Full opinion text
Opinion CORRIGAN, J. A jury convicted defendant Keith Zon Doolin of the first degree murders of Inez Espinoza and Peggy Tucker, and the attempted murders of Alice Alva, Debbie Cruz, Marlene Mendibles, and Stephanie Kachman. For each crime, the jury found that defendant personally used a firearm. For each attempted murder, the jury found defendant personally inflicted great bodily injury on the victim. The jury found hue the special circumstance allegation of multiple murder, and returned a verdict of death. The court denied defendant’s motions for a new trial and penalty modification and sentenced defendant to death. The court imposed and stayed a determinate sentence on the noncapital felony counts and enhancements. This appeal is automatic. We affirm the judgment in full. I. Facts and Proceedings A. Guilt Phase 1. Overview of Prosecution’s Case Between November 2, 1994, and September 19, 1995, defendant murdered two Fresno prostitutes and attempted to murder four others. At trial, each surviving victim identified defendant as her assailant. One decedent’s boyfriend saw her enter a car defendant was driving on the night she was murdered. Ballistics evidence established defendant’s Firestar .45-caliber handgun was used to kill Espinoza and Tucker. Shell casings found at the Espinoza and Kachman crime scenes were fired from that same weapon. Defendant’s sister lived with him during the time the shootings occurred. Her Lorcin .25-caliber pistol “probably” fired the shell casings found at the Alva crime scene. Tire impressions left at the Hendibles and Espinoza crime scenes were similar to the tread on defendant’s truck tires. Incriminating statements and other evidence linked defendant to the crimes. The defense consisted of evidence of alibi, mistaken identification, and third party culpability. A summary of the evidence adduced at trial follows. a. The Two Murders and Four Attempted Murders (1) Attempted murder of Alice Alva On the night of November 2, 1994, Alice Alva was working as a prostitute. Defendant pulled up next to her in his pickup truck and offered her $30 for sex. Alva got into the truck, and defendant drove to a nearby cul-de-sac. When Alva asked for payment, defendant pointed a silver gun at her and said, “I’m going to fuck you all night.” Frightened, Alva told him, “I’ll do whatever you want, but before we have sex, I need to use the bathroom.” Defendant agreed, but warned Alva, “Don’t try anything stupid because you won’t be the first girl I shot and killed.” Alva left the truck and ran. She heard three or four shots, was shot in the leg, and fell to the pavement. When she saw defendant approach with the gun in his hand, she pretended to be dead. Defendant got in the truck and sped off. The police recovered three .25-caliber shell casings in the roadway near where Alva had fallen. Dr. Ralph Koo treated Alva, who had a bullet lodged in her fractured right tibia. Because of the risk of complications, including paralysis, Dr. Koo did not remove the bullet. (2) Attempted murder of Debbie Cruz Around midnight on December 29, 1994, Debbie Cruz was working as a prostitute when defendant picked her up in his truck and drove to an alley. As Cruz began to undress, defendant said, “I guess you’re waiting for money.” He then pulled a small silver gun from his pocket and shot her. Cruz opened the passenger door, fell out, and crawled away. She collapsed at a nearby house and a resident called police. Officer Jack Gordon responded. Based on the size of Cruz’s wound, Gordon believed she had been shot by a small caliber gun, possibly a .22. A treating physician determined the bullet entered Cruz’s left hip, passed through her abdomen, and perforated her small intestine. The bullet was left in place following emergency surgery. (3) Attempted murder of Marlene Mendibles Around 1:00 a.m. on July 29, 1995, Marlene Mendibles was working as a prostitute and accepted defendant’s offer of a ride in his truck. Defendant drove for a while, pulled over, and ordered her to disrobe, threatening to shoot her if she did not comply. When defendant pulled out a large silver gun, Mendibles grabbed her bag, opened the passenger door, and told him she would walk. Standing beside the truck, Mendibles told defendant, “I bet you remember me,” and he replied, “I bet you remember me, too.” She then heard a “pop.” Defendant drove away and Mendibles fell tb the ground. She was rendered a paraplegic by the shooting. (4) Murder of Inez Espinoza At 4:20 a.m., the same morning of the Mendibles shooting, Alice Trippel heard a gunshot. At 4:30 a.m., Carmen Ramos, who lived nearby, heard screaming. Around 11:00 a.m., Ramos’s daughter drove to her mother’s home. As she approached the carport, she saw the dead body of prostitute Inez Espinoza in an alley near the home. Detective Robert Schiotis examined Espinoza’s body and saw a gunshot entry wound in her lower right back with an exit wound several inches below her navel. He removed a large caliber bullet and a piece of the copper casing from Espinoza’s clothing. He also recovered a spent .45-caliber shell casing, a condom, and a tom Trojan brand condom wrapper. He also noted tire tracks and “traction marks of a car taking off in a hurry.” The autopsy surgeon observed a gunshot wound above Espinoza’s right hip. The presence of powder marks near the entry wound indicated the gun had been pressed against her clothing when fired. The bullet had severed a major artery. She died from internal bleeding. (5) Attempted murder of Stephanie Kachman On August 11, 1995, about 3:00 a.m., defendant drove up beside Stephanie Kachman in a small white tmck. She agreed to have sex and got in the tmck. Defendant drove into an alley and stopped. When Kachman asked to be paid, he pointed a gun at her head and told her to take off her clothes. Kachman told defendant she needed to get out of the tmck because a leg injury made undressing difficult. They both left the tmck. While Kachman undressed, defendant put on a condom and placed his gun on the truck seat. They began to have intercourse, but Kachman lost her balance and stumbled. As she ran out of the alley, she heard defendant’s truck approaching. She looked back and saw defendant shooting at her through his window. Kachman was hit twice and fell to the ground. A nearby resident summoned the police. Seven shell casings were recovered near the scene. Kachman sustained two through and through bullet wounds, one in her back and the other in one of her thoracic vertebrae. (6) Murder of Peggy Tucker On the night of September 18, 1995, Peggy Tucker and Rick Arreola left their motel and walked to an area in West Fresno. Tucker walked ahead with Arreola trailing at a distance. Arreola saw a Lincoln Town Car drive up next to Tucker, who spoke to the driver and then got into the front passenger seat. Arreola watched as the car drove into an empty lot and out of his sight. As Arreola stood on the center divider waiting for Tucker to return, he saw the Lincoln drive by. The car’s dome light was turned on and the driver, whom Arreola identified as defendant, appeared be alone. On the following morning, Tucker’s body was found in an alley. When told of Tucker’s death, Arreola spoke with police and described the Lincoln Town Car by color and license plate number. Defendant’s mother, Donna Doolin Larsen, owned a similar vehicle. Tire tracks at the Tucker murder scene reflected an “acceleration mark” indicating the vehicle left at high speed. Two packages of condoms were recovered from Tucker’s right hand. There was blood on her back, in her mouth, and on the ground nearby. Tucker’s autopsy revealed that she had been shot in the right hip. The gun was probably fired from two to four inches from the body based on stippling and soot marks. The perforation of two major blood vessels and the intestines caused fatal blood loss and shock. Three bullet fragments were recovered from the body. b. Defendant’s Arrest and Statements to Police (1) First police interview On October 18, 1995, defendant was arrested and read his Miranda rights. Defendant said he understood them and was taken to police headquarters. There, Detectives Robert Schiotis and Albert Murrietta again explained defendant’s Miranda rights, which he waived. Defendant told the detectives he was a trucker and recently had been working for a towing company and a recycling center. He reported he had been a civilian employee of the Army, Navy, and Marines. Defendant admitting owning a 1984 Toyota pickup. He initially denied knowing about the prostitute shootings, but then conceded he had heard that prostitutes were being robbed and shot. The detectives said they knew defendant owned a gun and that one of the victims had identified him as her assailant. Defendant said he owned a .45-caliber Firestar Compact, which was in his house. It was his “personal gun,” which he alone used. He bought the Firestar for protection because it “shoots with both hands,” and he was ambidextrous. He had fired the gun about 150 times at an indoor shooting range but did not carry it. Defendant had previously owned and sold two rifles. In his safe, he occasionally kept guns belonging to friends. Currently his safe contained a .44-caliber automatic and possibly a nine-millimeter Taurus. When asked about a bulletproof vest found in his house, defendant said he bought it for protection because he had been robbed at a Walgreens store two years earlier and while clerking at a 7-Eleven store. When informed of the charges against him, defendant claimed he was innocent and asked what he could do to vindicate himself. He told the detectives he did not leave the house at night, except to go to the store to get away from “tension at home.” He admitted that a friend of his knew prostitutes. He had seen prostitutes near a tavern and near the 7-Eleven store where he had worked. He denied ever having hired a prostitute, although one had approached him once. He felt Fresno was “flooded” with prostitutes and believed prostitution should be legalized. When told a witness had watched him pick up Peggy Tucker in the Lincoln Town Car the night she was murdered, defendant replied, “I have not picked up a prostitute in the car.” Defendant had heard on television that the suspect drove a white truck with red letters on the tailgate and a larger “Cadillac-type vehicle.” Told that the tire track evidence implicated him, defendant responded that he had put new tires on the Lincoln about two weeks earlier and on his truck in May 1995. He could not explain why the surviving victims identified him from a photo lineup. He denied shooting them, using drugs, or drinking alcohol. Asked when he last had sex, defendant paused a long time, and then replied, “That doesn’t count.” He explained he had had oral sex with a woman three weeks earlier and paused because he did not know if oral sex “counted for having sex with a girl.” Defendant maintained his innocence and again asked what he could do to vindicate himself. The interview was concluded, and defendant agreed to talk with detectives again. (2) Second police interview Detective Schiotis reinterviewed defendant later that day. Schiotis said a search of defendant’s house revealed the box for a second .45-caliber Firestar. This second Firestar would later be proven to have been used in several of the incidents. Asked why he had not disclosed the existence of the second Firestar, defendant said, “it just didn’t come up when we were talking,” and claimed the second gun “hardly ever had been used.” Defendant initially said that the second Firestar was in the headboard of his bed, and then that he had given the gun to his cousin, Bill Moses, about three weeks earlier. Upon further questioning, defendant told the detectives his sister, Shana Doolin, had a .25-caliber handgun. (3) Third police interview The next day, defendant was questioned after again hearing and waiving his Miranda rights. He reported that he had loaned the second Firestar to Bill Moses three or four weeks earlier, and that no one else had used his gun. When told another victim had identified him as her assailant, defendant looked at the photo lineup and commented that one of the suspects looked “close enough to be his brother.” He also said, “We’re going in circles here.” c. Search of Defendant’s Home and Inspection of Defendant’s Truck Defendant’s home was searched on the day of his arrest. Police found a videotape entitled Pro Sniper, which showed firing positions and types of guns used by a sniper. They also found photographs of defendant and others with guns. In defendant’s bedroom, they found body armor, a bulletproof vest with FBI stenciled on the back, three ski masks, black military clothing, a camouflage shirt, Soldier of Fortune and Combat Arms magazines, some pornographic magazines, information on mail-order brides, and two boxes of .45-caliber ammunition. A fully loaded .45-caliber Firestar in a black waist holster, a loaded magazine, and a radio scanner were found in the living room. A gun safe in the garage held a Taurus PT-99 nine-millimeter handgun, three magazines for that weapon, two empty Firestar gun boxes with consecutive serial numbers, and two sets of handcuffs. The safe also contained a metal belt buckle with an opening for a .22-caliber handgun; an Omega Taser; paperwork showing purchases of, and repairs to, guns owned by defendant; an unloaded .44-magnum handgun; three plastic starter guns; a variety of rifles and shotguns; and several kinds of ammunition, including over 600 .22-caliber rounds. Three unopened condoms were recovered from the ashtray in defendant’s truck. d. Further Investigation Detective Frank Rose recovered an unloaded .45-caliber Firestar, two empty magazines, and a nylon holster from Bill Moses. Moses said that he got the gun from defendant two or three weeks earlier, but he had not fired the weapon. Detective Todd Fraizer retrieved a Lorcin .25-caliber semiautomatic handgun from Shana Doolin at her residence in Stockton. e. Defendant’s Purchase of the Firestar Handguns and Accessories On March 19, 1995, following the mandatory 15-day waiting period, defendant had picked up the two Firestar .45-caliber handguns he had purchased. The registered serial numbers were the same as the numbers on the boxes found at his home. Defendant also purchased two holsters that could be worn inside pants and two magazines that allowed for one additional bullet in each magazine. The store owner testified the Firestar had only been on the market a few months and “would carry the greatest power—most powerful bullet for its size.” He said that handgun was designed to be concealable. He also identified bullets seized from defendant’s residence as containing Federal brand .45-automatic hydroshock hollowpoint cartridges, designed to expand upon impact. f. Testimony of Defendant’s Sister, Shana Doolin Defendant’s sister, Shana Doolin, testified that she, her mother, and her stepfather were living with defendant when the shootings occurred. She bought the Lorcin .25-caliber handgun retrieved by police. It jammed occasionally. Shana gave her gun to defendant in mid-July 1995 because he said “one of our relatives needed it.” She claimed at trial that defendant returned the gun to her in mid-August 1995. She admitted that she testified at defendant’s preliminary hearing that he returned the gun in early September 1995. g. Ballistics Evidence Before defendant was arrested, Criminalist Stephen O’Clair examined a .45-caliber shell casing found near Espinoza’s body and seven shell casings found at the Kachman crime scene. He concluded they were all fired from the same gun. O’Clair also concluded these shell casings “most likely” contained Federal brand hydroshock hollowpoint bullets. O’Clair later compared bullets test fired from the .45-caliber Firestar retrieved from Bill Moses (the second Firestar) with rounds recovered from the Espinoza crime scene and Tucker’s body. Both bullets were fired from the second Firestar that defendant initially failed to mention to the detectives. O’Clair determined these bullets were “probably” Federal brand hydroshock hollowpoint bullets. O’Clair also test fired Shana Doolin’s .25-caliber Lorcin and compared the characteristics of the spent shell casings with the shell casings found at the Alva crime scene. He concluded the casings recovered from the Alva scene were “probably” fired from that gun. O’Clair explained that a defect in the Lorcin left “gross types of marks” rather than “finer striated marks” on spent casings. This defect precluded a positive match of the shell casings. Criminalist Charles Morton also examined Shana Doolin’s Lorcin and the second Firestar. He test fired each and compared bullets and shell casings from those weapons with those found at the Espinoza, Kachman, and Alva scenes and the bullet recovered from Tucker’s body. Morton concluded the shell casings found at the Espinoza and Kachman scenes were fired by the second Firestar. The Espinoza and Tucker bullets were also fired from that gun. Morton agreed with O’Clair that a .25-caliber weapon like Shana Doolin’s was used in the Alva shooting. He explained that the number of guns that could have been used in this shooting “probably” could be reduced based on irregularities he observed on the Alva scene shell casings that were caused by imperfections on the breech face of the gun that fired those casings. h. Tire Tread Evidence O’Clair examined, made impressions, and created photographic transparencies of the tires on defendant’s truck. He compared these transparencies with actual size photographs of the tire tracks found at the Mendibles and Espinoza crime scenes. Except for differences in tread wear that could have resulted from the passage of time, the tire impressions from both crime scenes were similar to the tread on both front tires and the right rear tire on defendant’s truck. The left rear tire of defendant’s truck had a different tread design and appeared to be newer than the other three tires. O’Clair examined what he described as “fairly new tires” on the Lincoln belonging to defendant’s mother. The tread on these tires did not match the tire impressions found at the Tucker murder scene. 2. The Defense Case a. Defendant’s Testimony Defendant testified he did not know the two decedents and first saw the surviving victims when they appeared in court. He claimed that when the Alva and Cruz assaults occurred, he was in Watsonville and Wasco, respectively. On the night of the Hendibles and Espinoza shootings, defendant helped his family pack for an upcoming move. Around 2:45 or 3:00 a.m., he drove to David Daggs’s house to unload two motorcycles. He left around 4:30 a.m. and returned home about an hour later after stopping at a gas station. Daggs began his newspaper delivery route around 4:30 a.m. Defendant could not explain why his mother wrote in her journal that he left the house that morning around 2:00 a.m. On the night of August 10, 1995, through the early morning hours of August 11, 1995, when Kachman was shot, defendant was at home with his mother and cleaned the house in anticipation of listing it for sale. During the night of the Tucker murder, he was at his mother’s house. He did not “remember ever going out or doing anything special.” He confirmed his mother’s Lincoln was at that residence. He described himself as a gun collector who used ammunition of different types, including hollowpoints. He described the latter as “made to expand, double its size” upon impact and more accurate than “a full metal projectile” at short ranges. Defendant denied watching the Pro Sniper video found at his home. He bought matching .45-caliber Firestar handguns because he is ambidextrous. He could not explain what had happened to 18 hydroshock hollowpoint bullets missing from a box of Federal brand bullets found at his home. He suggested his cousin Bill Moses might be responsible for the shootings but acknowledged that there are “still a lot of unanswered questions, of course, . . . some that are positive and some that are negative” about Moses’s possible involvement. b. Defense Psychiatrist Dr. Howard Terrell Dr. Howard Terrell, a psychiatrist, testified that defense counsel initially had asked him to evaluate defendant and review the police reports. Dr. Terrell concluded, “I found a man who showed no evidence that I could see of mental disorder, either in my examination of him or my review of the [police reports] that I have available.” The psychiatrist found no evidence of psychosis, manic depression, drug addiction, personality disorders, or sadism. Dr. Terrell had evaluated over 100 murderers and probably a dozen serial killers during his career. In his opinion, defendant did not match any of the “typical profiles” he would expect to see in a murderer, “let alone a serial killer.” c. Alibi Witnesses James Bacon testified that he had known defendant since 1985 or 1986. On November 2, 1994, the night of the Alva assault, defendant was visiting him in Freedom, California. Bacon was not certain but thought defendant left for Fresno on Friday, November 5, 1994. Defendant also stayed with Bacon in late July 1995, and returned to Fresno on the afternoon of July 28, 1995, with two motorcycles in his truck. On cross-examination, Bacon admitted he attended the preliminary hearing, listened to witnesses testify, and took notes. Bacon had compared these notes with those taken by defendant’s sister, Shana Doolin. He had also looked at notes taken by defendant’s mother. David Daggs testified that from December 1994 to September 1995, he dated Shana Doolin. Around 3:30 a.m. on July 29, 1995,* the morning of the Hendibles and Espinoza shootings, defendant came to his residence and unloaded motorcycles from his truck. Defendant finished before Daggs began his newspaper route at 5:00 a.m. According to Daggs, Shana told him that defendant had purchased the Lorcin for her. Defendant’s mother, Donna Doolin Larsen, testified that defendant watched television in his bedroom the night of the Kachman shooting, and did not leave the house. On cross-examination, when pressed on whether she actually remembered him being at home that evening, Larsen said, “I know he was. I will go to my death saying that he was at home on that date.” Regarding the night of the Tucker murder, Larsen testified defendant was home and left once from about 11:00 p.m. to 11:30 p.m. to buy her ice cream, cleaning supplies, and gasoline. She and defendant cleaned her house “for hours” that night, to prepare for a real estate showing. On cross-examination, Larsen invoked her Fifth Amendment privilege against self-incrimination when asked several questions about her character for honesty and whether she had ever falsely represented herself as a registered nurse or submitted false documents at her place of employment. Bill Moses testified he received the second Firestar from defendant on September 1, 1995. He remembered the date because it was his father’s birthday and he helped pack Shana Doolin’s moving truck that evening. Moses stated he was mistaken when he told Detective Rose that he had gotten the gun during the last week of September or the first week of October 1995. He explained he had been suffering from the side effects of a chemotherapy drug that can cause amnesia. Defendant unloaded hollowpoint bullets from the gun before giving it to Moses, who owned three handguns himself. He acknowledged that Tucker was murdered on September 19, 1995, and said he understood the implications of his claim that he had defendant’s gun on that date. Moses further testified that he and defendant once took Shana Doolin’s Lorcin without her knowledge. He had borrowed this handgun from defendant from the end of July 1995 until August 18, 1995. 3. Prosecution’s Rebuttal Witnesses The prosecution presented numerous rebuttal witnesses whose testimony is discussed in part H.C.2., below. B. Penalty Phase 1. The Prosecution Case Dana Peterson, a registered nurse, assisted in a sexual assault examination of D. on November 3, 1992. D. had a fresh bruise on her right lower leg, which she claimed she had sustained in a struggle with defendant. Criminalist John Hamman testified as a ballistics expert. Hamman stated a hollowpoint bullet is designed to “mushroom or expand” upon impact and make almost twice as large a “wound track” through the body, causing more damage. Angel C., the 16-year-old daughter of murder victim Inez Espinoza, testified she and her two half brothers (ages nine and six) and a half sister (age three) all missed their mother. She testified that in losing her mother, she lost “a big part of my life.” Nina Mandrell, the sister of murder victim Peggy Tucker, testified Tucker was survived by her mother, two sisters, a brother, a husband, and two children ages five and three. She and Tucker were very close. Tucker’s murder had been devastating to her. 2. The Defense Case Allan Hedberg, a clinical psychologist, interviewed and tested defendant for eight and a half hours the week before the penalty phase began. Dr. Hedberg found defendant did not fit the profile of a person who is psychotic, mentally ill, psychopathic, or sociopathic. He described defendant as a “little paranoid” and having “some unresolved resentment from his childhood that he has not worked out,” causing him feelings of sadness, mild depression, anxiety, or hostility. Dr. Hedberg also found defendant to be a person “who has difficulty dealing with conflict, dealing with threat, dealing with anger, dealing with feelings of resentment and wants to be seen as favorable by other people, wants to be accepted by other people. . . .” Dr. Hedberg stated that defendant’s mother had been married four times and that defendant, who suffered from a learning disability, had been verbally and emotionally abused by two of his stepfathers. Based on his observations, Dr. Hedberg said defendant appeared to have “adjusted quite well” to the jail environment, interacting positively with guards and inmates. II. Guilt Phase Issues A. Alleged Conflict of Interest Based on Counsel’s Compensation Agreement “Representation of a criminal defendant entails certain basic duties. Counsel’s function is to assist the defendant, and hence counsel owes the client a duty of loyalty, a duty to avoid conflicts of interest.” (Strickland v. Washington (1984) 466 U.S. 668, 688 [80 L.Ed.2d 674, 104 S.Ct. 2052] (Strickland).) Fundamental to counsel’s role is “a duty to make reasonable investigations or to make a reasonable decision that makes particular investigations unnecessary.” (Id. at p. 691.) In this case, defendant contends Fresno County Superior Court’s compensation agreement created an inherent and irreconcilable conflict of interest because both counsel’s compensation and the costs for investigative and expert services were covered by a lump sum fee. Defendant asserts this circumstance created a financial disincentive for counsel to adequately investigate and prepare his case. Any such agreement, he argues, creates a conflict requiring reversal under the judicially declared rule of People v. Barboza (1981) 29 Cal.3d 375 [173 Cal.Rptr. 458, 627 P.2d 188] (Barboza). In the alternative, defendant contends the fee agreement violated his state and federal constitutional rights to conflict-free counsel as well as his federal constitutional rights to equal protection, due process, and a reliable verdict. Each of defendant’s contentions is without merit. 1. The Terms of Counsel’s Compensation Agreement At the time of defendant’s trial, Fresno County Superior Court’s policies for capital cases provided for three categories of compensation depending on the complexity of the case. Appointed counsel were paid a lump sum, as follows; $40,000 for a noncomplex case with one defendant and one victim; $60,000 for a case involving multiple victims or defendants, complicated special circumstances, or complex factual or legal issues; and $80,000 for a case involving multiple victims or defendants, highly unusual publicity, complicated special circumstances, or complex factual or legal issues (Category 3 cases). The lump sum amount covered all attorney fees as well as costs for ancillary services under section 987.9. Under these agreements, appointed counsel received periodic payments throughout the pendency of the case. Upon written justification, appointed counsel could obtain additional “Category fees” for cases that received extensive publicity or that involved numerous victims or crimes. As the case progressed, appointed counsel could request additional funding for expenditures under section 987.9. The agreement here provided that investigative and expert costs were included in the authorized Category 3 compensation of $80,000, unless additional amounts were authorized by the Capital Case Review Committee. Thus, the agreement provided for the express authorization of increased expenditures. Based on the record, it appears the capital case compensation system operated in the following way. Upon appointment, private counsel would make an initial evaluation of the case by rating its complexity and projecting the kind and extent of ancillary services that might be required. Based on this evaluation the court would determine what category of compensation to authorize. Counsel could then agree, or not, to accept appointment under the court-approved category. Under both the agreement and section 987.9, counsel could seek additional funds for ancillary services upon a showing of need. Here, in connection with his appointment, counsel proposed that defendant’s case be designated as a Category 3 matter, calling for the highest compensation rate. He outlined an estimated $60,000 in investigative and expert costs in a two-page attachment. He made clear his outlined costs were merely estimates. He stated he could not set out fixed costs “in cold dollar amounts” at so early a stage of the proceedings and explained why. As discussed in greater detail below, he identified a number of potential expenditures that ultimately were not required. After defendant’s trial, counsel submitted a final accounting. According to that accounting, counsel received $80,000. Of that amount, $8,676.15 was to cover ancillary costs under section 987.9. The amount of ancillary costs included a “professional courtesy discount” of $780. It does not include expenditures of $2,272.88 paid to the public defender before he declared a conflict in this case. 2. Assertedly Invalid Compensation Agreement Defendant relies primarily on Barboza, supra, 29 Cal.3d 375, in arguing this judgment should be reversed because counsel’s lump sum compensation agreement inherently created an irreconcilable conflict of interest. His reliance fails. In Barboza, two codefendant brothers appealed their assault convictions claiming ineffective assistance of counsel due to conflict of interest. Both were represented by the county public defender’s office. Under an agreement with the county, the public defender’s office was to be paid $104,000 annually. From that amount, $15,000 was set aside in a reserve account to pay appointed private counsel if the public defender’s office declared a conflict of interest. On a monthly basis, any deficiency in the reserve account was deducted from the public defender’s compensation and budget and deposited in the reserve account. (Id. at p. 378.) At the end of the year, any unexpended funds from the reserve account were paid to the public defender. If the account was overspent, “the public defender was liable for any deficiency.” (Id. at p. 379.) The court held that as a “ ‘judicially declared rule of criminal procedure’ ” the fee agreement created an inherent and irreconcilable conflict of interest that required reversal of the codefendants’ convictions. (Barboza, supra, 29 Cal.3d at p. 381.) The agreement created a “real and insoluble tension” between the public defender’s duty to investigate and declare a conflict on the one hand and his interest in maximizing his office budget on the other. (Id. at pp. 380-381.) The fewer conflicts declared, the fewer demands on the reserve account, leaving more income and operating funds for the public defender. Notably, the court in Barboza did not reach the question of whether, even in the absence of the fee agreement, there was an actual conflict of interest between the codefendants. (Barboza, supra, 29 Cal.3d at p. 381.) Relief was based on the judicially created procedural rule. In the court’s view, the public defender’s declaration of a conflict would directly affect the financial interests of that office. In such a circumstance, the potential for bias was neither remote nor tenuous. (Id. at p. 380.) The court acknowledged that in order to assure that joint representation of multiple defendants is conflict free, trial courts rely in large measure on the ethical obligations of counsel representing multiple defendants to declare conflicts. (Id. at pp. 378, 381.) The agreement in Barboza precluded such reliance on the public defender’s conflict determinations, however, because, “[n]o matter how well-intentioned the public defender might [have] be[en],” his decisions “directly affected” his income and office budget. (Id. at p. 381.) We emphasize, however, that the agreement in Barboza operated in the context of multiple representation cases, a situation rife with potential for conflicts. (See People v. Mroczko (1983) 35 Cal.3d 86, 103-104 [197 Cal.Rptr. 52, 672 P.2d 835] (Mroczko).) Barboza specifically concerned the public defender’s duty to investigate and declare conflicts between multiple defendants. Even in this context, the court stressed the unique circumstances of the conflict confronting the public defender. “Unlike the typical conflict which may arise when single counsel represents multiple defendants, the initial conflict [in Barboza] arose the moment that the public defender was appointed to represent the two defendants.” (Barboza, supra, 29 Cal.3d at p. 379, italics added.) He was immediately confronted with investigating and discovering any conflict existing between the defendants as well as maintaining his salary and office budget. (Ibid.) This case is clearly distinguishable from Barboza. The agreement concerned appointed counsel’s representation of defendant alone and thus did not exacerbate a situation in which conflicts already were inherent. To be sure, defendant’s complaint ultimately concerns the impact of an asserted financial disincentive created by the fee agreement on counsel’s performance at trial. Barboza, however, confronted a very different kind of problem involving the public defender’s duty to declare conflicts of interest in multiple representation cases. The county’s compensation agreement with the public defender related to his salary, office budget, and payment for alternate counsel appointed in conflicts cases. The court’s chief concern was that the public defender’s determinations about whether to remove that office from a case were affected by the actual conflict of interest created by the agreement. (Barboza, supra, 29 Cal.3d at pp. 380-381.) The court’s inability to rely on the public defender’s conflict determinations could impact its ultimate obligation to assure indigent defendants conflict-free representation. Nothing in Barboza suggests that there was a provision for the public defender to apply for augmentation to his budget. Defendant accurately argues that under the agreement his lawyer could maximize his own compensation by cutting expenses for investigative and expert services. This theoretical possibility, however, is qualitatively no different from other flat fee agreements that have been held acceptable. For example, in People v. Knight (1987) 194 Cal.App.3d 337, 346-348 [239 Cal.Rptr. 413], the Court of Appeal rejected a contention that the county’s compensation agreement with private attorneys for representation of indigent defendants contained an inherent conflict of interest because it paid a flat fee whether the defendant pleaded guilty or went to trial, permitted attorneys to engage in private practice, and limited the amount of investigators’ fees. The court declined to hold that the provisions presented a potential conflict of interest that led to impairment of counsel’s representation. (Id. at p. 348.) Similarly, in Phillips v. Seely (1974) 43 Cal.App.3d 104, 117 [117 Cal.Rptr. 863], the Court of Appeal concluded a county’s flat fee agreement with an attorney for daily representation of indigent defendants that included investigative costs in the attorney’s monthly fee did not give rise to a conflict of interest. We have observed that: “ ‘[A]lmost any fee arrangement between attorney and client may give rise to a “conflict.” An attorney who received a flat fee in advance would have a “conflicting interest” to dispose of the case as quickly as possible, to the client’s disadvantage; and an attorney employed at a daily or hourly rate would have a “conflicting interest” to drag the case on beyond the point of maximum benefit to the client. [][] The contingent fee contract so common in civil litigation creates a “conflict” when either the attorney or the client needs a quick settlement while the other’s interest would be better served by pressing on in the hope of a greater recovery. The variants of this kind of “conflict” are infinite. Fortunately most attorneys serve their clients honorably despite the opportunity to profit by neglecting or betraying the client’s interest.’ ” (Maxwell v. Superior Court (1982) 30 Cal.3d 606, 618-619, fn. 8 [180 Cal.Rptr. 177, 639 P.2d 248] (Maxwell).) The agreement here permits appointed counsel to responsibly and ethically carry out professional obligations to clients. As with certain contracts described in Maxwell, some attorneys might conceivably take advantage of the agreement’s terms to increase their income at the expense of their clients’ interests. In general, however, we assume attorneys are not so unethical as to neglect their clients’ interests to advance their own. Any such obvious malfeasance is clearly the exception not the rule. In any event, a mere possibility for misconduct is insufficient to invalidate this agreement. (See Phillips v. Seely, supra, 43 Cal.App.3d at p. 117.) For these reasons, we decline to extend Barboza’s judicially declared rule of criminal procedure to Fresno County Superior Court’s lump sum compensation agreement. Accordingly, defendant can prevail on his claim only if he can demonstrate a violation of his constitutional rights. 3. Asserted Conflict of Interest Under the State and Federal Constitutions A criminal defendant is guaranteed the right to the assistance of counsel by the Sixth Amendment to the United States Constitution and article I, section 15 of the California Constitution. This constitutional right includes the correlative right to representation free from any conflict of interest that undermines counsel’s loyalty to his or her client. (See Glasser v. United States (1942) 315 U.S. 60, 69-70 [86 L.Ed. 680, 62 S.Ct. 457] (Glasser); People v. Douglas (1964) 61 Cal.2d 430, 436-439 [38 Cal.Rptr. 884, 392 P.2d 964].) “It has long been held that under both Constitutions, a defendant is deprived of his or her constitutional right to the assistance of counsel in certain circumstances when, despite the physical presence of a defense attorney at trial, that attorney labored under a conflict of interest that compromised his or her loyalty to the defendant.” (People v. Rundle (2008) 43 Cal.4th 76, 168 [74 Cal.Rptr.3d 454, 180 P.3d 224] (Rundle).) “As a general proposition, such conflicts ‘embrace all situations in which an attorney’s loyalty to, or efforts on behalf of, a client are threatened by his responsibilities to another client or a third person or his own interests. [Citation.]’ ” (People v. Cox (1991) 53 Cal.3d 618, 653 [280 Cal.Rptr. 692, 809 P.2d 351], quoting People v. Bonin (1989) 47 Cal.3d 808, 835 [254 Cal.Rptr. 298, 765 P.2d 460].) In this case, defendant claims counsel labored under a financial conflict of interest in violation of his federal and state constitutional rights. In Mickens v. Taylor (2002) 535 U.S. 162 [152 L.Ed.2d 291, 122 S.Ct. 1237] (Mickens), the high court confirmed that claims of Sixth Amendment violation based on conflicts of interest are a category of ineffective assistance of counsel claims that, under Strickland, supra, 466 U.S. at page 694, generally require a defendant to show (1) counsel’s deficient performance, and (2) a reasonable probability that, absent counsel’s deficiencies, the result of the proceeding would have been different. (Rundle, supra, 43 Cal.4th at p. 169, citing Mickens, supra, 535 U.S. at p. 166.) In the context of a conflict of interest claim, deficient performance is demonstrated by a showing that defense counsel labored under an actual conflict of interest “that affected counsel’s performance—as opposed to a mere theoretical division of loyalties.” (Mickens, supra, 535 U.S. at p. 171; see Rundle, supra, 43 Cal.4th at p. 169.) “[I]nquiry into actual conflict [does not require] something separate and apart from adverse effect.” (Mickens, supra, 535 U.S. at p. 172, fn. 5.) “An ‘actual conflict,’ for Sixth Amendment purposes, is a conflict of interest that adversely affects counsel’s performance.” (Ibid.) This court has suggested that a determination of whether counsel’s performance was “adversely affected” under the federal standard “requires an inquiry into whether counsel ‘pulled his punches,’ i.e., whether counsel failed to represent defendant as vigorously as he might have, had there been no conflict. [Citation.] In undertaking such an inquiry, we are . . . bound by the record. But where a conflict of interest causes an attorney not to do something, the record may not reflect such an omission. We must therefore examine the record to determine (i) whether arguments or actions omitted would likely have been made by counsel who did not have a conflict of interest, and (ii) whether there may have been a tactical reason (other than the asserted conflict of interest) that might have caused any such omission.” (People v. Cox (2003) 30 Cal.4th 916, 948-949 [135 Cal.Rptr.2d 272, 70 P.3d 277], italics omitted.) With regard to the prejudice requirement, the high court has recognized a presumption of prejudice applies when defense counsel “actively represented conflicting interests.” (Mickens, supra, 535 U.S. at p. 166.) It stressed “the high probability of prejudice arising from multiple concurrent representation, and the difficulty of proving that prejudice” justified application of the presumption. (Mickens, at p. 175, citing Cuyler v. Sullivan (1980) 446 U.S. 335, 348-349 [64 L.Ed.2d 333, 100 S.Ct. 1708] (Sullivan); Holloway, supra, 435 U.S. at pp. 490-491.) We have agreed with the high court that “the presumption of prejudice is a prophylactic measure established to address ‘situations where Strickland itself is evidently inadequate to assure vindication of the defendant’s Sixth Amendment right to counsel.’ ” (Rundle, supra, 43 Cal.4th at p. 173, quoting Mickens, supra, 535 U.S. at p. 176.) In this case, defendant contends that his Sixth Amendment right to counsel was violated because counsel labored under an actual conflict of interest arising from counsel’s compensation agreement. That is, his conflict of interest claim arose not because of a conflict among clients but between his lawyer’s interest in maximizing fees and defendant’s interest in full investigation. He urges the compensation agreement created an actual conflict of interest that divided counsel’s loyalties and adversely affected his performance. In support, defendant asserts numerous deficiencies by counsel as part of his federal constitutional claim, state constitutional claim, or both. As discussed below, we adopt the federal constitutional standard for evaluating claims of conflict of interest under our state Constitution and thus analyze defendant’s claims under only the federal standard. Under our state Constitution, the right to counsel includes the correlative right to conflict-free representation. (People v. Douglas, supra, 61 Cal.2d at pp. 436-439.) We have formulated a different standard of review of conflict of interest claims than that employed under federal law to analyze analogous Sixth Amendment claims. In order to establish a violation of the right to conflict-free counsel, we require a defendant to (1) show counsel labored under a potential conflict of interest, and (2) raise an informed speculation that the potential conflict adversely affected counsel’s performance. (Rundle, supra, 43 Cal.4th at p. 175.) The phrase “ ‘informed speculation’ ” was first employed in People v. Chacon (1968) 69 Cal.2d 765, 776, footnote 3 [73 Cal.Rptr. 10, 447 P.2d 106] (Chacon). We borrowed the informed speculation concept from Lollar v. United States (D.C. Cir. 1967) 126 U.S. App.D.C. 200 [376 F.2d 243] (Lollar), to assess prejudice resulting from a conflict of interest arising from counsel’s joint representation of codefendants in violation of the state and federal Constitutions. (Chacon, 69 Cal.2d at p. 776, fn. 3, quoting Lollar, 376 F.2d at p. 247.) The court wrote: “ ‘[0]nly where “ ‘we can find no basis in the record for an informed speculation’ that [the defendant’s rights were prejudicially affected” can the conviction stand.’ ” (Chacon, at p. 776, fn. 3.) Over the course of the ensuing 40 years, a precise definition of our informed speculation concept has proven elusive and the concept has been somewhat variously applied. (Compare Chacon, supra, 69 Cal.2d at p. 776, fn. 3 [equating the concept of informed speculation in assessing prejudice resulting from a conflict of interest with the reasonable doubt standard under Chapman] and In re Watson (1972) 6 Cal.3d 831, 845 [100 Cal.Rptr. 720, 494 P.2d 1264] [finding “no basis in the record for even an ‘informed speculation’ that petitioner’s rights were prejudicially affected”; any conflict based on counsel’s joint representation was harmless beyond a reasonable doubt] with People v. Cook (1975) 13 Cal.3d 663, 670 [119 Cal.Rptr. 500, 532 P.2d 148] [a denial of the right to effective assistance of counsel is shown “if the record provides an adequate basis for an ‘informed speculation’ that there was a potential conflict of interest which prejudicially affected the defendant’s right to effective counsel”], Mroczko, supra, 35 Cal.3d at p. 105 [“even a potential conflict may require reversal if the record supports ‘an informed speculation’ that [the defendant]’s right to effective representation was prejudicially affected”], People v. Frye (1998) 18 Cal.4th 894, 998 [77 Cal.Rptr.2d 25, 959 P.2d 183] [a violation of the right to effective assistance of counsel is established if “the record supports an ‘informed speculation’ that the asserted conflict adversely affected counsel’s performance”], and Rundle, 43 Cal.4th at p. 175 [“under the state Constitution we have required only that the record support an ‘informed speculation’ that a ‘potential conflict of interest’ impaired the defendant’s right to effective assistance of counsel”].) Moreover, contrary to defendant’s assertions, although this court has applied a presumption of prejudice to conflicts of interest arising from an attorney’s concurrent representation of adverse clients (Rundle, supra, 43 Cal.4th at p. 172, citing People v. Easley (1988) 46 Cal.3d 712 [250 Cal.Rptr. 855, 759 P.2d 490]; Mroczko, supra, 35 Cal.3d 86; Chacon, supra, 69 Cal.2d 765), we have never eliminated our general requirement that a defendant demonstrate outcome-determinative prejudice from a violation of his state constitutional right to conflict-free counsel in order to obtain relief. “[A]ll trial court error under California law is governed by article VI, section 13 of the California Constitution: ‘No judgment shall be set aside, or new trial granted, in any cause, on the ground of misdirection of the jury, or of the improper admission or rejection of evidence, ... or for any error as to any matter of procedure, unless, after an examination of the entire cause, including the evidence, the court shall be of the opinion that the error complained of has resulted in a miscarriage of justice.’ ” (People v. Crayton (2002) 28 Cal.4th 346, 364 [121 Cal.Rptr.2d 580, 48 P.3d 1136].) “[A] ‘miscarriage of justice’ should be declared only when the court, ‘after an examination of the entire cause, including the evidence,’ is of the ‘opinion’ that it is reasonably probable that a result more favorable to the appealing party would have been reached in the absence of the error.” (People v. Watson (1956) 46 Cal.2d 818, 836 [299 P.2d 243]; see Rundle, supra, 43 Cal.4th at pp. 175-176 [defendant failed to demonstrate under the state constitutional standard that he was prejudiced by the conflict of interest, which did not impact the presentation of the defense case].) As noted, post -Strickland, the high court’s analysis of Sixth Amendment conflict of interest claims has evolved into one of ineffective assistance of counsel, which requires a defendant to show counsel’s deficient performance and a reasonable probability that but for counsel’s deficiencies, the result of the proceeding would have been different. (Rundle, supra, 43 Cal.4th at p. 169, citing Mickens, supra, 535 U.S. at p. 166.) Upon close examination of the federal standard and our own, we discern no ultimate substantive difference between the two. Our elusive and somewhat varied application of our state standard over the past four decades, moreover, strongly suggests that our informed speculation formulation is too amorphous to provide meaningful guidance to either the bench or bar. We therefore conclude that employing both standards is unnecessary and confusing. In the final analysis, both standards involve a consideration of prejudice in the outcome. The federal constitutional approach zealously protects a criminal defendant’s constitutional right to conflict-free counsel. The federal articulation of the constitutional requirements is clear and provides a more meaningful framework for review. Today, we therefore harmonize California conflict of interest jurisprudence with that of the United States Supreme Court and adopt the standard set out in Mickens. Accordingly, we reject defendant’s state conflict of interest claim for the reasons stated below in our federal analysis. We disapprove those, earlier cases to the extent that they can be read to hold that attorney conflict claims under the California Constitution are to be analyzed under a standard different from that articulated by the United States Supreme Court. As a preliminary observation applicable to each of the subclaims below, counsel’s final accounting shows he spent a total of $8,676.15 in ancillary expenses. Although the amount does not include funds expended by the public defender, or take into account the professional discount for services, it is certainly less than the original $60,000 estimate. Counsel was therefore entitled to retain $71,323.85 of the $80,000 Category 3 fee. We consider these disparities in the context of the facts and the asserted deficiencies in counsel’s performance to determine whether an actual conflict of interest adversely affected counsel’s representation. (Mickens, supra, 535 U.S. at p. 172, fn. 5.) In any circumstance in which defendant succeeds in demonstrating an actual conflict affected counsel’s performance, we will then address the prejudice prong of the federal standard, applying the standard under Strickland. We note that defendant’s reliance on these facts is different from a general attack on the contract itself. Rather than arguing that any lawyer operating under the contract would have an irreconcilable conflict, defendant argues that these facts show that his lawyer had an actual conflict of interest that affected his performance. a. Investigator Jeff Gunn and prospective prosecution penalty phase witnesses Defendant asserts that defense investigator Jeff Gunn’s invoices show he worked only 13.5 hours before counsel announced ready for trial; had spoken to no alibi witnesses except Donna Doolin Larsen by the first day of trial; had not prepared written reports on alibi witnesses Jim Bacon and David Daggs until two days before the defense case opened; and never contacted prospective prosecution penalty phase witnesses D., Denise Hamblen, Faith Ruacho, or Florence April Chavez. (1) Alibi witnesses Jim Bacon and David Daggs Defendant’s complaint is misleading. He fails to mention that Gunn had originally worked on this case for about two and one-half months as the investigator for the Fresno County Public Defender and had conducted approximately 90 hours of investigation before the public defender declared a conflict. Defendant does not account for this work nor does he establish that Gunn did not interview Bacon and Daggs when he worked for the public defender. Moreover, it is certainly possible that Gunn interviewed Bacon and Daggs while working for the public defender but did not complete his reports of these two interviews until later. Even considering the disparity between counsel’s estimated and actual ancillary expenses noted above, defendant has not established that either Gunn’s performance or counsel’s representation, was affected by the asserted conflict. He therefore fails to satisfy the deficient performance prong under Strickland. (Mickens, supra, 535 U.S. at p. 171.) (2) Prospective prosecution penalty phase witnesses By statute, before trial begins, the prosecutor must give a capital defendant notice of any aggravating evidence it may seek to offer during the penalty phase. (§ 190.3.) The prosecution’s notice included evidence of “aggressive conduct” toward prospective witnesses D., Hamblen, Ruacho, and Chavez. Ruacho did not testify at all. The other three women were not identified as witnesses for the prosecutor’s case-in-chief. They testified only at the guilt phase in rebuttal to Dr. Terrell’s testimony that defendant suffered from no mental disorder and did not match the “typical profiles” he would have expected to see in a murderer (Evid. Code, §§ 721, subd. (a), 780), and to impeach defendant’s testimony regarding his own good character (Evid. Code, § 1101, subd. (c)). D. testified, in part, that defendant forced her to have sexual intercourse with him. The jury was instructed at the penalty phase that it could consider this evidence as aggravating other-crimes evidence under section 190.3, factor (b). Counsel’s primary “duty is to investigate the facts of his client’s case and to research the law applicable to those facts.” (People v. Ledesma (1987) 43 Cal.3d 171, 222 [233 Cal.Rptr. 404, 729 P.2d 839].) Counsel’s decisions regarding strategy and tactics must be rational and “ ‘founded upon adequate investigation and preparation.’ ” (In re Thomas (2006) 37 Cal.4th 1249, 1258 [39 Cal.Rptr.3d 845, 129 P.3d 49].) There is no discemable tactical explanation on the record for counsel’s failure to investigate the prospective prosecution penalty phase witnesses. Unconflicted counsel reasonably would investigate the prosecution’s aggravating evidence both to make informed tactical decisions and to advise defendant about whether to testify. Our inquiry does not end here, however. Defendant has not established that counsel’s failure to interview these witnesses was motivated by his asserted desire to keep for himself funds initially budgeted for this investigation. It does not follow logically that the absence of an explanation discemable in the record for the absence of interviews can be attributed only to the financial conflict defendant urges. Explanations unrelated to counsel’s fee agreement could account for counsel’s omission. Counsel may have delayed conducting this investigation until after the guilt phase in anticipation that these witnesses would testify only at the penalty phase. The record shows that, with the exception of Ruacho who did not testify, the prosecutor called the prospective witnesses listed on the notice of aggravating evidence only in rebuttal after defendant presented evidence of his good character. In any event, we do not conclude that the only explanation for counsel’s failure to investigate the prospective prosecution rebuttal witnesses is the asserted conflict of interest. Defendant therefore fails to show the asserted conflict adversely affected counsel’s performance regarding this investigation. b. Ballistics analysis Defendant complains that the defense ballistics expert did not analyze the evidence until four days before the guilt phase of the trial began. Any delay, for whatever reason, is immaterial. The analysis was completed before trial. The defense expert agreed with the two prosecution experts. Defendant’s .45-caliber Firestar was used to kill Tucker and Espinoza, and shell casings found near Espinoza and Kachman were fired from that same gun. The casings recovered from the Alva crime scene could have been fired from Shana Doolin’s Lorcin. Defendant’s bare assertion fails to satisfy the deficient performance prong under Strickland. c. Blood analysis Defendant claims that defense counsel failed to retain an expert to perform blood analysis even though he included a blood analysis expert in his initial estimate of costs. Merely because defense counsel originally believed he might need expert blood analysis does not establish that he failed to obtain expert assistance because of the asserted conflict. Further, there is no evidence that counsel’s performance was in any way substandard. No evidence suggested the shooter left blood at any of the crime scenes. No blood was found in either defendant’s truck or his mother’s car. The prosecution’s evidence, moreover, provided overwhelming evidence of defendant’s guilt. Ballistics evidence confirmed defendant’s gun was used to shoot Tucker, Espinoza, and Kachman. Each of the four attempted murder victims identified defendant in court as her assailant. Tucker’s boyfriend identified defendant as the driver who picked up Tucker shortly before her murder. Defendant’s sister lived with defendant at the time of the shootings. Her .25-caliber handgun could have been used in the Alva shooting. Under these circumstances, unconflicted counsel could reasonably have decided a blood analysis expert would contribute nothing to the defense. Defendant’s assertions do not show deficient performance under Strickland. d. DNA analysis Defendant complains that defense counsel delayed his request for retesting of DNA evidence obtained from victim Espinoza’s body until after the jury returned its guilty verdicts, and failed to seek DNA analysis of the vaginal samples obtained from D., who testified during guilt phase rebuttal about defendant’s forcible rape. The record, however, belies any reasonable inference that the compensation agreement affected counsel’s decision making about DNA analyses. In responding to defendant’s Marsden motion (People v. Marsden (1970) 2 Cal.3d 118 [84 Cal.Rptr. 156, 465 P.2d 44]) at the sentencing hearing, defense counsel explained that DNA analysis of the semen obtained from victim Espinoza was not relevant. The victims all were working prostitutes. Based on the testimony of the survivors, they were shot because they refused to have sexual intercourse with the shooter unless they were paid first. Three of the women testified there was no act of intercourse with defendant, and during the incident with victim Kachman, defendant wore a condom. Any DNA obtained at the scene or from the victims could certainly have belonged to other customers. There is no hint in this logical explanation that counsel was influenced by a d