evaluated by scientists in the fields of molecular biology, population genetics, and forensic
       science); cf. McKown II, 236 Ill. 2d at 300 (where the question was whether HGN testing
       could reliably determine alcohol impairment, relevant scientific fields included medicine,
       ophthalmology, optometry, and neurophysiology, and thus police officer’s testimony that
       “HGN testing is generally accepted within the law enforcement community as a field-
       sobriety test” was irrelevant, for “law enforcement” is not a scientific field); In re
       Commitment of Sandry, 367 Ill. App. 3d 949, 967 (2006) (framing the question as whether
       the penile plethysmograph testing is generally accepted “within the field consisting of those
       experts who specialize in treating sex offenders”). That view is also consistent with other
       decisions in fingerprint cases. See, e.g., Dixon, 822 N.W.2d at 674 (noting that “relevant
       scientific community” includes experts who are “actually involved in latent-print analysis
       and those who actually research the reliability of latent-print analysis”); Baines, 573 F.3d at
       991 (finding “overwhelming acceptance” among the relevant community for general
       acceptance, which the court noted includes “experts in the field,” even though there is “little
       presence of disinterested experts such as academics”); Llera Plaza, 188 F. Supp. 2d at 563-
       64 (describing relevant community as fingerprint specialists with technical or specialized
       knowledge); see also Mitchell, 365 F.3d at 241 (concluding friction ridge analysis is
       generally accepted in the “forensic identification community”).
¶ 77       While defendant accepts that forensic practitioners are part of the relevant scientific
       community, he argues that practitioners’ ”confidence in the practice of latent print
       identification, and its longstanding use, is insufficient to demonstrate scientific validity and
       generally acceptance in the broader community.” Contrary to defendant’s characterization,
       however, including forensic practitioners within the relevant community does not mean that
       general acceptance merely depends on testimony regarding “[r]epeated use by self-interested
       practitioners” who lack the scientific knowledge and expertise to meaningfully assess the
       ACE-V method. For example, the federal court in Rose was presented with an amicus brief
       from 16 academicians and practicing scientists representing a variety of scholarly as well as
       technical and scientific disciplines concerned with the reliability of fingerprint
       individualization evidence.5 See Rose, 672 F. Supp. 2d at 724. These scientists, arguing in


              5
                The brief is available at http://www.swgfast.org/Resources/101126_US-v-Rose-Motions-in-
       Limine-w-amicus.pdf (last visited Apr. 22, 2013). The amici explained that they spoke “on behalf
       of a college of international practitioners and researchers involved in the field of fingerprint
       identification and Members of the Scientific Working Group on Friction Ridge Analysis, Study and
       Technology (SWGFAST).” SWGFAST is an organization that establishes standards for the forensic
       examination of prints.

                                                -19-
       support of the admissibility of fingerprint evidence, represented that they had “authored
       books and articles in leading scientific, peer-reviewed journals on forensics and fingerprint
       issues.”
¶ 78        More recently, as part of a Frye hearing, a Minnesota trial court heard testimony from
       two forensic scientists, Glenn Langenburg and Dr. Cedric Neumann, who opined that the
       ACE-V method is generally accepted within the relevant scientific community.6 Dixon, 822
       N.W.2d at 667-68. The court also reviewed the testimony of Dr. Sandy Zabell, an expert for
       the defense with a master’s degree in biochemistry and a Ph.D. in mathematics. While of the
       opinion that “ACE-V is not accepted as an objective, scientifically validated protocol,” Dr.
       Zabell acknowledged that “it is viewed by many in the scientific community as a framework
       for subjective assessment with a limited amount of detail.” Id. at 670. He continued that “it
       is not his opinion that fingerprint evidence is unreliable or should not be allowed in court;
       rather, it is his opinion that it should be allowed with various safeguards about what an
       examiner can say.” Id. It was this testimony and the NRC Report–representing not just self-
       interested practitioners with limited knowledge, but experts “actually involved in latent-print
       analysis and those who actually research the reliability of latent-print analysis”–on which the
       court based its conclusion that experts in the relevant scientific community widely accept the
       ACE-V methodology. Id. at 674.
¶ 79        Neither party here has offered a holistic description of the current views of the scientific
       community, and we do not mean to suggest that we have provided an exhaustive review here.
       But we reject defendant’s claim that the various courts considering latent print analysis have
       failed to “thoroughly explore” the views of the relevant community, including the criticisms
       listed in the 2009 NRC Report. Rather than simply concluding that fingerprint evidence is
       admissible based on repeated use by practitioners, the courts have heard forensic scientists
       and experts respond to critiques of the ACE-V method from the NRC Report and
       elsewhere–sometimes after extensive Frye or Daubert hearings. See, e.g., Dixon, 822
       N.W.2d at 667-68; compare McKown I, 226 Ill. 2d at 263-65 (reviewing criticisms of
       seminal case establishing general acceptance of HGN testing where no Frye hearing was held
       and court relied upon testimony of prosecution witness alone to establish general

               6
                 Langenburg has a B.S. in forensic science from Michigan State University, a master’s
       degree in analytical chemistry from the University of Minnesota, and was completing a Ph.D. in
       forensic science, dealing specifically with the ACE-V methodology, when he testified at the Frye
       hearing in Dixon. Dixon, 822 N.W.2d at 668. Langenburg “described his own research and the
       research of others testing the accuracy, reliability, and validity of latent-print analysis using the
       ACE-V method” and “opined that latent print examination is generally accepted within the relevant
       scientific community as consistent and highly accurate if applied by trained, competent experts.” Id.
       Dr. Cedric Neumann, an assistant professor in forensic science and statistics at Pennsylvania State
       University with a Ph.D. in forensic science from the University of Lausanne, is a trained latent print
       examiner who conducts research with other trained examiners and serves on the editorial board of
       the Journal of Forensic Identification. In Dixon, the trial court found that Dr. Neumann “ ‘credibly
       testified that experts in the forensic science community widely share the view that the results of
       latent fingerprint examination using ACE-V methodology and conducted using appropriate standards
       and controls are scientifically reliable.’ ” Id.

                                                   -20-
       acceptance). The overwhelming conclusion has been that these criticisms do not counsel
       against admissibility of latent print evidence.
¶ 80        Moreover, the “general acceptance” standard tolerates criticism of a methodology from
       experts within the scientific community: “[g]eneral acceptance of methodologies does not
       mean ‘universal’ acceptance of methodologies.” Donaldson, 199 Ill. 2d at 77. Although a
       technique “is not ‘generally accepted’ if it is experimental or of dubious validity,” our
       supreme court has stated–and reaffirmed–that “general acceptance does not require that the
       methodology be accepted by unanimity, consensus, or even a majority of experts.” Id. at 78;
       Simons, 213 Ill. 2d at 530. Without addressing this binding precedent, defendant, relying on
       McKown I, repeatedly suggests that judicial notice is inappropriate in the absence of
       “unequivocal and undisputed” technical writings. In McKown I, however, the court found the
       views among court decisions to be as varied as their states of origin; scientific publications,
       revealing no consensus within the relevant community, were likewise a poor source to glean
       general acceptance. Here, the landscape is very different. Defendant has not cited a single
       published opinion from any state or federal court finding latent print evidence inadmissible
       under Frye or Daubert. This is the same situation our supreme court encountered in Simons,
       where judicial notice was appropriate, not McKown I. Compare Simons, 213 Ill. 2d at 539
       (“[W]e were unable to identify any state outside of Illinois in which expert testimony based
       upon actuarial risk assessment was deemed inadmissible on the question of sex offender
       recidivism.”), with McKown I, 226 Ill. 2d at 272 (“These disparate [judicial] opinions
       provide insight as to how HGN testing has been addressed, but do not present the kind of
       unequivocal or undisputed viewpoint on the issue upon which a court can take judicial
       notice.”).
¶ 81        Where “general acceptance” does not require unanimity, consensus, or even a majority
       of experts, and those courts considering latent print analysis have considered the range of
       views within the relevant scientific community, we conclude that the trial court did not err
       in taking judicial notice of the general acceptance of the ACE-V methodology. Accord In re
       Commitment of Sandry, 367 Ill. App. 3d 949, 975 (2006) (taking judicial notice general
       acceptance of penile plethysmograph testing under Frye, where the testing was widely used,
       several courts had found that the methodology met the general acceptance test, and scientific
       literature supported its general acceptance, notwithstanding the criticism of penile
       plethysmograph testing within the literature and the rejection of it by several courts applying
       Daubert).
¶ 82        We finally note that defendant, at times, attempts to narrow his outright attack on the
       acceptance of the ACE-V method, arguing that he is simply challenging the acceptance of
       “ACE-V as applied to palm prints.” The problem is that his criticisms cannot be divorced
       from those raised (and rejected uniformly by courts) as to the ACE-V method itself, whether
       applied to fingerprints or palm prints. Defendant seems to recognize this flaw, for he takes
       the unqualified position that “friction ridge analysis is not generally accepted in the relevant
       scientific community.” And while he principally relies on the criticisms of “friction ridge
       analysis” in the NRC Report, the report does not draw any distinction between friction ridge
       analysis as applied to fingerprints, palm prints, and sole prints. See NRC Report, supra, at
       136 (“Fingerprints, palm prints, and sole prints have been used to identify people for more

                                                -21-
       than a century in the United States. Collectively, the analysis of these prints is known as
       ‘friction ridge analysis,’ which consists of experience-based comparisons of the impressions
       left by the ridge structures of volar (hands and feet) surfaces.”).
¶ 83        Defendant cites to specific criticisms of palm prints included in an affidavit submitted
       to the trial court by two print experts, Lyn and Ralph Norman Haber. The Habers argue that
       there has not been a “detailed analysis of how to describe the features of latent palmprints”
       and that “[t]here are no manuals on palm print comparisons approved or issued by any of the
       latent print community’s professional, regulatory or advisory organizations.” Yet in their
       affidavit, the Habers acknowledge that others take the view that the ACE-V method can be
       applied to palm prints, and the Habers more broadly attack the validity of the ACE-V method
       as applied to palm prints or fingerprints. Also, we see little distinction between these specific
       criticisms and those that have been lodged at the ACE-V method more generally. See, e.g.,
       NRC Report, supra, at 141 (noting that “the latent print examiner learns to judge whether
       there is sufficient detail,” but contending that “more nuanced criteria are needed, and, in fact,
       likely can be determined”); Dixon, 822 N.W.2d at 669-70 (noting that Dr. Zabell opined that
       “there is no ACE-V manual and there is no precise statement as to how certain
       determinations are made”).
¶ 84        The crux of defendant’s argument “vis à vis palm prints” is that the application of the
       methodology and the conclusion reached regarding a match may be subject to greater
       criticism because “even less is known about ACE-V as applied to palm prints,” especially
       with the latent palm print here. For example, defendant notes “several anomalies” as to “the
       partial latent print in this case.” (Emphasis added.) These criticisms are plainly not directed
       at the general acceptance of the methodology used to identify finger or palm prints, but are
       an attack on Onstwedder’s ability to apply the method and his conclusion as to a match
       between defendant’s known print and the partial latent palm print. As noted above, the forum
       to address those criticisms is cross-examination at trial, not a Frye admissibility challenge.
       Cf. People v. Harris, 314 Ill. App. 3d 409, 418 (2000) (finding that where defendant did “not
       challenge the admissibility of [Restriction Fragment Length Polymorphism DNA] testing in
       general, nor the calculation of probabilities based on complete matches,” defendant’s
       challenge to the calculation of probabilities from incomplete matches went to weight, not
       admissibility). We conclude that the trial court properly took judicial notice of the general
       acceptance of the ACE-V methodology within the relevant scientific community.

¶ 85                                     II. DNA Evidence
¶ 86       Defendant next argues that he received ineffective assistance of counsel because his
       attorneys failed to seek a Frye hearing on the admissibility of DNA evidence. The right to
       counsel guaranteed by both the United States and Illinois Constitutions includes the right to
       effective assistance of counsel. U.S. Const., amends. VI, XIV; Ill. Const. 1970, art. I, § 8. To
       prevail on a claim of ineffective assistance of counsel, defendant must satisfy the two-part
       test set forth in Strickland v. Washington: first, “defendant must show that counsel’s
       performance fell below an objective standard of reasonableness,” and second, defendant must
       show “there is a reasonable probability that, but for counsel’s unprofessional errors, the result


                                                 -22-
       of the proceeding would have been different.” People v. Manning, 241 Ill. 2d 319, 326
       (2011) (citing Strickland v. Washington, 466 U.S. 668, 688 (1984)).
¶ 87        Counsel’s performance is measured by an objective standard of competence under
       prevailing professional norms. Id. In considering whether counsel’s performance was
       deficient, “a court must indulge a strong presumption that counsel’s conduct falls within the
       wide range of reasonable professional assistance; that is, the defendant must overcome the
       presumption that, under the circumstances, the challenged action ‘might be considered sound
       trial strategy.’ ” Strickland, 466 U.S. at 689 (quoting Michel v. Louisiana, 350 U.S. 91, 101
       (1955)); People v. Evans, 186 Ill. 2d 83, 93 (1999). The decision whether to pursue an
       admissibility challenge under Frye is a matter of trial strategy. People v. Gordon, 378 Ill.
       App. 3d 626, 639 (2007); see also People v. Bew, 228 Ill. 2d 122, 127-28 (2008) (noting that
       the decision whether to file a motion to suppress is a matter of trial strategy); cf. People v.
       Perry, 224 Ill. 2d 312, 344 (2007) (noting that decisions regarding “ ‘what matters to object
       to and when to object’ ” are matters of trial strategy (quoting People v. Pecoraro, 175 Ill. 2d
       294, 327 (1997))). Our supreme court has directed that counsel’s strategic decisions made
       after an investigation of the law and the facts are “virtually unchallengeable” (People v.
       Palmer, 162 Ill. 2d 465, 476 (1994)) or “virtually unassailable” (People v. Ramsey, 239 Ill.
       2d 342, 433 (2010)). In other words, matters of trial strategy will not support a claim of
       ineffective assistance of counsel unless counsel failed to conduct any meaningful adversarial
       testing. People v. Guest, 166 Ill. 2d 381, 394 (1995); People v. Patterson, 217 Ill. 2d 407,
       441 (2005). “[T]he defendant must prove that counsel made errors so serious, and that
       counsel’s performance was so deficient, that counsel was not functioning as the ‘counsel’
       guaranteed by the sixth amendment.” People v. Richardson, 189 Ill. 2d 401, 411 (2000).
¶ 88        Under the second prong of Strickland, defendant must prove that there is a reasonable
       probability that the result of the proceeding would have been different without counsel’s
       unprofessional errors. Strickland, 466 U.S. at 694. In order to establish prejudice resulting
       from failure to move for a Frye hearing, “ ‘a defendant must show a reasonable probability
       that: (1) the motion would have been granted, and (2) the outcome of the trial would have
       been different had the evidence been [excluded].’ ” Bew, 228 Ill. 2d at 128-29 (quoting
       Patterson, 217 Ill. 2d at 438); People v. Givens, 237 Ill. 2d 311, 331 (2010). The failure to
       file a motion does not establish incompetent representation when the motion would have
       been futile. Patterson, 217 Ill. 2d at 438.
¶ 89        In this case, defendant argues that the amount of DNA used by the ISP laboratory to
       generate the DNA profile was so small that it fell below the ISP laboratory’s standards for
       reliable test results and possibly qualified as low copy number (LCN) DNA. According to
       defendant, because using these amounts of DNA to obtain a profile is not generally accepted
       within the scientific community, his attorneys were ineffective by failing to request a Frye
       hearing. The State responds that defendant cannot overcome the strong presumption that his
       attorneys made the legitimate strategic choice to refrain from seeking a Frye hearing on LCN
       DNA testing, where the pretrial discovery in this case demonstrated that the sample size
       could not be considered “low copy number” and was actually within the laboratory’s
       standards for reliable test results. The State further argues that defendant cannot show that
       there is a reasonable probability that a Frye hearing would have been granted or would have

                                                -23-
       resulted in the exclusion of the DNA evidence, where the underlying methodology has been
       generally accepted in the scientific community and is neither new nor novel.

¶ 90                               A. Background of Testing Method
¶ 91       The testing that generated the DNA profile in this case used short tandem repeat (STR)
       DNA markers, which have become popular for forensic DNA typing:
           “DNA resembles a twisted ladder with rungs of the ladder made of chemicals called
           nucleotides. DNA has four different types of nucleotides (A: adenine, T: thymine, G:
           guanine, and C: cytosine) that form interlocking pairs. D. Kaye & G. Sensabaugh,
           Reference Guide on DNA Evidence, Reference Manual on Scientific Evidence 485, 491
           (2d ed. 2000). It is the order (sequence) of these building blocks that determines each
           person’s genetic characteristics. The great majority of DNA is identical from person to
           person but forensic scientists commonly examine 13 specific regions, or loci, where
           certain nucleotide patterns are repeated again and again. These patterns are called ‘Short
           Tandem Repeats’ (STRs). The number of repeated sequences determines the length of
           an STR. This length of repeated sequences, often called an allele, may vary between
           people and is what analysts measure and use for comparison. D. Kaye & G. Sensabaugh,
           Reference Guide on DNA Evidence, Reference Manual on Scientific Evidence 485, 494
           (2d ed. 2000).” People v. Williams, 238 Ill. 2d 125, 130 n.1 (2010), aff’d, Williams v.
           Illinois, ___ U.S. ___, 132 S. Ct. 2221 (2012).
       In the simplest terms, an allele is a genetic variation at a particular locus, or location in the
       DNA. An individual inherits one allele from his or her mother and another from his or her
       father, and thus, except in rare circumstances, all individuals have two alleles in any given
       locus. When both inherited alleles from each parent are identical, a person is considered to
       be homozygous at that locus. When the inherited alleles are different, a person is
       heterozygous at that locus. See generally John M. Butler, Forensic DNA Typing: Biology,
       Technology, and Genetics of STR Markers, 17-23 (2d ed. 2005).
¶ 92       In 1998, the ISP laboratory was using the AmpFlSTR Profiler Plus PCR Amplification
       Kit (Profiler Plus kit) to test DNA. The “PCR” in the kit name designates “polymerase chain
       reaction,” a procedure that allows a small amount of DNA to be amplified into an amount
       large enough for typing. See United States v. Davis, 602 F. Supp. 2d 658, 664 (D. Md. 2009)
       (“PCR [testing] is used to amplify targeted loci of the sample of DNA by replicating the
       process by which DNA duplicates itself naturally. Thus, the lab is able to produce a
       substantial number of specific, targeted segments of DNA which can then be typed and
       compared.”). The DNA segments amplified for purposes of PCR typing are ones which
       exhibit genetic variation, which make them useful for distinguishing individuals. Williams,
       238 Ill. 2d at 131; United States v. Beasley, 102 F.3d 1440, 1445-46 (8th Cir. 1996). DNA
       kits like the Profiler Plus combine multiple PCRs into one reaction and target several distinct
       loci. The number of repeats in a specific STR sequence present at a given locus, combined
       over a designated number of loci, creates a unique DNA profile of an individual. The Profiler
       Plus kit tests nine loci, plus a marker indicating gender.



                                                 -24-
¶ 93                                   B. Testing in This Case
¶ 94        In August 1998, the ISP laboratory received a box containing food items that were
       recovered on January 11, 1993, from a trash container at the crime scene. Debra Depcyznski,
       a forensic scientist in the Biology-DNA section of the ISP laboratory, unsealed the box and
       chose five chicken bones. She designated this group “29A” and labeled the bones A through
       E. She swabbed each bone with a separate piece of filter paper and tested each swabbing for
       the presence of amylase, an enzyme indicative of saliva. Only bones C and D indicated
       amylase, and Depcyznski swabbed bones C and D with four more pieces of white filter paper
       each. She identified the swabs “29A1” (bone C) and “29A2” (bone D), and submitted the
       swabs to analyst Cecilia Doyle.
¶ 95        Doyle placed three of the 29A1 swabs and three of the 29A2 swabs in a chemical bath
       to extract any DNA. Doyle then resolubilized the extract from 29A1 in 50 microliters of
       buffer liquid and did the same for the 29A2 extract. At this stage, known as the quantitation
       stage, Doyle conducted two tests: a yield gel test and a slot blot test. As to the yield gel test,
       Doyle explained that it would detect if DNA is present and was also useful for estimating
       whether the DNA may be fragmented due to degradation. The yield gel test only detected
       degraded DNA.
¶ 96        Doyle next employed a slot blot assay called the QuantiBlot Human DNA Quantitation
       Kit, which quantifies DNA by visual comparison of sample band intensities with the band
       intensities of standards, produced from known amounts of DNA. See Davis, 602 F. Supp.
       2d at 669 (noting that the QuantiBlot method “requires the analyst to estimate the amount
       of DNA in each sample by comparison with a known reference standard”). The darker the
       bands, the more DNA is present. The DNA at this stage is called the “template DNA” or
       “[s]tarting DNA template” (Butler, supra, at 64-68), measured in picograms (pg) or
       nanograms (ng); 100 pg is 0.1 ng.
¶ 97        Doyle conducted the slot blot test using various amounts of liquid DNA samples derived
       from 29A1 and 29A2. When she loaded 1 microliter and 5 microliters for both 29A1 and
       29A2, the amount of DNA detected was less than 0.15 ng. When Doyle ran a third assay,
       loading 10 microliters, she detected a difference for the 29A2 sample. While the 29A1
       sample still recorded less than 0.15 ng of DNA, the reading for the 29A2 sample was that it
       contained less, but not much less, than 0.15 ng of DNA. Doyle noted this by writing double
       left-pointing arrows “<<” in front of “0.15” for 29A1, but a single left-pointing arrow “<”
       in front of “0.15” for 29A2. Doyle explained the difference in these designations: “In
       comparing the two against each other, as well as against the .15 nanogram standard, one was
       of greater intensity than the other and both were less intense than the .15 nanogram. It was
       an indication to me that there was a difference in intensity between the two.”
¶ 98        Doyle again consulted with Dr. Fish. Doyle explained that laboratory policy required that
       she consult a supervisor when proceeding with amplification where the amount of starting
       template DNA was not in the laboratory’s minimum quantity standards for optimal results,
       “where you would most likely always get a full profile.” Based on internal validation studies,
       the ISP laboratory recommended between 0.6 and 2 ng per microliter of input DNA for
       amplification, with an optimal range of between 1 and 2.5 ng per microliter for forensic


                                                 -25-
      work. The manufacturer of the Profiler Plus kit likewise specified input between 1 and 2.5
      ng of DNA for optimal results.
¶ 99      The next step was to set up the PCR amplification. Doyle concentrated the remaining 29
      microliters of the 29A1 solution down to 20 microliters, and she did the same for the
      remaining 29 microliters of the 29A2 solution. According to her laboratory worksheet, the
      total amount of DNA in each 20-microliter sample was “<<0.5 ng.” Doyle testified that
      “based on the quantification, it was the–the actual estimate of the DNA was a little bit less
      than the lowest standard run on the slot blot, so I was unable to determine a good estimate
      of the quantity of DNA that I had present, so I took the remaining sample and concentrated
      it down to 20 microliters, which was the maximum volume that could be taken into the
      amplification step, and I amplified 20 microliters for each of those samples.” She further
      testified that in the amplification step, where the Profiler Plus kit was used, “specific STR
      areas of the DNA are isolated–or are targeted, and many copies of them are made.”
¶ 100     Doyle then loaded the amplified products from 29A1 and 29A2 into an ABI Prism 310
      Genetic Analyzer, which was known as “the Joliet Instrument.” Doyle testified that, in the
      most basic terms, “[t]he genetic analyzer is an instrument that allows us to look at the
      amplified DNA.” Doyle then generated an “electropherogram,” a computerized “graph that
      displays a series of different-colored peaks of different heights.” Roberts v. United States,
      916 A.2d 922, 927 (D.C. 2007). The electropherogram lists an “allele call,” the number of
      repeats an allele has, and also lists the amount of fluorescence detected for that particular
      allele measured in relative fluorescent units (RFUs). “A relative fluorescent unit (RFU) is
      a measure of the amount of amplified [DNA] present in a test sample.” Commonwealth v.
      Greineder, 936 N.E.2d 372, 382 n.3 (Mass. 2010). The amount of fluorescence is also
      presented in graphic form. See State v. Bander, 208 P.3d 1242, 1246 (Wash. Ct. App. 2009)
      (“When an allele is detected at a particular locus, it is represented as a peak plotted at a point
      along the electropherogram’s X-axis that corresponds to a particular locus. The intensity at
      which alleles fluoresce is reflected in the peak heights along the Y-axis.”).
¶ 101     From the electropherogram, Doyle could see that each sample contained DNA from
      multiple contributors because there were more than two peaks at certain loci. As Doyle
      explained, she would generally expect one or two alleles at each locus: “If you–at that area
      of the DNA, you inherited a different allele from your mom than you did from your father,
      then you’d have *** two peaks, or two alleles. If you inherited the same DNA alleles from
      both parents, then you would only exhibit one peak at that area of DNA.” In this sample,
      however, Doyle explained that “there was a profile that had fairly high peaks, so it was a
      major contributor, one individual had contributed more DNA. Then, there were also very
      minor peaks, very small, close to the baseline, that was contributed by a second person.”
      Kenneth Pfoser also testified that he could easily distinguish the major contributor’s profile
      based on RFUs and peak heights. Pfoser testified that the profile for the major contributor
      on bone C was identical to the major contributor on bone D, and he testified that these
      profiles were identical to defendant’s profile.




                                                 -26-
¶ 102                        C. The Amount of DNA in the Samples
¶ 103      Defendant now asserts that where the slot blot test showed that “<< 0.5 nanograms” of
      DNA were present in the sample, counsel was deficient for failing to request a Frye hearing.
      According to defendant, testing this low amount of DNA may produce unreliable results, and
      such testing has not gained widespread scientific acceptance.
¶ 104      Defendant specifically argues that the amount of DNA tested here potentially qualifies
      as low copy number (LCN) DNA. The parties generally agree that testing less than 0.2 ng of
      DNA qualifies as LCN, though they acknowledge divergent opinions on the matter. See
      United States v. Williams, No. CR 05-920-RSWL, 2009 WL 1704986, at *3 (C.D. Cal. 2009)
      (“[T]he Court finds that LCN testing can be defined as testing conducted on an amount of
      input DNA that is less than .1 ng or .2 ng. Both parties agree with this definition and the
      weight of scientific authority supports it.”); Davis, 602 F. Supp. 2d at 669, 672 (finding that
      there would have been LCN testing if less than 1 nanogram of DNA was tested, but noting
      “dueling definitions” ranging from less than half a nanogram to less than 0.1 nanograms);
      Butler, supra, at 167 (noting that LCN DNA testing “typically refers to examination of less
      than 100 pg of input DNA”); see also Charlotte Word, What Is LCN? Definitions and
      Challenges (2009), http://www.promega.com/ resources/articles/profiles-in-dna/2010/what-
      is-lcn-definitions-and-challenges/ (last visited Apr. 22, 2013) (“Samples containing <100-
      200 pg of total DNA available for amplification fall into the range generally considered to
      be LCN DNA by most practitioners. *** More recently, LCN has been used to refer to any
      DNA sample or DNA profile where stochastic effects (e.g., allele and locus drop-out,
      heterozygous peak height imbalance and elevated stutter peaks) are likely present and/or
      where the alleles detected are below a laboratory-defined stochastic threshold ***.”). In
      defendant’s view, 0.2 ng “would likely qualify as much less than .5 ng,” and thus the testing
      here could be classified as LCN testing.
¶ 105      Conducting PCR amplification on LCN DNA may produce “stochastic effects,”
      impacting the reliability and reproducibility of the results and further complicating their
      interpretation. See Davis, 602 F. Supp. 2d at 668 (reciting expert testimony that “[f]our
      problematic effects are often seen with testing performed below the stochastic threshold:
      exaggerated stutter, peak height imbalance, allelic drop-in and allelic drop-out”); Butler,
      supra, at 168 (“[A]pplication of LCN results should be approached with caution due to the
      possibilities of allele dropout, allele drop-in, and increased risks of collection-based and
      laboratory-based contamination.”). Allele “drop-out” occurs when there is a failure to
      amplify an allele which is actually present, but does not appear on the electropherogram;
      alternatively, contamination may cause preferential amplification of rogue alleles, which
      appear to become part of the DNA profile (allelic drop-in). Butler, supra, at 169.7

                7
                 Defendant offers a hypothetical example of allelic drop-out. The profiles of samples 29A1
        and 29A2 reflect homozygosity at loci vWA and D18, meaning that two of the same alleles (16 and
        17, respectively) appear at these loci. The identified profile for defendant is 16, 16 at vWA and 17,
        17 at D18. If the samples were actually 16, 17 at vWA or 17, 19 at D18–and allele dropout occurred,
        causing the 17, the 19, or both to drop out–defendant would be falsely included as a possible
        contributor when in fact he would have been excluded without the allelic dropout.

                                                    -27-
¶ 106       Moreover, regardless of whether the amount of DNA here qualifies as LCN, defendant
        argues that the amount of DNA detected by the slot blot test was well below the laboratory’s
        internally validated minimum standards for input DNA (i.e., 1 to 2.5 ng per microliter for
        forensic work or 0.6 to 2 ng per microliter generally). Defendant argues, and the State does
        not dispute, that there is an optimal range of DNA quantity for the Profiler Plus and similar
        kits to avoid stochastic effects such as allele drop-out and drop-in. The parties refer to this
        level as the “stochastic threshold.” Davis, 602 F. Supp. 2d at 668; Butler, supra, at 65 (“The
        best results *** are obtained if the DNA template is added in an amount that corresponds to
        the concentration range designed for the kit.”); id. at 50 (noting that “Profiler Plus ***
        specif[ies] the addition of between 1-2.5 ng of template DNA for optimal results.”).

¶ 107                               D. Counsel’s Performance
¶ 108      There is no question that defense counsel was aware that Doyle went forward with the
      amplification even though the amount of DNA, as measured at the quantitation stage, did not
      meet the laboratory’s optimal quantity standards for testing, i.e., between 1 and 2.5 ng per
      microliter. Defendant would have the analysis end there and conclude that, in light of the
      possibility of stochastic effects, the failure to mount a Frye challenge was a failure that
      renders counsel’s performance deficient by an objective standard. As defendant argues,
      “testing of such a low amount of DNA, below the DNA kit manufacturer’s and the ISP’s
      internally validated standards for reliable results, was ripe for a Frye hearing.” According to
      defendant, there is no “basis in the record” to suggest “that counsel’s decision was the
      product of sound trial strategy.” People v. Little, 322 Ill. App. 3d 607, 613 (2001).
¶ 109      But our review so far has not given a complete account of the record, the scientific
      literature, or counsel’s performance. As the State points out on appeal, and as Doyle
      explained during her deposition, there are reasons to go forward with the amplification stage
      even when the template DNA appears small by the QuantiBlot test. One issue is simply
      sensitivity of the QuantiBlot: “Even when no results are seen *** some forensic scientists
      still go forward with DNA testing and obtain a successful STR profile. Thus, the slot blot
      assay is not as sensitive as would be preferred.” Butler, supra, at 52; Davis, 602 F. Supp. 2d
      at 669 (“Both parties agree that [QuantiBlot] is a visual, inexact comparison that is ‘not as
      sensitive as would be preferred.’ ”). Another issue is the possibility of underestimation,
      which was a particular concern in this case, when the DNA was fragmented due to
      degradation. This was not lost on defense counsel, who explored the issue at Doyle’s March
      10, 2005 deposition:
               “Q. The amount of DNA that you were seeing there, it could have been a small
           amount of DNA because there was only a small amount deposited, or it could have been
           a small amount of DNA because there was degradation; is that right?
               A. The slot blot could have only been detecting a small amount of DNA because of
           the degradation. The site that the probe binds to from the quantiblot kit, if that area of
           DNA was degraded and there wasn’t enough of those fragments available in the sample,
           then you get an underestimation of the quantity.
               Q. But at this point you didn’t know what the small amount of DNA was due to,

                                                 -28-
          whether it was–whether there wasn’t much DNA there to begin or whether it had been
          degraded?
               A. I knew it was degraded from the yield gel, but you’re correct, I didn’t know the
          exact reason why the slot blot results were as they were.”
      Doyle had a similar exchange with codefendant’s attorney:
               “Q. Why do both of them? Why not just do the slot blot? What does the yield gel tell
          you that the slot blot doesn’t?
               A. Whether the sample is degraded.
               Q. And does that change the way you handle it?
               A. It could, yes.
               Q. And how would it change the way you handle it? When you say degraded DNA,
          what do you do differently?
               A. You take that into account when you’re looking at slot blot results. In this case
          there was [sic] apparently samples there, but not–it was less than the 0.15 nanograms.
          That could be because it was a degraded sample, that the quantity was going to be
          underestimated because of degradation.
               Q. Degradation causes DNA to be underestimated?
               A. It can.
               Q. Are there validation studies about that, how degradation–
               A. It’s done throughout the community. I am sure there are validation studies, but I
          couldn’t quote you them.”
      Doyle similarly testified at trial that “it could be that the areas of DNA being targeted for the
      slot blot itself was degraded, and so I was not getting–I was getting an underestimation of
      the amount of DNA present.”
¶ 110     Moreover, the State argues that by going forward with amplification despite the slot blot
      result, there would be another metric that could establish that the starting template DNA was
      optimal and above the stochastic threshold: fluorescence intensity. As noted above, Doyle
      generated an electropherogram, which revealed the amount of fluorescence detected for that
      particular allele and the amount of amplified DNA present in a test sample. The fluorescence
      intensity enabled both Doyle and Pfoser to distinguish the major donor’s DNA profile from
      that of the minor contributor. See Butler, supra, at 159 (“[P]eak areas and heights *** can
      in most cases be related back to the amount of DNA template components included in the
      mixed sample.”). That fluorescence also could be connected with the amount of starting
      template DNA, as testing can determine what degree of fluorescence can be obtained from
      varying known amounts of starting template DNA.
¶ 111     Here, the ISP laboratory conducted its own study that determined what degree of
      fluorescence is obtained from varying known amounts of starting template DNA when using
      Profiler Plus and the Joliet Instrument. On November 28, 2005, defense counsel subpoenaed
      and obtained the Joliet Instrument’s validation studies, which included the Joliet Instrument’s
      sensitivity study. The laboratory conducted three runs on the prepared samples, which


                                                 -29-
      showed that 2.5 ng of input DNA yields peak heights between 500 and 4,000 RFUs, and that
      input DNA of 1.25 ng produces peak heights between 270 and 1,800 RFUs. The State argues
      that where the tests on bone C generated peak heights between 266 and 1477 RFUs and bone
      D yielded peaks between 572 and 3,133 RFUs for the so-called major donor, the RFU
      readings correspond to approximately 1.25 ng of DNA for bone C and approximately 2.5 ng
      of DNA for bone D.
¶ 112     Thus, there are at least two related reasons Doyle may have gone forward with
      amplification after the slot blot gave a reading of less than 0.5 nanograms: (1) the possibility
      that the QuantiBlot assay was underestimating the amount of DNA in the degraded sample;
      and (2) the possibility of obtaining a result above the stochastic threshold, as measured by
      RFUs. In other words, Doyle (and Dr. Fish) decided to proceed with amplification instead
      of adopting a “stop testing” approach:
          “The ‘stop testing’ approach begs the question of how do you know that you are too low
          to obtain reliable results (i.e., information that accurately reflects the DNA sample).
          There are two primary points in the DNA-testing process where DNA reliability may be
          assessed: 1) at the DNA quantitation stage prior to performing PCR amplification of the
          short tandem repeat (STR) markers of interest, or 2) during examination of peak
          heights–and peak height ratios in heterozygous loci–in the STR profile obtained. An
          empirically determined threshold (usually termed a ‘stochastic threshold’) may be used
          at either the DNA quantitation or data interpretation stage to assess samples in the
          potential ‘danger zone’ of unreliable results. For example, if the total amount of
          measured DNA is below 150 pg, a laboratory may decide not to proceed with PCR
          amplification, assuming that allelic drop-out due to stochastic effects is a very real
          possibility. Alternatively, a laboratory may proceed with testing a low-level DNA
          sample, then evaluate the peak height signals and peak height ratios at heterozygous
          loci.” J.M. Butler & C.R. Hill, Scientific Issues With Analysis of Low Amounts of DNA
          (2010), http://www.promega.com/resources/articles/profiles-in-dna/2010/ scientific-
          issues-with-analysis-of-low-amounts-of-dna/ (last visited Apr. 22, 2013).
      See also Bruce Budowle et al., Validity of Low Copy Number Typing and Applications to
      Forensic Science, 50 Croat. Med. J. 207, 209 (2009) (“Typically, minimum amounts of DNA
      template are recommended *** so that stochastic effects can be reduced to manageable
      levels. However, since variation in the quantitation of template DNA and pipetting volume
      inaccuracies can impact the amount of template DNA placed in a PCR, a stochastic
      interpretation threshold is used instead for STR typing. *** A minimum peak height (or
      area), which is established by in-house laboratory validation studies, serves as a stochastic
      control. Those peaks below this threshold are not interpreted or are interpreted with extreme
      caution for limited purposes.”); David H. Kaye & George F. Sensabaugh, Jr., Reference
      Guide on DNA Evidence, at 505 (“Whether a particular sample contains enough human DNA
      to allow typing cannot always be predicted in advance. The best strategy is to try; if a result
      is obtained, and if the controls (samples of known DNA and blank samples) have behaved
      properly, then the sample had enough DNA.”).
¶ 113     We emphasize that the record shows that defense counsel recognized a connection
      between DNA quantity, as measured by the slot blot, and the possibility of stochastic effects,

                                                -30-
when he cross-examined Doyle at trial:
        “Q. Now, the other thing besides degradation that you do, the yield gel and the slot
   blot for is quanitation [sic]. You’re trying it [sic] figure out how much you have there;
   right?
        A. Try to get an estimate of the amount of DNA present in the sample.
        Q. And, in this case, both samples, the 29A1 and the 29A2, came out to be less than
   the lowest comparison thing that you had on the gel; right? Or on the slot blot; is that
   right?
        A. Yes. On the slot blot, there are a series of known DNA quantities, and I compare
   the quantities–the samples–the evidence samples to these known quantities in an attempt
   to estimate the amount of DNA present.
                                          ***
        Q. I mean, we’re talking about essentially microscopic stuff here; are we not?
        A. Very tiny amounts.
        Q. You couldn’t see it with the naked eye; could you?
        A. No.
        Q. And that’s–it’s so small that at the time you were doing the testing in this case, the
   Illinois State Police had not even been validated for amounts that small; right?
        A. Well, I reviewed the validation procedures, and in the validation study for STRs,
   amounts smaller than .15 nanograms had been looked at to determine what the lowest
   cutoff level was where you could obtain a full profile.
        Q. Okay. And–so, in that sense it was validated. Is that what you mean?
        A. It was looked at as part of that validation study. A determination was made of .3–
   *** well, 1 nanogram to 1.5 nanogram was the ideal target amount of DNA, and that’s,
   I believe, through all of the samples down to .3 nanograms of DNA, a full profile was
   obtained.
        Below that, loci started to drop out, or an allele started to not be detected.”
Counsel also connected slot blot sample size with results and further sought to establish that
such a small amount of DNA could have come from an outside source:
        “Q. And the amounts of DNA make a difference, ultimately, or can make a difference
   in what sort of results you get in the testing; right?
        A. They can. It depends on why the sample is degraded. In this case, it could be that
   the areas of DNA being targeted for the slot blot itself was degraded, and so I was not
   getting–I was getting an underestimation of the amount of DNA present.
        Q. Now, because of the small amounts of DNA that are necessary in order to get
   some kind of result, you can get the DNA–you could get a DNA off of simply–well, for
   example if the chicken had been laid out an [sic] a table somewhere, and there was DNA
   on that table, the chicken could pick up the DNA from the table; could it not?”
Doyle eventually answered: “I suppose if the conditions were correct. If there was a lot of
DNA; if it was moist. There has to be some transfer. If you’re putting something dry on

                                          -31-
      something dry, the chance of transfer is very little.”
¶ 114      It may be that, faced with a possibly underestimated sample, the scientific literature, and
      the sensitivity study, defense counsel concluded that a request for a Frye hearing would not
      likely be granted or, if granted, the hearing would not result in the exclusion of evidence
      because there was a considerable chance the testing here was acceptable practice. Perhaps
      defendant’s attorneys thought that by initiating a Frye challenge, they would have provoked
      an argument from the State that the slot blot reading was not a problem because the peak
      heights suggested that the sample was above the stochastic threshold. Cf. Commonwealth v.
      Greineder, 936 N.E.2d 372, 403 (Mass. 2010) (holding that defense counsel may have
      wanted to forgo a Frye challenge to tip off the prosecution about a particular line of attack).
      That approach is plausible, as counsel did not abandon an attack on Doyle’s choice to go
      ahead with testing when the slot blot revealed a small amount of DNA, and counsel used that
      point at trial to question whether such a small sample could have been picked up from a
      contaminated source.
¶ 115     In sum, in the record before us, we have: (1) an explanation by Doyle regarding why the
      slot blot, which may not be a particularly sensitive method of measurement, might have
      underestimated the amount of DNA at the quantitation stage; (2) scientific literature
      suggesting that RFU peak heights can be used as a reference point to show a lack of
      stochastic effects; (3) a validation study for the Joliet Instrument listing RFU peak heights,
      which could serve as a stochastic interpretation threshold; and (4) cross-examination from
      defense counsel attacking the decision to go forward after the QuantiBlot testing showed a
      low sample size, exposing possible accuracy issues. Although we cannot say with any
      certainty what materials counsel reviewed or what strategic calls counsel made, certainty is
      not required: we must entertain a strong presumption that counsel’s actions might have been
      the product of trial strategy. Strickland, 466 U.S. at 689; Evans, 186 Ill. 2d at 93.
¶ 116     Defendant responds that peak heights are “not necessarily” a reliable assessment of the
      amount of DNA present in this sample or otherwise do not show that the sample is above the
      stochastic threshold. Defendant cites a 2010 article that acknowledges “target DNA amount”
      and “peak height of alleles” may be used as criteria to determine LCN testing, but advocates
      “defining LCN typing based on the values where peak height imbalance becomes
      exaggerated” and argues that “[h]eterozygote peak height imbalance is a better criterion for
      defining the conditions where stochastic effects occur.” Bruce Budowle, Low Copy Number
      Typing Still Lacks Robustness and Reliability (2010),
      http://www.promega.com/resources/articles/profiles-in-dna/low-copy-number-typing-still-
      lacks-robustness-and-reliability/ (last visited Apr. 22, 2013). According to defendant,
      whether RFUs can be connected to the amount of DNA in a sample is an “issue appropriately
      explored in a Frye hearing.” But defendant cannot establish ineffective assistance of
      counsel–or overcome the presumption that counsel’s actions were the product of trial
      strategy–by showing that a motion seeking a Frye hearing could have been made to explore
      this issue. Weighing differing views among the scientific literature would certainly factor
      into the assessment of whether to request a Frye hearing; if the best that defendant can
      conclude from the scientific literature is that “peak heights are not necessarily reliable
      assessment of the amount of DNA,” defendant surely cannot overcome the presumption that

                                                -32-
      counsel made a sound strategic decision that a Frye hearing would have been unlikely to
      succeed. This is precisely the type of nuanced strategic decision that trial counsel must
      confront in cases of DNA and other scientific evidence. With the record before us, defendant
      has simply not overcome the presumption that counsel’s decision to forgo a Frye hearing was
      the product of sound trial strategy.
¶ 117     We note that there is no reason to believe that defense counsel was ill-equipped to assess
      the testimony of forensic scientists or the scientific literature. The defense team was
      comprised of a private attorney, three attorneys from the State Appellate Defender Death
      Penalty Trial Assistance Unit, and a contract attorney, at least some of whom had
      considerable experience in DNA evidence. The defense team relied upon a quality assurance
      auditor of forensic laboratories and three DNA experts who held advanced degrees in the
      sciences. One of those experts, Dr. Reich, testified on behalf of the defense, challenging the
      reliability of a nine-loci sample and highlighting the possibility of contamination.
¶ 118     Even though the defense team had multiple experts at their disposal and otherwise
      aggressively challenged the DNA (and fingerprint) evidence, defendant now claims that
      counsel simply “missed” the issue completely. To endorse that view, however, we must
      conclude: (1) while defense counsel thoroughly questioned Doyle about her methods at the
      quantitation stage and obtained her admission that testing a quantity below standard levels
      may effect the profile obtained, the defense team simply failed to consider whether to further
      challenge the accuracy of the DNA results based on going forward with testing what
      appeared to be a small sample; (2) while counsel subpoenaed and obtained the Joliet
      Instrument’s validation studies, which listed RFU peak height information, counsel did not
      review the data, failed to consider any relationship between peak height and the possibility
      of stochastic effects, or otherwise did not know of a possible connection between peak height
      and stochastic effects from their experts or from the literature; (3) counsel failed to consult
      with their team of DNA experts to explore possible problems related to sample quantity and
      thus were not acting on expert advice in deciding against moving for a Frye hearing; and (4)
      even with all this information and expert advice at hand, counsel completely failed to
      consider a possible challenge based on the quantitation results, never considered whether
      RFU peak heights showed that the sample was outside the stochastic threshold, and thus did
      not make a strategic call against requesting a Frye hearing. On this record, we find that view
      of events wholly speculative, and we conclude that defendant has failed to show that his
      counsel was so deficient that he was “not functioning as counsel” under the first prong of the
      Strickland test. Richardson, 189 Ill. 2d at 411.
¶ 119     In light of defendant’s inability to meet Strickland’s first prong, we need not further
      address whether defendant could also show that a Frye hearing would have enjoyed a
      reasonable chance of success, nor is it necessary to consider whether defendant could show
      that without the DNA evidence presented here, the result of the trial would have been
      different. “Because a defendant’s failure to satisfy either part of the Strickland test will defeat
      a claim of ineffective assistance, a court is not required to address both components of the
      inquiry if the defendant makes an insufficient showing on one. [Citation.]” (Internal
      quotation marks omitted.) People v. Edwards, 195 Ill. 2d 142, 163 (2001). Here, where
      defendant cannot show that his counsel’s performance fell below professional standards, his

                                                  -33-
        ineffective assistance claim fails.

¶ 120                                    III. Adoption of Daubert
¶ 121        Defendant contends that we should abandon the Frye test and instead adopt the “more
        stringent” standard for the admission of scientific evidence established in Daubert v. Merrell
        Dow Pharmaceuticals, Inc., 509 U.S. 579 (1993). That is not an argument for this court. Our
        supreme court has repeatedly held that Illinois courts follow the Frye test rather than
        Daubert. See McKown I, 226 Ill. 2d at 248; Simons, 213 Ill. 2d at 529; Donaldson, 199 Ill.
        2d at 76-77 (“Illinois law is unequivocal: the exclusive test for the admission of expert
        testimony is governed by the standard first expressed in Frye v. United States, 293 F. 1013
        (D.C. Cir. 1923).”), abrogated on other grounds by Simons, 213 Ill. 2d at 530; see also Ill.
        R. Evid. 702, cmt. (eff. Jan. 1, 2011) (“[Illinois Rule of Evidence] 702 confirms that Illinois
        is a Frye state.”). This court lacks the authority to overrule these decisions, which are binding
        on all lower courts. People v. Artis, 232 Ill. 2d 156, 164 (2009). Unless and until our supreme
        court adopts a new test for the admission of scientific evidence, we must apply the Frye
        standard. People v. Safford, 392 Ill. App. 3d 212, 230 (2009); Donnellan v. First Student,
        Inc., 383 Ill. App. 3d 1040, 1057 (2008).

¶ 122                                IV. Rebuttal Closing Argument
¶ 123       Defendant next argues that the prosecutor made inflammatory, improper remarks during
        the State’s rebuttal closing argument and the cumulative effect of those remarks was to deny
        him a fair trial. Before turning to the comments at issue, we note that all but one of his claims
        of improper argument have been forfeited, as objections either were not made at trial or were
        not preserved in a posttrial motion. Defendant seeks review of these remarks under the plain-
        error doctrine, which requires defendant to show either: “ ‘(1) a clear or obvious error
        occurred and the evidence is so closely balanced that the error alone threatened to tip the
        scales of justice against the defendant, regardless of the seriousness of the error, or (2) a clear
        or obvious error occurred and that error is so serious that it affected the fairness of the
        defendant’s trial and challenged the integrity of the judicial process, regardless of the
        closeness of the evidence.’ ” People v. Thompson, 238 Ill. 2d 598, 613 (2010) (quoting
        People v. Piatkowski, 225 Ill. 2d 551, 565 (2007)). As explained below, however, we
        conclude that nearly all of these comments were within the bounds of permissible argument,
        and even if we assume that defendant had preserved his objections to the few brief comments
        that were improper, these isolated remarks did not deny defendant a fair trial.

¶ 124                         A. Whether the Remarks Were Improper
¶ 125       Regardless of whether defendant has preserved his objections to the prosecutor’s
        comments, our initial inquiry is to determine whether there was error, i.e., whether any of the
        complained-of remarks were improper. Prosecutors are afforded wide latitude in closing
        argument. People v. Caffey, 205 Ill. 2d 52, 131 (2001). While a prosecutor may comment on
        the evidence and all inferences reasonably yielded by the evidence (People v. Pasch, 152 Ill.
        2d 133, 184 (1992)), a prosecutor may not use closing argument simply to “ ‘inflame the

                                                   -34-
      passions or develop the prejudices of the jury without throwing any light upon the issues.’ ”
      People v. Wheeler, 226 Ill. 2d 92, 128-29 (2007) (quoting People v. Halteman, 10 Ill. 2d 74,
      84 (1956)). Although “[i]t is not clear whether the appropriate standard of review for this
      issue is de novo or abuse of discretion,” we need not resolve the issue, because our holding
      in this case would be the same under either standard. People v. Land, 2011 IL App (1st)
      101048, ¶¶ 148-151 (noting conflict between People v. Wheeler, 226 Ill. 2d 92, 121 (2007),
      and People v. Blue, 189 Ill. 2d 99, 128 (2000)).
¶ 126     Defendant first argues that the prosecutor implied that there was other evidence, hidden
      from the jury, that confirmed defendant’s guilt. At the start of his rebuttal argument, the
      prosecutor thanked the jurors for their service and then continued:
              “I’d like to say that what I say is not important. I’m only going to speak for an hour
          and that’s enough, you’ve heard enough from the lawyers. I’m sorry you cannot ask
          questions, I really am. I’d like to answer the questions you have. But our system doesn’t
          allow that. It would be good to know what’s on your minds, but I can’t.”
      By these comments, we understand that the prosecutor attempted to explain to the jurors that
      he could not take what he viewed as the more efficient course–to answer their direct
      questions about the case–and would instead have to guess at what the jurors consider
      significant about defendant’s closing argument as he spoke to them for the next hour. In
      defendant’s view, the prosecutor “implied that there was evidence not revealed to the jury,”
      but he could not “give the jurors the ‘inside scoop’ on the evidence” because he could not
      answer the jurors’ direct questions. But the prosecutor made no reference to evidence outside
      the record or the fact that such evidence existed, as in the cases cited by defendant. See
      People v. Ray, 126 Ill. App. 3d 656, 661 (1984) (remanding for new trial where prosecutor
      told the jury he wished he could give the jurors his file and then referred to information not
      in evidence); People v. Barnes, 107 Ill. App. 3d 262, 268 (1982) (remanding for new trial
      where prosecutor commented on lack of physical evidence, claimed that “ ‘[defense]
      [c]ounsel knows all the evidence in the apartment,’ ” and then stated that “ ‘[w]e would wish
      we could show it to you’ ”). Although defendant argues that the reference to outside evidence
      here is “more subtle” than in Ray or Barnes, we do not find a “more subtle” reference to
      outside evidence. We find no such reference whatsoever. To accept defendant’s argument,
      we would have to credit speculation about hidden meanings and ignore the prosecutor’s
      straightforward explanation that our system does not permit a question-and-answer process.
      The prosecutor’s comments were not improper.
¶ 127     Defendant next challenges the prosecutor’s remark about the testimony of the State’s
      fingerprint expert, John Onstwedder:
              “He made perfect sense. He’s a great expert. They talked about–I guess to impeach
          him they talked about that there’s been two or three misidentifications throughout the
          world. And then I guess from there you’re supposed to conclude, oh, this is a
          misidentification. He had it verified by someone else.
              But they want you to look at him, a layperson, and he told you that that requires
          expert testimony, years and years of experience. I respectfully submit, ladies and
          gentlemen, we need expert testimony, expert testimony, and he’s the best, he’s very, very


                                               -35-
           good at it, and it was unrebutted. No other expert–
               [DEFENSE COUNSEL]: Objection to shifting the burden.
               [ASSISTANT STATE’S ATTORNEY]: I’m not–excuse me.
               THE COURT: Ladies and gentlemen, I’m going to overrule the objection. But here’s
           the thing is that the burden of proof always is with the State as we discussed in voir dire
           examination, as I told you in the beginning with my opening remarks. The burden of
           proof is always with the State and the defendant is presumed to be innocent and he does
           not have to prove his innocence.
               Go ahead ***.
               [ASSISTANT STATE’S ATTRONEY]: We welcome the burden of proof. They are
           right. For a minute don’t stop saying that to yourself. From the time you’re back there the
           State’s burden of proof we welcome it.”
¶ 128      Defendant raises two concerns about these remarks. First, defendant claims that stating
      that Onstwedder was “a great expert” and was “the best” was an improper attempt by the
      prosecutor to give his personal opinion of the witness and vouch for his credibility, thus
      placing the integrity of the State’s Attorney behind the witness. See People v. Valdery, 65
      Ill. App. 3d 375, 378 (1978) (concluding that prosecutor’s remarks–including a statement
      that “ ‘I have never had contact with people who have come forth and testified as witnesses
      who have had the level of integrity and character of those people and I’m particularly
      impressed’ ”–were “highly prejudicial because they place the integrity of the office of the
      State’s Attorney behind the credibility of the witnesses”). As the State points out, however,
      “[t]he credibility of a witness is a proper subject for closing argument if it is based on the
      evidence or inferences drawn from it.” (Internal quotation marks omitted.) People v. Hickey,
      178 Ill. 2d 256, 291 (1997). And the remarks here–when viewed in the context of the
      prosecutor’s attempt to defend Onstwedder from impeachment, emphasize his experience,
      and point out that his identification was verified– are based on Onstwedder’s testimony and
      inferences drawn from it.
¶ 129      Defendant also argues that the prosecutor sought to shift the burden of proof when he
      described Onstwedder’s testimony as “unrebutted.” While a prosecutor must not state that
      the defendant has an obligation to come forward with evidence that would create a
      reasonable doubt as to his guilt, a prosecutor may comment on the “defendant’s failure to
      submit any evidence that would tend to refute the case against him.” People v. Albanese, 104
      Ill. 2d 504, 521-22 (1984); People v. Kliner, 185 Ill. 2d 81, 153-55 (1998) (holding that
      prosecutor did not shift the burden to the defendant when he argued in rebuttal that the
      defense could have called various witnesses). Thus, our supreme court has held that a
      prosecutor may comment that the testimony of the State’s expert witness was not
      contradicted at trial. People v. Peter, 55 Ill. 2d 443, 460-61 (1973) (finding comments
      “concerning the lack of evidence contradicting the evidence the State had offered on the
      subject of fingerprints” did not shift the burden of proof to the defendant).
¶ 130      We acknowledge that this court has drawn a fine line between comments that properly
      emphasize that the State’s “evidence is uncontradicted” and comments that “improperly
      suggest[ ] to the jury that defendant had a burden to introduce evidence.” People v.

                                                -36-
      Giangrande, 101 Ill. App. 3d 397, 402 (1981); see People v. Gorosteata, 374 Ill. App. 3d
      203, 218 (2007) (collecting cases). Defendant argues that the remarks here fall into the latter
      category because a comment on the “unrebutted” testimony of a witness, without further
      elaboration, implies that the defendant had a burden to rebut that testimony. In this case,
      however, the prosecutor’s comment does not stand alone: the trial court immediately
      instructed the jury that “[t]he burden of proof is always with the State and the defendant is
      presumed to be innocent and he does not have to prove his innocence,” and the prosecutor
      then acknowledged and “welcome[d]” the State’s burden of proof. These clarifying
      comments dispelled any risk that the jury would interpret the word “unrebutted” as a general
      pronouncement that defendant must come forward with evidence to prove his innocence.
      Viewing the remarks in context, we perceive the prosecutor’s comment as an argument that
      Onstwedder’s credibility was not meaningfully challenged, despite the defense counsel’s
      effort to impeach his credibility.
¶ 131     Defendant next points to the State’s rebuttal argument concerning defendant’s DNA
      expert, Dr. Karl Reich:
               “Did [defense counsel] even talk about Wright [sic], their expert Wright [sic]? I
          wouldn’t either, would you? No. How much money do you make a year? He tells you,
          first I’m on salary. Then we said, come on, Doctor, tell me a little bit more about
          yourself. Well, I’m vice-president of the company. Come on, Doctor, you owe it to the
          ladies and gentlemen of the Jury, don’t you, because you have to weigh his bias, interest,
          motive, right? Then he finally says, well, I have a one-third interest. Why do you have
          to pull it out of this doctor. You know, professionals, they come in here, they’re qualified
          as experts. They lie like everybody else. How much do you make? $100,000. $100,000.
          They guy comes in here, $100,000. He’s motivated by money. Can you imagine if he
          persuaded you 12 that the DNA don’t match, he would be hounded by defense attorneys
          throughout the country.
               Just because they wear suits, they’re doctors and they’re experts doesn’t mean
          anything. You judge their credibility like you judge the credibility of everybody else.
          That’s the law. You’re going to get an instruction on that. The law says you have to look
          at people’s bias, motive, and interest clear across the board.”
      Defendant argues that such comments, specifically that Reich was “motivated by money,”
      were an improper attack on Reich’s character and integrity.
¶ 132     The credibility of an expert witness is a proper subject for closing argument if it is based
      on the evidence or inferences drawn from it. People v. Hickey, 178 Ill. 2d 256, 290 (1997).
      In People v. Hickey, for example, the prosecutor stated in closing argument that the defense
      expert was “ ‘an assistant professor making 35 grand who jumped to $120,000 a year to
      testify for criminal defendants’ ” and argued that because of his financial interest, the expert
      could never be expected to comment favorably on the state laboratory’s work. Id. The court
      concluded that the prosecutor’s statements “were acceptable comments on [the expert’s]
      possible bias,” drawn from evidence that he testified primarily for defendants and that his
      income had increased considerably when he began testifying as an expert. Id. at 291.
¶ 133     We acknowledge that the State suggested that because Dr. Reich’s company received


                                                -37-
      over $100,000 for its work, the jury had a reason to doubt the truthfulness of Dr. Reich’s
      testimony. This was part of a larger argument that Dr. Reich and those witnesses “qualified
      as experts” should be judged by the same standards of bias, motive, and interest as other
      witnesses when the jury considered his testimony. As in Hickey, we find no error in the
      prosecutor’s attempt to establish the expert’s possible bias.
¶ 134     We do find error in two comments by the prosecutor that were not drawn from the
      evidence, but were needlessly disparaging to Dr. Reich and defense counsel. First, while
      discussing Dr. Reich’s testimony, the prosecutor stated: “Dr. Wright [sic], whatever you want
      to call yourself ***.” We see no purpose for this fleeting comment other than to demean the
      expert’s status as a doctor of molecular biology, without apparent basis in the evidence. The
      State on appeal offers no explanation for this remark, and we conclude that it was improper.
      Defendant also points to comments by the State directed at defense strategy:
               “I commend Mr. Burch for his passion. His passion at the beginning was quite
          extraordinary when he talked about the blood, if you recall that. Remember he said, it’s
          in the blood, it’s in the blood. And he said, all these other issues, and he showed a lot of
          passion. I give Mr. Burch credit I guess because even though his theory–
               [DEFENSE COUNSEL]: I object at this time.
               THE COURT: Move on ***.
               [ASSISTANT STATE’S ATTORNEY]: Sure.
               I have a hard time getting passionate about something that I don’t believe in where
          I have to change course, but–
               [DEFENSE COUNSEL]: Your Honor–
               THE COURT: He’s talking about his personal experience. Overruled.”
¶ 135     The State may challenge a defendant’s credibility and the credibility of his theory of
      defense in closing argument when there is evidence to support such a challenge. People v.
      Hudson, 157 Ill. 2d 401 (1993). In this case, then, it would have been proper for the
      prosecutor to point out that defense counsel argued during opening statements that a footprint
      was left in blood by the killer, but did not again press that point during closing argument,
      after the prosecutor argued at closing that the evidence showed the footprint was the result
      of processing the bloody crime scene. But here, the prosecutor took that permissible
      argument a step further by focusing his remarks on defense counsel’s style of advocacy,
      suggesting that counsel presented feigned enthusiasm for a defense he knew was false. Such
      comments “improperly shift the focus of attention from the evidence in the case to the
      objectives of trial counsel.” People v. Emerson, 97 Ill. 2d 487, 498 (1983); cf. People v.
      Monroe, 66 Ill. 2d 317 (1977) (finding prosecutor’s comment that defense counsel did not
      believe in the theory of defense was improper); see also People v. Kirchner, 194 Ill. 2d 502,
      549 (2000) (distinguishing between comments on the credibility of the defendant and his
      theory of defense, which are proper, and impermissible attack on defense counsel). The same
      can be said for the prosecutor’s later remark that he “told his partners don’t object during
      their closing because they have a large responsibility here, as do we.” That comment
      followed two of defense counsel’s objections, and it needlessly focused the jury on the
      motives and tactics of defense counsel rather than the arguments and evidence presented at

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      trial.
¶ 136      Additionally, we find error in one other comment by the prosecutor–that the verdict
      “transcends the courtroom walls” and “goes out to the community.” After the comment was
      made, the trial judge immediately interjected, telling the prosecutor to stop and instructing
      the jurors to disregard these comments: “[Y]ou’re only supposed to concern yourselves with
      the facts and the law as it applies to Mr. Luna. You’re not sending message to the world.
      That’s not your job.” The prosecutor later continued on the same theme:
               “Your verdict will also talk to the Annie Locketts of this world, will it not? And
           there’s others out there like Annie Lockett, a lot of Annie Locketts out in this world who
           know something, who know something and yet say to themselves, do I have the inner
           strength, the moral fiber to come to court.
               [DEFENSE COUNSEL]: Objection.
               THE COURT: I’m sorry, [Assistant State’s Attorney], you’re not here to reinforce
           any self-doubt that Anne Lockett has either. Forget about the other Anne Locketts in the
           world and stay away from that.
               Ladies and gentlemen, again, you’re supposed to concern yourselves with the facts
           in this case and the law as I give it to you, and that way reach a verdict. Not about any
           messages and not about reinforcing any individuals.”
      On appeal, the State concedes that the prosecutor’s comments were improper. See, e.g.,
      People v. Johnson, 208 Ill. 2d 53, 79 (2003).

¶ 137                 B. Whether the Improper Remarks Require a New Trial
¶ 138      Of the several comments defendant has claimed were error, we have found three isolated
      statements were improper. While defendant’s claims of improper argument have been
      forfeited as to two of these comments, defendant did preserve his claim of error (by objecting
      at trial and renewing his objection in a posttrial motion) as to the prosecutor’s comments
      about the verdict sending a message to the community. Where an objection to a prosecutor’s
      comments has been preserved, we must determine whether any improper remarks, when
      viewed in the context of the entire argument, “constituted a material factor in a defendant’s
      conviction.” Wheeler, 226 Ill. 2d at 123. A new trial should be granted “[i]f the jury could
      have reached a contrary verdict had the improper remarks not been made, or the reviewing
      court cannot say that the prosecutor’s improper remarks did not contribute to the defendant’s
      conviction.” Id.
¶ 139      As to the prosecutor’s improper remark that the verdict “transcends the courtroom walls,”
      the parties agree that “[t]he trial court’s act of promptly sustaining a defense objection to a
      closing argument comment is generally sufficient to cure any error which may have
      occurred.” People v. Hope, 168 Ill. 2d 1, 26 (1995). In this case, the trial court not only
      instructed the jury that it was to consider only the facts of the case before it, the court also
      emphasized that it was not the State’s role “to reinforce any self-doubt that Anne Lockett
      has” and it was not the jury’s role to send “any messages” to the community with the verdict.
      We conclude that the trial court’s direct and forceful instructions to the jury were sufficient


                                                -39-
      to cure any prejudicial impact of the prosecutor’s improper comment. See People v. Harris,
      225 Ill. 2d 1, 33 (2007) (considering the possibility of prejudice and noting that “defense
      counsel’s objection to the comments was sustained and the jury was properly instructed that
      the arguments of counsel were not evidence that it could consider”); People v. Chavez, 327
      Ill. App. 3d 18, 28-29 (2001) (finding that potential prejudicial effect of prosecutor’s
      comments about “social evil of the drug trade in Chicago” was vitiated by two objections
      from defense counsel and court instructions to only consider the evidence presented at trial);
      People v. Sutton, 353 Ill. App. 3d 487, 501 (2004).
¶ 140      As to the comments about Dr. Reich or defense counsel’s tactics, even if we assume that
      defendant had not forfeited his objection to these comments, we conclude that they “did not
      engender substantial prejudice against defendant sufficient to warrant reversal of his
      convictions.” Hickey, 178 Ill. 2d at 289-90. These comments were so brief, and of such small
      import in the State’s lengthy closing argument, that they did not amount to reversible error.
      See People v. Runge, 234 Ill. 2d 68, 142-43 (2009) (“All of the comments were brief and
      isolated in the context of lengthy closing arguments, a factor we have found significant in
      assessing the impact of such remarks on a jury verdict.”); see also People v. McCann, 348
      Ill. App. 3d 328, 338-39 (2004) (holding that a prosecutor’s reference to defense counsel as
      “an octopus releasing inky fluid” and as “throwing dust on the road to justice” did not deny
      the defendant a fair trial where the “comments, when viewed in the context and totality of
      the closing arguments, were brief”). Moreover, the prosecutor’s isolated statements, at the
      end of a month-long trial, cannot be said to be the cause of the convictions in this case. The
      State presented defendant’s videotaped statement and his statements to Anne Lockett and
      Eileen Bakalla admitting to the murders. Defendant’s statements were corroborated by
      physical evidence, DNA found on the partially eaten chicken bones and a partial palm print
      on a napkin, that show defendant was at the Brown’s Chicken restaurant on January 8, 1993.
      After hearing that evidence over several weeks of trial, and after hearing the State’s lengthy
      closing argument focusing on the evidence presented, we cannot say that the few brief
      comments we have found improper constituted a material factor in defendant’s conviction.
      The improper remarks “did not so prejudice the jury as to deny defendant a fair trial or have
      a disproportionate impact on the jury’s finding of guilt.” People v. Easley, 148 Ill. 2d 281,
      332-33 (1992).
¶ 141      Defendant also argues that he was denied the effective assistance of counsel based on his
      counsel’s failure to object to the remarks challenged on appeal. Because we have concluded
      that any improper remarks did not impact the jury’s finding of guilt or deprive defendant of
      a fair trial, defendant cannot demonstrate that counsel’s failure to object prejudiced the
      outcome of his trial. See, e.g., People v. Glasper, 234 Ill. 2d 173, 215-16 (2009). We
      therefore reject his ineffective assistance claim.

¶ 142                 V. Statements of Todd Wakefield and Casey Sander
¶ 143      Defendant finally claims that the trial court erred when it denied his motion in limine to
        admit out-of-court statements from Todd Wakefield and Casey Sander. While the court
        admitted a statement from John Simonek–that he committed the murder with Todd


                                                -40-
      Wakefield–as a “statement against penal interest” under Chambers v. Mississippi, 410 U.S.
      284 (1973), the court ruled that neither Sander’s nor Wakefield’s statements were admissible.
      A ruling on the admission of evidence is within the sound discretion of the trial court and
      will only be reversed if the trial court abused its discretion. People v. Caffey, 205 Ill. 2d 52,
      89 (2001); People v. Bowel, 111 Ill. 2d 58, 68 (1986) (citing People v. Ward, 101 Ill. 2d 443,
      455-56 (1984)). The trial court abuses its discretion only where its ruling is arbitrary,
      fanciful, or where no reasonable person would take the view adopted by the trial court.
      Caffey, 205 Ill. 2d at 89.
¶ 144     Generally, declarations against interest are admissible as an exception to the hearsay rule,
      based on the assumption that a person is unlikely to fabricate a statement against his or her
      own interest. People v. Tenney, 205 Ill. 2d 411, 433 (2002). While courts generally will not
      admit an unsworn, out-of-court declaration that the declarant (rather the defendant on trial)
      committed the crime, even though the declaration is against the declarant’s penal interest,
      such a statement may be admitted under the statement-against-penal-interest exception to the
      hearsay rule “where justice requires.” Id. at 433. “[W]here the hearsay statement bears
      persuasive assurances of trustworthiness and is critical to the accused’s defense, its exclusion
      deprives the defendant of a fair trial in accord with due process.” Id. at 434 (citing Chambers,
      410 U.S. at 302). To help assess the reliability of such a statement, we look to the four
      factors identified in Chambers: (1) the statement was spontaneously made to a close
      acquaintance shortly after the crime occurred; (2) the statement is corroborated by other
      evidence; (3) the statement is self-incriminating and against the declarant’s interests; and (4)
      there was adequate opportunity for cross-examination of the declarant. Chambers, 410 U.S.
      at 300-01. These factors are merely guidelines, not requirements, for admissibility. People
      v. Keene, 169 Ill. 2d 1, 29 (1995); People v. Pecoraro, 175 Ill. 2d 294, 307 (1997).
      Ultimately, we must determine whether the statement at issue “was made under
      circumstances which provide ‘considerable assurance’ of its reliability by objective indicia
      of trustworthiness. [Citation.]” People v. Thomas, 171 Ill. 2d 207, 216 (1996).
¶ 145     Assessing the reliability of the statements in this case starts and ends with the Chambers
      factor that is at the heart of the inquiry: whether Wakefield’s and Sander’s statements were
      self-incriminating and against their penal interest. Our supreme court has directed that “ ‘a
      statement of such a nature is the bedrock for the exception, that factor, obviously, must be
      present.’ ” (Emphasis added.) Tenney, 205 Ill. 2d at 436 (quoting Keene, 169 Ill. 2d at 29).
      A declaration against penal interest “need not be a confession, but must involve exposure to
      criminal liability.” Id. (citing 2 John W. Strong, McCormick on Evidence § 319(b), at 323-24
      (5th ed. 1999)). The trial court found that unlike Simonek’s statement, neither the statement
      from Wakefield nor the statement from Sander met this requirement.
¶ 146     Todd Wakefield, a friend of John Simonek and Casey Sander, gave several statements
      to the police. On June 18, 1998, Todd Wakefield told police that he ate a meal at Brown’s
      Chicken around 9 p.m. on January 8, 1993. When asked, “So chances are you’re the last
      person that ate there,” Wakefield said “I would definitely agree on that.” On September 15,
      1999, Wakefield told police that he ordered food from Michael Castro on the night of the
      murders. He said “the only reason he went to Browns [sic] Chicken was to get something to
      eat, that he never shot or killed anyone.”

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¶ 147      Casey Sander, a former Brown’s Chicken employee and Wakefield’s girlfriend, was
      interviewed by police several times in the months following the shootings. Unlike earlier
      interviews where Sander claimed that her accounts were simply dreams or nightmares, on
      April 28, 1999–at her tenth interview–Sander claimed that what she told police was based
      on her actual observations. Sander said that on January 8, 1993, her boyfriend, Todd
      Wakefield, picked her up at her home at 6:30 p.m. in his brown station wagon, and they went
      to Brown’s Chicken sometime after 9 p.m., because Sander wanted to talk to Lynn Ehlenfeldt
      about her work schedule. When Sander went into the restaurant, Wakefield insisted on
      following her. Sander then stated that Wakefield went to talk to Rico Solis and Mike Castro,
      became enraged, and yelled “Everybody get in the back or I’ll kill you,” while waving a gun.
      Sander told the police that she saw Wakefield shoot people in the restaurant and there was
      smoke and haze in the room. Sander ran back to her house afterward. Sander did not mention
      Simonek in her statement, but during her interview, she stated “I walked in the back door and
      they came in behind me.” When asked who “they” were, Sander claimed to have said
      “Todd,” but officers and an assistant State’s Attorney present confirm that she said “they.”
      When told that there was a bloody footprint left at the scene, Sander stated that “it was
      probably a size 8 Reebok and it was probably mine.” After Sander was given her Miranda
      warnings, she said that “she was tired and wanted to go home” and “she made all this up just
      so she could go home.” Sander was allowed to leave the police station.
¶ 148      While defendant agrees that neither Wakefield nor Sander acknowledged any role in the
      murders, he nevertheless claims that “an admission to being present at [a] crime scene, while
      denying participation, is against one’s penal interest.” We cannot agree with such a sweeping
      view of the “against penal interest” requirement. There is simply no crime in being present
      at the scene of a crime or witnessing a crime, without more.
¶ 149      Defendant’s single piece of authority for this broad principle is People v. Murray, 254
      Ill. App. 3d 538 (1993), where the question was whether statements to police were
      sufficiently reliable to establish probable cause to arrest in connection with the shooting of
      two men. Murray, 254 Ill. App. 3d at 549. The police spoke with a man named Washington,
      who was subject to a “stop order” issued for a double murder. Id. at 541. When the police
      eventually spoke to the defendant (who was found based on information Washington
      provided), defendant told them he was at a dope house when a man named Washington
      arrived with two machine guns and claimed he had “done a ‘mission.’ ” Id. at 542. The
      police again confronted Washington, who said that the defendant was the getaway driver for
      the shootings designated by the leader of a street gang; Washington “also implicated himself
      and said he had witnessed the shooting.” Id. Specifically, Washington said “ ‘he was a
      witness to the shooting, and that his involvement was limited as far as shooting at the
      victims.’ ” Id. at 549. On appeal, defendant argued that Washington’s statement was
      unreliable because he was “under suspicion for the murders and was denying culpability.”
      Id. at 550. Noting that “[a] co-offender’s statements to the police constitute probable cause
      where the statements are against the informant’s penal interest,” the court concluded that
      while Washington, a codefendant who later pled guilty, “did deny shooting the victims as
      [the] defendant claim[ed], his admission that he was at the scene of the crime and witnessed
      its occurrence could certainly be considered as a statement against penal interest.” Id. at 550.

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¶ 150     With the facts of the case in view, it is clear that Murray does not stand for the broad
      proposition that defendant assigns it. In Murray, after police confronted the witness, he made
      a statement admitting involvement with the shooting that, while “limited,” exposed him to
      criminal liability. The exposure was real: Washington was charged along with the defendant,
      and he pled guilty. We disagree that admission to being present and witnessing a crime,
      without all the attendant facts in Murray, satisfies the against-penal-interest exception. This
      court has specifically held (in a probable cause case like Murray) that admitting to being a
      witness to a crime does not qualify as a statement against penal interest, without admission
      of involvement in the crime. See People v. Lindner, 24 Ill. App. 3d 995, 998 (1975) (“[T]he
      informant’s statements of his presence during the [drug] transaction were not of such
      character as to be statements against penal interest. Although the affidavit did recite that the
      informant was present, it did not sufficiently demonstrate the informant’s complicity in the
      criminal activities.”); see also 2 Wayne R. LaFave, Search and Seizure § 3.3(c), at 178 (5th
      ed. 2012) (noting, in the fourth amendment context, that “acknowledgments that merely
      create a suspicion of the informant’s involvement in the criminal activity, such as that he was
      present at the time of a transaction involving narcotics or stolen property, will not suffice [as
      a statement against penal interest]”).
¶ 151     Here, Wakefield did not state that he was involved with the shooting in any way. He did
      not even admit that he had witnessed the crime. We therefore conclude that Wakefield’s
      statement was not the “type of confession [which] was in a very real sense self-incriminatory
      and unquestionably against interest.” See Chambers, 410 U.S. at 301.
¶ 152     Sander’s statement suffers from the same defect. Like Wakefield, Sander did not admit
      involvement in the shooting. She claimed that she saw Wakefield shoot several people and
      she then ran from the scene. While defendant argues that her statement suggests a greater
      degree of involvement than that of a mere bystander, Sander’s statement suggests no more
      involvement than being at the restaurant and then fleeing the scene after the shooting began.
      Moreover, our supreme court has cautioned that “[w]hether a statement is actually against
      the declarant’s interest must be determined from the circumstances of each case.” People v.
      Caffey, 205 Ill. 2d 52, 99 (2001). As an example, the court explained that even “a statement
      admitting guilt and implicating another person, made while in custody, may well be
      motivated by a desire to curry favor with the authorities and, accordingly, fail to qualify as
      against interest.” Id. (citing Williamson v. United States, 512 U.S. 594, 601-02 (1994)). In
      other words, the court has recognized that in some circumstances the rationale underlying the
      against-penal-interest exception (that a person only would say something so damning if it is
      true) does not hold because the declarant may be motivated to make such a statement, even
      if untrue. While here it does not appear that Sander was trying to “curry favor with the
      authorities,” the record does show that she had a motivation to say what she said. As she
      explained when she recanted her statement almost immediately after it was made, Sander
      simply hoped to end the interrogation (apparently her tenth interview) “just so she could go
      home.” Sander said the minimal amount she thought was necessary to end the questioning,
      yet she did not even implicate herself or expose herself to criminal liability.
¶ 153     Defendant now proposes an alternate theory for treating Sander’s statement as a
      statement against penal interest: that her disclosure that she witnessed the murders could

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      have subjected her to prosecution for obstruction of justice because Sander previously told
      police that she did not know anything about the crime. This argument fails. We first note that
      this obstruction of justice theory was never raised to the trial court and could not have
      formed the basis of the court’s ruling on the motion in limine. In fact, after the trial court
      asked how Sander’s statements could possibly be against her interest, defendant stated in a
      supplemental brief that “Sander’s statements need not be against her penal interest in order
      to be admissible,” so long as other Chambers factors were satisfied.
¶ 154     In any event, we agree with the State that nothing in the record suggests that Sander
      knowingly furnished false information with an “intent to prevent the apprehension or
      obstruct the prosecution or defense of any person,” as required under Illinois’s obstruction
      of justice statute. 720 ILCS 5/31-4 (West 2010). Contrary to defendant’s claim, the record
      does not suggest that Sander’s earlier statements denying knowledge (i.e., the statements that,
      under defendant’s theory, are false) were made to protect Wakefield or anyone else.
      Moreover, in light of Sander’s immediate recantation, defendant’s theory that Sander’s
      statement could be used as part of an obstruction of justice prosecution is wholly
      implausible. As with Wakefield’s statement, we conclude that because Sander’s statement
      was neither self-incriminatory nor against penal interest, it did not bear “persuasive
      assurances of trustworthiness.” Tenney, 205 Ill. 2d at 434. The trial court did not abuse its
      discretion in excluding Sander’s and Wakefield’s statements.

¶ 155                                  CONCLUSION
¶ 156      In accordance with the foregoing, we affirm defendant’s conviction for first degree
        murder.

¶ 157      Affirmed.




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