Full opinion text
Opinion MORENO, J. On September 4, 1998, a jury convicted Timothy Russell of the murders of Riverside County Sheriff’s Deputies Michael Haugen and James Lehmann (Pen. Code, § 187). The jury found true a sentencing enhancement allegation that defendant had used a rifle during the commission of the murders (§§ 12022.5, subd. (a), 1192.7, subd. (c)(8)); and found true a special circumstance allegation that defendant had intentionally killed Deputies Haugen and Lehmann during the performance of their duties as peace officers (§ 190.2, subd. (a)(7)), and a multiple-murder special-circumstance allegation (§ 190.2, subd. (a)(3)). The first penalty phase resulted in a mistrial. After a penalty retrial, the jury returned a verdict of death. The trial court denied defendant’s motions for a new trial and for modification of the sentence, and sentenced defendant to death on both counts. The court also imposed four-year determinate sentences on both counts for defendant’s personal use of a firearm, to run concurrent with the imposition of the death sentences. This appeal is automatic. (§ 1239, subd. (b).) We affirm the judgment. I. Background A. Guilt Phase 1. Prosecution Evidence Defendant and his wife, Elaine Russell, had a tumultuous and violent relationship. Early in the couple’s relationship, defendant had a particularly violent encounter with his wife in which he threw furniture, ripped the phone cord from the wall, choked his wife, and held a gun to her head. During this incident, defendant told his wife that if she called the police, he would kill both her and the police. In the early morning hours of Friday, January 3, 1997, following the years-long deterioration of the marriage, Elaine confronted defendant with her suspicion that he was using drugs. Defendant and Elaine had both previously used methamphetamine. Elaine asked defendant to leave the house the couple shared with their two children; defendant acquiesced. Defendant spent the rest of that night in the sign shop where he worked and sought the advice of his old friend, Jeffrey Alieva, later that day. Defendant and Alieva had not been in contact recently, although they had formerly been close friends. Alieva testified that defendant appeared sad and concerned and indicated to Alieva that he needed to make changes and get his life in order. Defendant returned the next day and they discussed what defendant needed to do to get his life “back on track.” Defendant left Alieva’s home the evening of January 4, 1997, between 8:00 and 10:00 p.m. A bartender at the Red Barn bar in Palm Desert recalled defendant’s arriving around 10:30 or 11:00 p.m. that same night. Defendant was quiet, drank three or four beers, and left the bar a few hours later. At 2:30 a.m. on January 5, 1997, defendant returned to the home he shared with Elaine, waking his sister-in-law, Beverly Brown, who was staying at the house. He asked Brown if he could talk with her; she agreed. Brown noted that defendant was “a little” intoxicated and appeared angry or disturbed, but defendant’s affect did not cause Brown concern. During his 10-minute conversation with Brown, defendant drank from a large bottle of beer. Brown later testified that defendant became more agitated, raised his voice, made large gestures, and made statements about his wife that Brown viewed as inappropriate. Defendant’s conversation with Brown eventually woke Elaine and the couple’s two children. Elaine emerged from her bedroom and asked defendant to leave, which caused defendant to become more agitated. Elaine left the room briefly; upon her return, defendant kicked her and threw her to the floor. Elaine begged for defendant to leave the house. Defendant finally agreed to leave. He tore the telephone wire out of the wall on his way out, yelling at Elaine and Brown “not to f—k with his job, his life, and not to call the cops.” After defendant left, Elaine quickly went to the house of her neighbors, John and Twilla Gideon, to call the police. Shortly thereafter, defendant returned to his house with an unloaded M-l rifle, asking Brown where the bullets to the gun were located. Brown initially told defendant that she did not know, but after defendant threatened to kill Brown, she relented and told defendant where to find the bullets. Defendant had a history of recreational gun use and was proficient with the guns he owned, which included a .22-caliber Uzi firearm and the M-l rifle. Defendant used the guns in target practice, and was described as a “very good shot.” Defendant threatened to hold Brown hostage because he knew Elaine was calling the police. He said that he would kill Brown if necessary. Defendant walked outside and fired his gun four or five times. Brown testified that defendant came back inside, telling her to get out because the police were on their way and he was “going to kill [the police].” Brown testified that defendant told her to take the kids and run. Brown took the children to the Gideons’ house. Brown noticed a police car arriving as she ran across to the Gideons’ home. She took the children to the safety of the master bedroom at the rear of the Gideons’ home, and shortly she thereafter heard around six shots fired. After the shooting ceased, she and the Gideons crept to the front of the house to see what had happened. They looked through the kitchen window and saw lying in the street the bodies of Riverside County Sheriff’s Deputies Michael Haugen and James Lehmann, who had been dispatched to respond to Elaine’s call. Deputy Lehmann had been shot in the head. Deputy Haugen had been shot in the chest and toe. Both men were dead by the time the next responding officer, Deputy Mark Smith, arrived at the scene. Both still had their weapons bolstered. Following the shooting, defendant ran into the desert; in the morning, between 7:00 and 7:30 a.m., he emerged from the desert and was arrested without incident. Defendant admitted firing shots in the air in front of the deputies, but said that he only shot to “scare” them. Defendant made a number of statements to police concerning the shooting. Defendant first spoke with Senior Detective Eric Spidle the morning of January 5, 1997. Defendant offered to show Detective Spidle where he had dropped his gun, and the two drove into the desert where defendant showed Detective Spidle where he had placed the gun and ammunition. The weapon and other evidence were recovered, and defendant was taken to the Riverside County Sheriff’s station, where his clothing was taken, his blood analyzed, and his body tested for gunshot residue. When defendant was taken into custody, he had no methamphetamine, cocaine, opiates, alcohol or lithium in his blood. He had an injury and blood on the right side of his face. An expert presented testimony that the gunshot residue found on defendant’s hand and face at that time had a “very similar chemical composition” to the residue on the expended cartridges found at the scene of the crime. The gunshot residue found on defendant’s face indicated the gun had been held close to his face when it was being fired. Defendant initially declined to be interviewed, but later changed his mind and gave a videotaped interview after waiving his Miranda rights. (Miranda v. Arizona (1966) 384 U.S. 436 [16 L.Ed.2d 694, 86 S.Ct. 1602].) Defendant spoke at length about his deteriorating relationship with his wife, who had admitted to cheating on defendant and had left the couple’s home with their children. About six months prior to the shootings, Elaine called defendant and asked if she and the children could return to the couple’s home; defendant agreed. Prior to Elaine’s return, defendant had been attending Alcoholics Anonymous meetings and felt like he was “able to handle life”; following Elaine’s return home, defendant began drinking again. Defendant explained that he was intoxicated on the night of the shooting, having consumed about a 12-pack of beer. After fighting with his wife, defendant had left, then returned to his house with his unloaded gun and coerced Brown into giving him the ammunition she and Elaine had hidden. Defendant looked out the window and saw that the police were coming; he thought he was a “dead man” and “just felt it was all over.” Defendant turned the lights off and left the house, hoping he could “sneak past” the officers. He was surprised that he could see the silhouettes of the officers, and was concerned that they could also see him. Defendant planned to fire shots in front of the officers to “scare ’em off” so that they would “run back the other way.” Defendant fired several shots from a crouched position without sighting through the rifle scope, then ran into the desert. He did not know he had killed the officers until he was told by the interrogating officer. Officers investigating the scene found defendant’s gun in the location he had pointed out, with one live round in it and three magazines lying underneath it. While examining the scene, investigators found two groupings of .30-caliber shell casings around the same location, indicating that four rounds had been discharged at one target and eight rounds had been fired at a second target. Five more shell casings were found in the front yard of defendant’s home. The prosecution presented testimony from a forensic pathologist, who stated that the entrance trajectories of Deputy Lehmann’s and Deputy Haugen’s wounds were inconsistent with a hypothesis that the injuries resulted from ricocheted bullets. The trajectory of the bullet that killed Deputy Lehmann was slightly front to back, left to right, and slightly downward. Deputy Haugen’s wound was consistent with the bullet’s passing through his bulletproof vest before entering his chest, which only high-velocity projectiles are capable of doing. 2. Defense Evidence The defense presented three witnesses during the guilt phase of the trial. Riverside County Sheriff’s Sergeant David Wilson, a forensic supervisor who was at the crime scene when defendant reenacted the shootings, testified that he heard defendant state that he had been running southbound on a dirt road, had seen the deputies walk into the intersection and approach his home, and that he pointed his gun at the ground near the deputies and started shooting. Defendant said that he saw sparks, which might have been his shots ricocheting off the asphalt, and that he did not see the deputies after he fired the shots. Charles Darnell, a retired Army officer with 22 years of service, reviewed defendant’s military record, and testified that defendant, who had been training to be a medic, had received only the basic level of weapons training that all soldiers receive. Defendant had the qualification of “marksman,” the lowest qualification level a soldier could receive, and would have been trained using an M-l6 rifle, rather than an M-l, which was used in the shooting. Darnell, who was familiar with the M-l, testified that the M-l skews to the right when shot by a right-handed person and is not regarded as a sniper weapon, because it lacks the control and accuracy required for sniping. He also stated that the more rapidly shots are fired after the first shot, the less control a shooter has over the M-l. Kneeling or crouching would improve the accuracy of the shooter compared to shooting while standing. Detective Eric Spidle, the prosecution’s investigating officer, testified for the defense that in test-firing the M-l for speed, he expended 12 rounds in 4.85 seconds and 2.9 seconds in two different tests. In a third test, he deliberately fired more slowly, and expended 12 rounds in 10 seconds. The test measured timing, and not accuracy. 3. Rebuttal Evidence The Riverside County Sheriff’s Department tested defendant’s M-l rifle in the condition it was in when received. Twelve shots were fired from a distance of 132 feet, and the rounds hit the target slightly high and to the left. B. First Penalty Phase 1. Prosecution Evidence The prosecution presented victim impact evidence from friends of the deceased officers and members of their families. Deputy Haugen’s wife, Elizabeth, described the devastating effect her husband’s death had on her and their two children, Katy and Stephen. The Haugens’ niece, Jacqueline Mangham, provided more testimony relating to the impact of the death on Elizabeth and Stephen Haugen. Deputy Haugen’s father-in-law, Geoffrey Mangham, stated that his wife grew ill after the funeral as a result of stress surrounding the death. Deputy Lehmann’s wife, Valerie, described the effect of his death on her and their children, six-year-old Ashley and 10-year-old Christopher. Deputy Lehmann’s brother-in-law, James Odam, gave further testimony as to the death’s impact on Christopher, who had become an angry child. 2. Defense Evidence The defense presented several witnesses during the first penalty phase. Gordon Young, a pastor at defendant’s church who had provided counseling to defendant and his wife, testified that defendant had made sincere efforts to reform his life and improve his marriage. Melvin Wachs, who employed defendant as a sign painter, testified that defendant had been one of his best employees. Wachs stated that defendant was generally punctual and got along with the other employees. In the period leading up to the homicides, Wachs testified that defendant seemed indecisive, and he appeared to be reaching out for help. Detective Spidle testified to defendant’s actions at the time of the arrest. Spidle stated that when he told defendant that the deputies were dead, defendant “tilted his head back, closed his eyes, became a little teary-eyed [and his] emotion changed a bit.” He confirmed that he had described defendant in his report as “visibly emotional.” Defendant’s mother, Lucille Williams, gave testimony as to the difficulties defendant faced while growing up. Williams testified that defendant’s father was an alcoholic who died when defendant was 10 years old; Williams’s subsequent husband abused defendant. Defendant behaved poorly while in school, dropped out, and joined the Army at age 17. Williams testified that defendant was “totally changed” and began having mood swings after being the victim of a beating and robbery in which he suffered severe head trauma. Defendant had problems with alcohol after leaving the Army. Williams testified that defendant’s arrest was difficult for her, and that the arrest impacted his children. She stated that she did not believe defendant would intentionally take a life. C. Penalty Retrial With respect to the circumstances of the crime, most of the evidence presented at the penalty phase retrial was the same as the evidence presented during the original guilt phase. At the retrial, however, defendant’s videotaped statements made following the shooting were not played. Instead, Detective Spidle testified about defendant’s statements and his demeanor following the shootings. Additional forensic evidence was presented regarding the test-firing of defendant’s M-l rifle. Forensic scientist Richard Whalley testified that the gun fired five inches high and to the left, and if the gun was not lowered between each shot, the recoil caused the gun to elevate, increasing the angle of each subsequent shot. Mr. Whalley also testified that he conducted firing tests from heights of 32 and 42 inches from the ground, and the expended shell casings fell from the weapon in a 20-inch circle and a 17- to 19-inch circle, respectively. 1. Prosecution Evidence The prosecution again presented evidence regarding the impact of Deputies Haugen’s and Lehmann’s deaths on their friends and family. Deputy Haugen’s wife, Elizabeth, again testified regarding her 15-year relationship with her husband, how hard he had worked to gain acceptance into, and successfully complete, the police academy, and his devotion to his career. Deputy Haugen’s niece also testified for a second time, relaying the contents of a letter Deputy Haugen had sent to her shortly before his death about his experience as a police officer. Elizabeth Haugen learned of her husband’s death from her neighbor, whose husband also worked for the sheriff’s department. Stephen, Deputy Haugen’s 10-year-old son, was very upset following his father’s death; his grades slipped, his behavior became problematic, and eventually he decided to attend a boarding school to avoid being at his house. At the time of the penalty retrial, Stephen had been seeing a psychologist, taking antidepressants, and preferred living at a boarding school to living at his former home. Deputy Lehmann’s wife, Valerie, also testified again about her over-20year relationship with her husband and the devastating impact of his death on her and their two children. Upon learning of her husband’s death, Valerie became hysterical, called her family for help, and ran to a neighbor’s house seeking assistance. When she returned to her home a short while later, she found her children hysterical after they had been told that their father was dead. Christopher, Deputy Lehmann’s 10-year-old son, became an angry and agitated child following his father’s death, and began having seizures shortly after his father’s death. Ashley, Deputy Lehmann’s six-year-old daughter, also became a very emotional child following her father’s death and would not mention his name. 2. Defense Evidence The defense presented evidence from Edward Verde, M.D., of the Veterans Administration medical center, who had no recollection of defendant but testified regarding his medical records. Dr. Verde testified that defendant was diagnosed with drug and alcohol dependence in 1984, and was treated, off and on, for a period of five months. Defendant failed to complete an addiction treatment program during that time. He returned to the hospital for treatment in August 1984, but was not admitted. For a three-month period between November 1986 and January 1987, defendant again attempted to, but did not, complete an addiction treatment program at the hospital. In March and April 1996, defendant returned to the Veterans Administration medical center, where he was diagnosed with amphetamine, alcohol, and marijuana dependency. Defendant complained of “feeling agitated” and having mood swings. Defendant was prescribed a low dose of lithium to control his mood swings, but failure to take the lithium would not have caused any adverse effects in light of the low dosage and brief duration of use. Defendant’s chart indicated that he had had “homicidal ideations towards people who had betrayed him, but displayed no definite [plans]. He also displayed impulsivity—a lack of planning.” Jeffrey Alieva, who originally testified for the prosecution, testified for defendant at the penalty phase retrial. Alieva’s testimony, concerning defendant’s demeanor in the days leading up to the shootings, did not deviate from his previous testimony. Defendant’s previous employer, David Wakefield, testified that defendant was a normal, trustworthy employee. Wakefield testified that Elaine Russell had a verbal altercation with defendant while he was at work, and defendant called shortly thereafter and quit. Defendant’s employer at the time of the shooting, Melvin Wachs, testified again on defendant’s behalf, providing much the same" testimony as he did at the first penalty phase trial. On the Friday before the shootings, while discussing his marital problems, defendant mentioned that he felt as though his wife had been putting “speed” in his coffee. Defendant’s mother testified on defendant’s behalf at the second penalty phase trial; her testimony was consistent with her earlier statements. Pastor Gordon Young again testified on defendant’s behalf, largely reiterating his earlier testimony, and adding that once defendant gave Pastor Young an Army rifle for safekeeping. Pastor Young also stated that he felt defendant made himself look better during counseling sessions by “fudging” the truth. Detective Spidle offered testimony regarding defendant’s statements to police following the shootings. Detective Spidle testified that defendant became “a little teary eyed” upon learning that Deputies Lehmann and Haugen were dead. Detective Spidle testified concerning the extent of defendant’s cooperation with police—that defendant showed police the location where he had dropped the rifle, and agreed to be interviewed at the scene and at the police station. Detective Spidle stated that defendant was cooperative, and appeared regretful. II. Discussion A. Guilt Phase 1. Alleged Instructional Error on Lying in Wait as Theory of Murder Defendant alleges that the trial court erroneously instructed the jury on the lying-in-wait theory of murder. He further alleges that the prosecutor improperly suggested that the jury could convict defendant of first degree murder based upon a lying-in-wait theory even if the jury believed defendant’s account of the facts, which showed that no substantial period of Watching and waiting occurred prior to the shooting. Defendant claims the prosecutor’s suggestion, coupled with instructional error, violated defendant’s rights to due process and a fair trial under the state and federal Constitutions. Defendant suggests his conviction is based potentially upon an erroneous theory of murder and must be reversed because it cannot be determined whether the jury relied on a legally adequate or inadequate theory to convict him of first degree murder. During his interviews with Detective Spidle following the shootings, defendant explained that he saw the officers approaching, “saw the silhouette of them, and I thought well if I shoot in front of [them] . . . they’ll run back the other way.” Defendant then claims he “took off’ running. When pressed later in the interview regarding the circumstances surrounding the shooting, defendant explained that his initial plan was to sneak past the officers. Defendant revised his plan when he realized he could see the officers and became concerned that they could also see him. Acknowledging that his initial plan of running past the officers would not help him evade detection, defendant explained that he crafted a new plan to run away from the officers and “put a fine of fire down in front of [the officers] to turn them back.” Defendant either slowed down or stopped while running away from the officers, aimed “in the general direction” of the officers’ silhouettes, and shot at them a number of times. The jury was instructed on the elements of first degree murder by lying in wait pursuant to CALJIC No. 8.25, and received a special instruction regarding lying-in-wait murder pursuant to defendant’s request. CALJIC No. 8.25 defines murder by lying in wait “as a waiting and watching for an opportune time to act, together with a concealment by ambush or by some other secret design to take the other person by surprise [even though the victim is aware of the murderer’s presence]. The lying in wait need not continue for any particular period of time provided that its duration is such as to show a state of mind equivalent to premeditation or deliberation, [f] [The word ‘premeditation’ means considered beforehand.] [f] [The word ‘deliberation’ means formed or arrived at or determined upon as a result of careful thought and weighing of considerations for and against the proposed course of action.]” (CALJIC No. 8.25, original brackets.) Defendant requested that the jury receive a special instruction regarding lying in wait. The court incorporated two paragraphs of defendant’s requested special instruction into the instructions given to the jury; the court found that the remaining portion of the requested instruction was not a correct statement of the law. Accordingly, the jury was instructed that “[i]n order to establish First Degree Murder based upon lying-in-wait, the perpetrator must exhibit a state of mind equivalent to, but not identical to, premeditation and deliberation. This state of mind is the intent to watch and wait for the purpose of gaining an advantage in taking the victim unawares in order to facilitate the act which constitutes murder. The concealment which is required is that which puts the defendant in a position of advantage from which one can infer that the principal act of lying-in-wait was part of the defendant’s plan to take the victims by surprise. It does not include the intent to kill or injure the victim. In order to establish Lying in wait Murder, the prosecution must prove the crime involved the unlawful killing of a human being with malice aforethought. Malice may be express or implied.” (Italics added.) During its deliberations, the jury requested clarification of the special instruction, noting that CALJIC No. 8.25 defined the requisite mental state as one akin to “premeditation or deliberation” while the special instruction defined the state of mind as equivalent to “premeditation and deliberation.” (Italics added.) The court properly responded that the instructions should both be in the disjunctive. Shortly thereafter the jury returned its guilty verdicts on both counts of murder. Defendant claims that there was insufficient evidence to establish that a substantial period of watching and waiting, a necessary element of lying-in-wait murder, occurred in this case. Defendant suggests that the prosecutor’s argument that the jury could believe defendant’s story and nonetheless convict him of lying-in-wait murder was erroneous because defendant would have had “at most a few seconds” to decide on his course of conduct, which defendant suggests is insufficient to constitute a substantial period of watching and waiting. Defendant also contends that the jury instructions concerning lying-in-wait murder were inadequate because they did not convey that the period of watching and waiting must be substantial. Because the jury may have convicted defendant based on a legally erroneous theory of lying-in-wait murder, defendant contends, his conviction must be reversed. We find no error concerning the sufficiency of evidence or jury instruction; accordingly, reversal is not required. As a preliminary matter, we conclude that the jury instruction concerning lying-in-wait murder was adequate. Section 189 provides, in pertinent part, that “murder which is perpetrated by . . . lying in wait... is murder of the first degree.” Lying-in-wait murder consists of three elements: “ ‘ “(1) a concealment of purpose, (2) a substantial period of watching and waiting for an opportune time to act, and (3) immediately thereafter, a surprise attack on an unsuspecting victim from a position of advantage . . . .” [Citations.]’ ” (People v. Cruz (2008) 44 Cal.4th 636, 679 [80 Cal.Rptr.3d 126, 187 P.3d 970].) We have repeatedly held that CALJIC No. 8.25 adequately conveys to a jury the elements of lying-in-wait murder. (People v. Moon, supra, 37 Cal.4th at p. 23; People v. Ceja, supra, 4 Cal.4th at p. 1139 [“we have repeatedly upheld the instruction, and continue to do so”]; see People v. Hardy (1992) 2 Cal.4th 86, 161-163 [5 Cal.Rptr.2d 796, 825 P.2d 781]; People v. Ruiz, supra, 44 Cal.3d at pp. 613-615.) Defendant argues that the instruction was inadequate because it failed to convey that the period of watching and waiting must have been “substantial.” We considered and rejected a similar claim in People v. Moon. There, we noted that “[although we have held the period of watchful waiting must be ‘substantial’ [citation], we have never placed a fixed time limit on this requirement. Indeed, the opposite is true, for we have previously explained that ‘[t]he precise period of time is also not critical.’ (People v. Ceja[, supra,] 4 Cal.4th 1134, 1145 ....)... [A] few minutes can suffice.” (People v. Moon, supra, 37 Cal.4th at p. 23; see also People v. Edwards (1991) 54 Cal.3d 787, 823 [1 Cal.Rptr.2d 696, 819 P.2d 436] [“We have never required a certain minimum period of time, only a period not insubstantial. The instructions sufficiently convey this meaning.”].) Defendant acknowledges that “no particular words are necessary” to convey that the period of watching and waiting must be substantial, and agrees that the period can be quite short. He argues, however, that although a few moments may be adequate, we have never concluded that a few seconds constitutes a substantial period of watching and waiting. While we have not previously considered this particular factual scenario, we have held on numerous occasions that “[t]he precise period of time is . . . not critical. As long as the murder is immediately preceded by lying in wait, the defendant need not strike at the first available opportunity, but may wait to maximize his position of advantage before taking his victim by surprise. In People v. Edwards, supra, 54 Cal.3d at page 825, we found that evidence from which the jury could infer that the ‘defendant waited and watched until the [victims] reached the place of maximum vulnerability before shooting’ supported a finding of lying in wait.” (People v. Ceja, supra, 4 Cal.4th at p. 1145.) Here, the jury may have concluded that defendant, in a rather short period of time, assessed his options and decided to shoot at the officers. Before he made his decision to shoot, however, defendant spent ample time planning his crime. He found bullets and loaded his weapon. He became agitated, went outside, and fired several rounds before returning to the house. He told Brown that he planned to kill the arriving officers. He formulated a plan to leave the house and sneak away, which he revised upon discovering that he could see the officers’ silhouettes and becoming concerned that he was also visible. He shot at the officers from a position of advantage before the officers had time to even draw their weapons. Even a short period of time is sufficient to overcome an inference that a defendant acted rashly. (People v. Stevens (2007) 41 Cal.4th 182, 203 [59 Cal.Rptr.3d 196, 158 P.3d 763].) In People v. Stevens, the defendant committed a series of shootings at drivers of vehicles while driving his own vehicle. Immediately after completing one such shooting, the defendant set his sights on his next victim.' He sped up to meet that victim, made a gesture requesting that his victim slow down, and once the victim did so, he shot the victim. “Once the intended victim slowed down, the time to act became opportune. Defendant stopped watching and started shooting. Such behavior is completely consistent with, and provides substantial evidence for, the watching and waiting element. . . .” (Ibid.) Like the defendant in People v. Stevens, defendant here quickly formulated a plan, and then he “stopped watching and started shooting.” Defendant did not act rashly; he acted quickly once he had opportunity to do so. We conclude that the evidence was sufficient to support the lying-in-wait theory of first degree murder, and the instructions adequately conveyed the elements of the crime. Because we find no error, we conclude that the jury’s conviction was necessarily based on a legally adequate theory of murder and reversal is not warranted. 2. Allegedly Erroneous Denial of Guilt and Penalty Phase Motions to Have Jury View Scene of Shooting Defendant alleges that the trial court erroneously denied his guilt and penalty phase motions to have the jury view the scene of the murder, in violation of article I, section 15 of the California Constitution as well as the Fifth, Sixth, and Fourteenth Amendments to the United States Constitution. Before the beginning of the guilt phase, defendant filed a motion requesting that the jury view the scene of the shooting at night. Defendant contended that the “extreme darkness” at the scene was crucial to his defense theory that he did not intend to kill the officers. Defendant raised the issue twice more, and the prosecutor objected to the jury view. The prosecution contended that defendant’s own statements revealed that he could see the officers’ silhouettes, and could see well enough to note that there was a size discrepancy between the officers. Brown and Twilla Gideon also testified about the lighting conditions at the scene, explaining that they could see the officers’ bodies lying in the intersection and that one of the officers had facial hair. The prosecutor argued that a jury view of the scene was unnecessary because the issue was not whether defendant could see the officers, but whether he aimed at them. The trial court denied defendant’s guilt phase motion, explaining that it would be impossible to duplicate the lighting conditions of the scene because the trial was conducted during the summer months, while the crime occurred in January. Additionally, the court explained that there was ample evidence that it was “pitch black” and “difficult to see” on the night of the murder. Finally, the court agreed with the prosecutor’s argument that the issue was one of aiming, not one of visibility. Section 1119 provides that “[w]hen, in the opinion of the court, it is proper that the jury should view the place in which the offense is charged to have been committed, ... it may order the jury to be conducted ... to the place . . . .” We review a trial court’s denial of a motion to view the scene of a murder “for abuse of discretion [citation], i.e., whether the court exercised its discretion in an arbitrary, capricious, or patently absurd manner that results in a manifest miscarriage of justice.” (People v. Lawley (2002) 27 Cal.4th 102, 158 [115 Cal.Rptr.2d 614, 38 P.3d 461], citing People v. Sanders (1995) 11 Cal.4th 475, 512 [46 Cal.Rptr.2d 751, 905 P.2d 420].) Defendant argues that none of the trial court’s stated reasons for denying the jury view motion withstand scrutiny; we disagree. Defendant argues at some length that the court’s concern that lighting conditions would be difficult to duplicate is unfounded. In People v. Williams, we concluded that the trial court’s reasons for denying a jury view motion—“that lighting and foliage conditions at the scene might be different than those prevailing at the time of the offense”— were reasonable and correct. (People v. Williams (1997) 16 Cal.4th 153, 213 [66 Cal.Rptr.2d 123, 940 P.2d 710].) “ ‘When the purpose of the view is to test the veracity of a witness’s testimony about observations the witness made, the trial court may properly consider whether the conditions for the jury view will be substantially the same as those under which the witness made the observations, whether there are other means of testing the veracity of the witness’s testimony, and practical difficulties in conducting a jury view.’ (People v. Price (1991) 1 Cal.4th 324, 422 [3 Cal.Rptr.2d 106, 821 P.2d 610].)” (People v. Lawley, supra, 27 Cal.4th at p. 158.) Defendant argues that testimony that the scene was “pitch black” was not sufficient to “address the real issue of how that level of darkness affected visibility.” Defendant also contends the trial “court failed to recognize that the visibility at the scene was highly relevant to whether appellant aimed at the officers.” Defendant’s arguments are unavailing. Defendant admitted that he was able to see the officers’ silhouettes; we fail to see how a jury view of the scene would assist the jury in determining whether defendant aimed at those silhouettes. We conclude that the court did not abuse its discretion in denying defendant’s request to have the jury view the scene of the murders. As the court noted, testimonial evidence adequately informed the jury as to the lighting conditions at the scene. The trial court reasonably concluded that a jury view—conducted at a different time of night and a different time of year with very different lighting conditions—was unnecessary. Defendant again requested that the second penalty-phase jury be permitted to view the scene of the murders at night; the trial court denied his request. Defendant claims the court’s denial violated his state law rights, as well as his Eighth and Fourteenth Amendment rights under the United States Constitution, because a view of the scene would have enabled defendant to rebut aggravating evidence and to establish lingering doubt. As the People cogently explain, a “capital defendant has no federal constitutional right to have the jury consider lingering doubt in choosing the appropriate penalty.” (People v. Stitely (2005) 35 Cal.4th 514, 566 [26 Cal.Rptr.3d 1, 108 P.3d 182].) In People v. Stitely, we explained that “[e]vidence that is inadmissible to raise reasonable doubt at the guilt phase is inadmissible to raise lingering doubt at the penalty phase.” (Ibid.) For the same reasons we rejected defendant’s guilt phase argument, we conclude that the trial court did not abuse its discretion by denying defendant’s penalty phase motion to have the jury view the scene of the crime at night. Even assuming that the trial court erred in denying defendant’s guilt and penalty phase requests, considering the ample evidence of the lighting conditions presented during both phases of the trial, we conclude that it is not reasonably probable that the jury would have returned a verdict more favorable to defendant (see People v. Watson (1956) 46 Cal.2d 818 [299 P.2d 243]), and error, if any, was harmless beyond a reasonable doubt (see Chapman v. California (1967) 386 U.S. 18, 24 [17 L.Ed.2d 705, 87 S.Ct. 824]). 3. Allegedly Erroneous Interference with Jury’s Deliberations and Improper Coercion of Guilt Verdicts Defendant argues that the court’s questioning of a juror after allegations of impropriety were made intruded upon the jurors’ deliberations and coerced a guilty verdict in violation of defendant’s rights to due process, a fair trial, and a unanimous jury verdict under the state and federal Constitutions. For the reasons addressed below, we conclude that defendant’s claims are not meritorious. After two days of deliberations, the court received a note from Juror No. 2 expressing concern about Juror No. 8’s ability to deliberate objectively. The note explained that Juror No. 2 was concerned that Juror No. 8 was “unable to set aside her empathy for the defendant,” “unable to set aside her own personal experience relating to mental illness,” and that “she seems to be suffering personal angst during the process stating ‘pick on somebody else, I can’t do this anymore.’ ‘I’ve had it!’ ‘Can I abstain?’ ” Upon receipt of this notification, the court asked counsel to address how it wished to proceed. Defense counsel argued that if the court thought “it would be appropriate, to call out the juror . . . referred to, which is Juror No. 8 and . . . make inquiry whether or not she’s able to continue or is she deliberating,” the court should do so. Because the note was received from a juror who was not the foreperson, the court suggested instead that it call the foreperson to see whether the issue raised by Juror No. 2 “is a problem and then take it from there.” Counsel for both parties agreed. The court took a moment before the foreperson entered the court to make clear that it “treadfs] very lightly on these issues and [does not] want to intrude on the deliberations. . . . [B]y talking to the foreperson first,” the court and parties will “get a better take on whether or not this is a general perception of the other jurors.” The court explained to the foreperson, Juror No. 12, that it had received a letter suggesting that there was a juror experiencing difficulty “setting aside his or her sympathy for the defendant and objectively deliberating on the case.” Juror No. 12 agreed that there was an issue with a juror, and independently named Juror No. 8 as the individual experiencing the problem. The court clarified that it did not wish to intrude in any way in the deliberative process, and requested that the foreperson not mention the individual jurors’ votes regarding guilt or innocence, but asked the foreperson to explain how jurors were “deliberating or refusing to deliberate.” The foreperson explained that Juror No. 8 was not refusing to deliberate because she was actively discussing the case with the jurors, but was expressing sympathy for the defendant, “[tjhat she feels sorry for him,” “identifies with his plight so much that she . . . has projected,” and “she is describing an emotional state . . . that she feels that she shares with the defendant . . . [and that] she used ... as the basis of her decision.” Juror No. 12 also explained that Juror No. 8 seemed particularly emotionally invested in, and emotionally drained by, the deliberations. Noting that it is an emotional experience, the foreperson explained that Juror No. 8 became so exhausted by the process that she refused to participate at one point, saying, “ T wasn’t going to talk today. I just wasn’t going to say anything.’ ” The foreperson told the court that Juror No. 8 discussed how drained she felt, and seemed much more emotionally involved than the other jurors. The court asked counsel how they wished to proceed in light of the foreperson’s statement. Counsel for defendant requested that the jury continue its deliberations undisturbed. The People argued that it seemed, based upon the letter and the foreperson’s statement, that Juror No. 8 was basing her decision upon personal experience instead of the evidence, against the court’s instruction, and that she may be unable to set aside her sympathy for defendant. The People argued, and the court agreed, that direct inquiry of Juror No. 8 was mandated. The corut stressed with Juror No. 8 that it would not be asking how she or any other jurors were voting, but only whether any “jurors are using pity or sympathy for a defendant in any way in this case.” The court explained that the jury’s instructions and “black letter law [require] that a juror must not in any case allow pity or sympathy for a defendant to interfere with the deliberation process or influence his or her vote in the jury process.” The court asked if Juror No. 8 believed her feelings of sympathy for defendant interfered with her deliberative process, to which she responded in the negative. Juror No. 8 explained that she understood both that it would be unfair and against the law to allow her sympathy for defendant to interfere with the deliberative process, and that she understood that she could not allow a particular personal event in her background to interfere with or influence her objectivity. The court directed Juror No. 8 not to allow events in her past to “interfere with [her] objectivity in this case” and “directed her] to further deliberate with the jurors. That means to discuss the evidence. Objectively.” Juror No. 8 explained that the jury had “gone over and over” the evidence, and the court directed her to return to the deliberation room and continue to deliberate. The People expressed concern that Juror No. 8’s statements apparently conflicted with the statements in the note and those made by the foreperson. The court stated that it did not wish to further question jurors, but would do so if there were further problems. Defense counsel offered no argument following Juror No. 8’s questioning, nor did defense counsel object to Juror No. 8’s continued service on the jury. Defendant now contends that the court made a number of errors—namely, that it erred by questioning Juror No. 8, that the court’s questions of Juror No. 8 were intrusive, that the court’s instructions to Juror No. 8 were coercive, and that the court made an unnecessary comment to the foreperson—each of which, individually or collectively, mandate reversal. We disagree. As an initial matter, the People suggest that defendant’s claims concerning Juror No. 8 are barred because he invited the error by initially suggesting that the court question Juror No. 8. As the People explain, the doctrine of invited error applies when a defendant, for tactical reasons, makes a request acceded to by the trial court and claims on appeal that the court erred in granting the request. (People v. Williams (2008) 43 Cal.4th 584, 629 [75 Cal.Rptr.3d 691, 181 P.3d 1035]; People v. Wickersham (1982) 32 Cal.3d 307, 330 [185 Cal.Rptr. 436, 650 P.2d 311], disapproved on other grounds in People v. Barton (1995) 12 Cal.4th 186, 201 [47 Cal.Rptr.2d 569, 906 P.2d 531].) Here, although defendant initially suggested that the court question Juror No. 8, and acquiesced to the court’s alternate suggestion that it first question the foreperson, defendant ultimately reversed his position, suggesting that the jury should continue deliberating without questioning Juror No. 8. The court rejected defendant’s later suggestion, and questioned Juror No. 8. Accordingly, we conclude that defendant did not invite any error he now claims occurred. The People suggest in the alternative that defendant’s claims concerning Juror No. 8 are forfeited. Defendant did not object to the trial court’s decision to “bring out . . . Juror No. 8” after the prosecution suggested that the court do so. After the court admonished Juror No. 8, it engaged in a brief colloquy with the prosecutor regarding whether any further steps were necessary. Defense counsel did not comment throughout the duration of the court’s exchange with Juror No. 8, nor did counsel join in the conversation between the prosecutor and the court after Juror No. 8 left the courtroom. Defense counsel did not object to Juror No. 8’s continued service on the jury, and did not request a mistrial based upon juror misconduct. A claim of prejudicial misconduct is waived when the defendant fails to object to a juror’s continued service and fails to seek a mistrial based upon prejudice. (People v. Stanley (2006) 39 Cal.4th 913, 950 [47 Cal.Rptr.3d 420, 140 P.3d 736].) Here, defendant’s claim that the court’s questions of Juror No. 8 constituted reversible error because they were improper, intrusive, and coercive is forfeited because defendant failed to object. As discussed more fully below, defendant’s claims additionally fail on the merits. As defendant aptly points out, “[t]he secrecy of deliberations is the cornerstone of the modem Anglo-American jury system.” (U.S. v. Thomas (2d Cir. 1997) 116 F.3d 606, 618.) Courts must exercise care when intrading into the deliberative process to ensure that the secrecy, as well as the sanctity, of the deliberative process is maintained. (See People v. Cleveland (2001) 25 Cal.4th 466, 475 [106 Cal.Rptr.2d 313, 21 P.3d 1225].) “The need to protect the sanctity of jury deliberations, however, does not preclude reasonable inquiry by the court into allegations of misconduct during deliberations.” (Id. at p. 476.) In People v. Keenan (1988) 46 Cal.3d 478, 532 [250 Cal.Rptr. 550, 758 P.2d 1081], we held that the court had a duty to investigate an allegation of juror misconduct, emphasizing that “when a trial court learns during deliberations of a jury-room problem which, if unattended, might later require the granting of a mistrial or new trial motion, the court may and should intervene promptly to nip the problem in the bud. The law is clear, for example, that the court must investigate reports of juror misconduct to determine whether cause exists to replace an offending juror with a substitute.” Here, the court did nothing more than follow established law by investigating, to as limited an extent as possible, allegations that a juror was unable to perform her duties. Because the court has the power to discharge a juror who is unable to perform his or her duties pursuant to section 1089, a court may also undertake less drastic steps to ensure that a juror is able to continue in his or her role. (People v. Keenan, supra, 46 Cal.3d at p. 533.) Defendant argues that the court interfered with the secrecy of the deliberations, and asked improperly intrusive questions, when it interviewed Juror No. 8, based upon what he characterizes as Juror No. 2’s “unsubstantiated concerns.” Defendant’s arguments are demonstrably specious; indeed, defendant initially suggested that the court question Juror No. 8 after being made aware of Juror No. 2’s letter expressing concern regarding the deliberative process. Moreover, the court was mindful of its potential impact on the deliberative process, explaining before it questioned both the foreperson and Juror No. 8 that it did not wish to know individual votes, that it wished to limit its impact on the deliberative process, and that it sought only to ascertain the extent of any potential misconduct. In People v. Cleveland, we explained that “a trial court’s inquiry into possible grounds for discharge of a deliberating juror should be as limited in scope as possible, to avoid intruding unnecessarily upon the sanctity of the jury’s deliberations. The inquiry should focus upon the conduct of the jurors, rather than upon the content of the deliberations. Additionally, the inquiry should cease once the court is satisfied that the juror at issue is participating in deliberations and has not expressed an intention to disregard the court’s instructions or otherwise committed misconduct, and that no other proper ground for discharge exists.” (People v. Cleveland, supra, 25 Cal.4th at p. 485.) Upon hearing that Juror No. 8 was not permitting her sympathy for defendant to interfere with her deliberations, and that she understood that she could not permit events in her personal life to obscure her objectivity in the case, the court directed her to adhere to her oath as a juror and return to deliberations. The court intruded as minimally as possible to satisfy its dual goals of investigating allegations of misconduct while preserving the secrecy of the deliberative process. Accordingly, we conclude that the court did not abuse its discretion when questioning Juror No. 8, either by improperly intruding upon the secrecy of deliberations, or asking improperly intrusive questions. Defendant next suggests that the court’s comments to Juror No. 8 were coercive. We disagree. “Any claim that the jury was pressured into reaching a verdict depends on the particular circumstances of the case.” (People v. Pride (1992) 3 Cal.4th 195, 265 [10 Cal.Rptr.2d 636, 833 P.2d 643].) In People v. Pride, addressing the admittedly distinct circumstance of a deadlocked penalty-phase jury, we explained that coercion was not present where the court did not comment on the vote; suggested that the status of the vote was irrelevant; did not tell the jury to reach a verdict within a particular period of time; and otherwise did not constrain the jury. (People v. Pride, supra, 3 Cal.4th at pp. 265-266.) Here, similarly, the court explained that it did not wish to know Juror No. 8’s personal vote, nor the votes of any other members of the jury, and did not constrain Juror No. 8 or the jury except to require that the jury abide by the instructions given. More specifically, the court instructed Juror No. 8 that she could not permit her feelings of pity and sympathy for defendant to influence her deliberative process and directed her not to permit “a particular personal event in [her] life ... to interfere with [her] objectivity in this case.” It then directed her to resume deliberations. The court at no time suggested that it favored any particular verdict; indeed, it stated, “I am not and will not be asking you questions about how people are voting or how you are voting, one way or the other. It doesn’t make any difference to me.” We conclude that neither the court’s instruction to Juror No. 8 to follow the law, nor the court’s express statement that it did not wish to know the votes and that such knowledge made no difference, was coercive. As in People v. Pride, the court’s instruction that deliberations continue cannot be construed as coercive. (People v. Pride, supra, 3 Cal.4th at p. 266.) Defendant makes a few final arguments without reference to any authority. He first contends the court’s comment to the foreperson, “I’ll discuss with the attorneys if we have any recourse,” improperly invaded the secrecy of the jury’s deliberations. He also suggests that the court’s colloquy with the foreperson was improper because the court neither requested that the foreperson keep the exchange confidential, nor did the court hold the conversation in front of the entire jury, as defendant contends it should have done had it intended that the conversation be public. None of these contentions has merit. The court’s comment to the foreperson that it would discuss with the attorneys how it wished to handle the allegations of misconduct raised against Juror No. 8 was nothing more than an informative, offhand comment regarding the next step the court planned to take. It did not invade the secrecy of the deliberations in any way. Moreover, the court’s decision not to hold the exchange between it and the foreperson before the entire jury was not an abuse of its discretion. The sanctity of deliberations must be protected, and courts must act reasonably when inquiring about potential misconduct. (People v. Cleveland, supra, 25 Cal.4th at p. 476.) Conducting such an inquiry before the entire panel, rather than discreetly questioning the foreperson regarding alleged misconduct before taking further action, arguably would be more intrusive and less reasonable than what occurred here. Accordingly, we conclude that the trial court did not abuse its discretion when it minimally intmded upon the deliberative process to question the foreperson regarding an allegation of misconduct. Because we conclude that the trial court did not err by questioning the foreperson or Juror No. 8 regarding allegations of misconduct, reversal is not warranted under either the harmless error or the reasonable probability standards proposed by defendant. (Chapman v. California, supra, 386 U.S. 18; People v. Watson, supra, 46 Cal.2d 818.) 4. Alleged Instructional Error on Consciousness of Guilt Consistent with CAUIC No. 2.03 This claim concerns the inconsistencies in defendant’s and Brown’s statements regarding whether or not defendant told Brown that he planned to kill the officers. On the night of the murders, after firing several shots into the air, defendant returned to the home he had shared with his wife and told Brown that police were coming and that “he was going to kill them.” When asked whether he used those words, Brown replied in the affirmative. Brown was later impeached on cross-examination when she was confronted with her earlier grand jury testimony that defendant told her only that “the police were coming and that he [(defendant)] was going down.” While being cross-examined, Brown explained that when she gave her testimony before the grand jury she did not recall precisely what defendant had said concerning his plans to kill the police officers, but that the “gist” of defendant’s comments was that “he was going to kill the cops.” Immediately following his arrest, defendant agreed to be interviewed by Detective Spidle regarding the shootings. During that first interview, defendant told Detective Spidle that he “never told” Brown that he planned to shoot the responding officers, and never said “anything about if the cops come I’m gonna shoot ’em.” Detective Spidle returned the next day to continue defendant’s interview, and asked defendant whether he recalled saying, “ ‘The cops are cornin’, I don’t care, I’ll take them out too.’ ” Defendant replied that he didn’t “remember saying that but it’s very possible that I did, yes.” Based on these inconsistent statements, the prosecutor asserted during closing argument that the jury could “conclude that [defendant] was lying, [and that] he did, in fact, threaten the police officers . . . [and] did what he told [Brown] he was going to do. He was going to kill the cops, [f] The judge is going to tell you that if you find that [defendant] lied to [Detective] Spidle you can use what is called a consciousness of guilt. He has something to hide.” The jury was instructed based on CALJIC No. 2.03, which currently and as given provides: “If you find that before this trial the defendant made a willfully false or deliberately misleading statement concerning the crimes for which he is now being tried, you may consider that statement as a circumstance tending to prove a consciousness of guilt. However, that conduct is not sufficient by itself to prove guilt, and its weight and significance, if any, are for you to decide.” Defendant argues that the trial court erroneously instructed on consciousness of guilt, and that the court’s error in giving this instruction violated defendant’s Sixth and Fourteenth Amendment rights under the United States Constitution, as well as his rights pursuant to article I, sections 7, 15, and 16 of the California Constitution. Defendant primarily argues that the court erred in instructing the jury pursuant to CALJIC No. 2.03 because there was insufficient evidence supporting the instruction. Defendant also contends that the instruction permitted the jury to draw an improper inference concerning defendant’s intent in committing the shootings, and contends that the instruction is impermissibly argumentative. For the reasons explained below, we reject each of defendant’s contentions. Defendant first contends that no evidence supported instructing the jury pursuant to CALJIC No. 2.03. Defendant argues that his initial responses to Detective Spidle’s questions as to whether he told Brown he planned to harm the officers, namely, “I never told [Brown] that” and “No,” do not constitute sufficient evidence of a false or deliberately misleading statement to explain his conduct. CALJIC No. 2.03 is properly given when there exists evidence that a defendant made a deliberately misleading or false statement to explain his or her conduct. (See People v. Page (2008) 44 Cal.4th 1, 50-51 [79 Cal.Rptr.3d 4, 186 P.3d 395].) Here, defendant argues that his initial denial to Detective Spidle that he told Brown that he planned to harm the officers and his later equivocation regarding the same statement “cannot reasonably be considered a prefabricated story to explain his conduct” because even if his earlier statement to Detective Spidle was untrue, the statement does not demonstrate defendant’s consciousness of guilt. Defendant does not dispute that he made inconsistent statements regarding whether he told Brown he planned to kill the officers, from which a jury could conclude that at least one of the statements was untrue. “The jury could rationally infer that defendant made a false statement to deflect suspicion from himself.” (People v. Barnwell (2007) 41 Cal.4th 1038, 1057 [63 Cal.Rptr.3d 82, 162 P.3d 596].) Accordingly, the trial court did not err by instructing the jury pursuant to CALJIC No. 2.03. Moreover, we conclude that ample additional evidence was presented justifying the court’s decision to instruct the jury pursuant to CALJIC No. 2.03. In addition to the inconsistent statements regarding defendant’s stated intent to harm the officers, the prosecution suggests that CALJIC No. 2.03 would have been appropriately given to the jury to consider the conflicting evidence that defendant initially planned to sneak past the officers as they approached and his later decision to run in the opposite direction; and defendant’s statement to Brown that he planned to “take out” the officers, and defendant’s later testimony that he intended only to shoot in front of the officers to scare but not to injure them. Ample evidence of defendant’s potentially false or deliberately misleading statements was presented; accordingly, the trial court did not err by instructing the jury with CALJIC No. 2.03. Defendant also contends that his inconsistent statements do not demonstrate that he was “being willfully false in any meaningful way.” Defendant relies on People v. Mattson (1990) 50 Cal.3d 826, 872 [268 Cal.Rptr. 802, 789 P.2d 983], in which we noted that the inference of consciousness of guilt and the probative value of a denial are “tenuous” where a