Citations
- 92 Ohio St. 3d 245
Full opinion text
Moyer, C.J.
During the 1993 prison riot at the Southern Ohio Correctional Facility (“SOCF”) at Lucasville, Correctional Officer Robert Vallandingham was murdered on the orders of appellant, Carlos Sanders (n.k.a. Siddique Abdullah Hasan). Sanders was convicted of aggravated murder and sentenced to death.
Facts
In 1993, the Department of Rehabilitation and Correction (“DRC”) ordered that all prison inmates be tested for tuberculosis. Sanders was the acknowledged imam (spiritual leader) of a group of Muslims at SOCF. He protested DRC’s order, claiming that the testing method violated Islamic law. On April 5, 1993, Arthur Tate, Jr., SOCF’s warden, met with Sanders. When Tate explained that the test was to be administered to all inmates, Sanders replied: “You do what you have to do and we’ll do what we have to do.” Shortly thereafter, the warden informed Sanders in writing that all inmates would be tested.
On April 11, 1993, Muslim inmates staged an uprising and took control of unit L-6 of cellblock “L” (“L-Block”) of the prison. Sanders planned and led the takeover.
Several guards, including Vallandingham, were taken hostage. Vallandingham had locked himself into a restroom, but inmates battered down the door and captured him. Sanders handcuffed Vallandingham and led him away. Other hostages included Officers Clark, Dotson, Hensley, and Nagel. Sanders ordered that all hostages be taken to Unit L-6 and that captured guards be protected for the time being.
Three factions emerged as the dominant forces in L-Block: the Muslims, led by Sanders; the Aryan Brotherhood, a white racist group, led by Jason Robb and George Skatzes; and the Black Gangster Disciples, a prison gang, led by Anthony Lavelle. Each faction controlled its own section of L-Block; the Muslims controlled unit L-6, and also the hallways.
The rioters held L-Block until they surrendered on April 21. DRC representatives opened negotiations with the inmates, who periodically threatened to kill hostages if their demands were not met.
On Wednesday, April 14, there was a meeting of inmate leaders, including Lavelle, Robb, and Sanders. The group discussed killing a guard and, without dissent, decided to do it. But after the meeting, Lavelle told Sanders that he did not think that killing a guard would accomplish anything. Sanders agreed that they should “hold off’ on killing a guard that day.
Later that day, news media quoted a DRC employee’s statement suggesting that the inmates were bluffing. This infuriated the inmates. Another leadership meeting followed; Sanders, Robb, Skatzes, and Lavelle were there. Also present were inmate Roger Snodgrass, inmate David Lomache, who helped care for injured guards, and Muslim inmate Reginald Williams. (Lavelle, Snodgrass, Lomache, and Williams later turned state’s evidence and recounted the discussion in trial testimony.) To prove that they were serious, the group decided to issue an ultimatum and, if the authorities failed to comply, to kill a guard.
According to Snodgrass and Williams, Sanders and Robb were “the decision makers” and led this meeting. While accounts differed on whether a formal vote was taken, the testimony indicated that Sanders supported killing a guard. According to Lavelle, “[W]e all agreed that a person from each group * * * would participate” in the killing, and Sanders pledged that his security officers would select a Muslim inmate to take part.
On the night of April 14, around 9:00 or 10:00 p.m., inmate Miles Hogan overheard Skatzes and inmate Stanley Cummings tell Sanders “about somebody that was supposed to kill a correctional officer [and] had backed out of it.” Sanders said he was “sick of the m***********s saying they was going to do something and then backing] out of it at the last minute.” Cummings said he “would make sure this got done,” and Sanders replied: ‘Well somebody’d better do it.”
Another meeting was held on Thursday morning, April 15. ' Reginald Williams did not attend this meeting, but he was nearby when it broke up. He heard Muslim inmate James “Namir” Were proclaim loudly that “he would take care of it.” Sanders told Were to calm down.
That morning, inmate Kenneth Law was in L-6 when he saw inmates Alvin Jones and Darnell Alexander escort a bound, blindfolded Vallandingham to the L-6 shower area. Then Law heard Sanders tell Were to “take care of his business” if Sanders “didn’t get back with [Were] in half an hour.” Sanders then left.
Were, Jones, and Alexander proceeded to the shower area where Vallandingham was being held. Kenneth Law followed them. When they arrived, Were told Jones and Alexander to “take care of your business.” As Were and Law looked on, Jones and Alexander strangled Vallandingham. His body was later dumped outside.
After the murder, another meeting was held. Someone reported a rumor that Vallandingham was not dead. Were said that “if it is not done right, you don’t have anybody to blame but [Were].” According to Lavelle, Were addressed this remark specifically to Sanders.
Later, Kenneth Law overheard an inmate ask Sanders: “Why was the guard killed?” Sanders said: “It was one or many.”
Inmate Bruce Harris had been locked in a cell on Sanders’s orders. On April 21, the last day of the takeover, Harris disrupted a prayer session by shouting and throwing things from his cell. According to inmate Stacy Gordon, Sanders ordered Harris killed for this. Gordon, Reginald Williams, and other Muslim inmates proceeded to kill Harris.
On April 21,1993, the inmates surrendered, bringing the riot to an end.
Indictment, Trial, and Sentence
The Scioto County Grand Jury returned a series of indictments against various inmates for crimes committed during the takeover and siege. One of these indictments charged Sanders with two aggravated murder counts with regard to Robert Vallandingham and one aggravated murder count with regard to Bruce Harris. All three counts carried death specifications. Sanders was also charged with various counts against other officers.
After two changes of venue, the case was tried to a jury in Hamilton County. The state withdrew several felonious assault counts.
The jury convicted Sanders of the aggravated murder of Vallandingham, with three death specifications: murder while under detention, R.C. 2929.04(A)(4); course of conduct, R.C. 2929.04(A)(5); and felony-murder (kidnapping), R.C. 2929.04(A)(7). He was acquitted of the aggravated murder of Harris and of one count of felonious assault upon Dotson, and convicted of all other counts. After a penalty hearing, the jury recommended, and the judge imposed, a death sentence for the aggravated murder of Robert Vallandingham. The court of appeals affirmed the judgment of the trial court in all respects.
Sanders’s appeal is now before us. We have considered each of his thirty-four propositions of law. We have also independently reviewed his death sentence, as R.C. 2929.05(A) requires, by reweighing the felony-murder aggravating circumstance against the mitigating factors and measuring the sentence in this case against sentences imposed in similar cases. We conclude that Sanders’s convictions and death sentence should be affirmed.
I. Jury Issues
In his eighth, ninth, tenth, twelfth, and thirteenth propositions of law, Sanders raises issues pertaining to the selection and conduct of the jury.
A. Motion to Dismiss Venire
On voir dire, a venireman said he could not be fair because Sanders’s name and garb reminded him of Louis Farrakhan, whom the venireman regarded as an anti-white, anti-American racist. The venireman was excused for cause. However, when the venireman gave these responses, nine other veniremen were in the courtroom. Four of those nine served on the jury. Sanders’s request that the venire be dismissed was overruled. In his eighth proposition, Sanders claims that the venireman’s statements biased these jurors, invalidating the jury’s verdict.
However, nothing in the record indicates that the statements at issue biased the other veniremen. The usual way to find out whether a venireman harbors bias is voir dire, and Sanders could have asked that the trial court either question the other veniremen on this point, or permit the parties to do so. But Sanders made no such request.
We decline to presume that the other veniremen were biased by hearing the remarks at issue. Although bias was presumed in similar circumstances in Mach v. Stewart (C.A.9, 1997), 137 F.3d 630, we find Mach distinguishable. There, the venireman made repeated, definite statements of opinion concerning a matter germane to the trial — a matter in which she also appeared to be an expert. In this case, the venireman expressed only personal opinions, did not speak at length, and was immediately excused for cause. See State v. Doerr (1998), 193 Ariz. 56, 62, 969 P.2d 1168, 1174; Lucero v. Kerby (C.A.10, 1998), 133 F.3d 1299, 1308-1309.
Sanders also argues that the trial court should have given either a cautionary instruction to neutralize the effect of the venireman’s statements or questioned the other veniremen to determine whether the comments had affected their impartiality. However, at trial he did not ask the court to take such measures. Thus, he has waived his claim that such measures should have been taken.
Sanders’s eighth proposition is overruled.
B. Excusal for Cause
The trial court excused a venireman for cause because she stated on voir dire that she could not do without a cigarette for any length of time. In his ninth proposition, Sanders claims that excusing the venireman for this reason was error. However, an erroneous excusal for cause, on grounds other than the venireman’s views on capital punishment, is not cognizable error, since a party has no right to have any particular person sit on the jury. Unlike the erroneous denial of a challenge for cause, an erroneous excusal cannot cause the seating of a biased juror and therefore does not taint the jury’s impartiality.
In any event, excusing this venireman was within the trial court’s discretion. Crim.R. 24(B) provides:
“A person called as a juror may be challenged for the following causes:
“(14) That he is otherwise unsuitable for any other cause to serve as a juror.”
The venireman admitted that she is an “inveterate” smoker who “get[s] very upset” when she cannot smoke and that it would be “almost impossible to go for any length” without a cigarette. It is likely that such a juror would be inattentive during trial and bring an attitude less than judicious to deliberations, and would thus be “unsuitable” to serve as a juror under Crim.R. 24(B)(14).
Moreover, the trial court was under no obligation to accommodate the juror with smoking breaks, as Sanders suggests. Frequent breaks would have prolonged the trial and disrupted the presentation of evidence. Moreover, the juror could not take smoking breaks outside the jury room after submission of the case, for “R.C. 2945.33 and Crim.R. 24(G) clearly contemplate that jurors in capital cases generally must not be permitted to separate during their * * * deliberations.” State v. Davis (1992), 63 Ohio St.3d 44, 47-48, 584 N.E.2d 1192, 1195-1196. Sanders’s ninth proposition is overruled.
C. Representativeness of Jury
In his tenth proposition, Sanders contends that the Hamilton County Jury Commissioner used a procedure that placed nearly three-fourths of minority veniremen in the second half of the venire. This, according to Sanders, denied him equal protection, due process, and the right to trial by an impartial jury.
Sanders contends that, although he was not entitled to a petit jury that reflected a representative cross-section of the community, see, e.g., Lockhart v. McCree (1986), 476 U.S. 162, 173-174, 106 S.Ct. 1758, 1765, 90 L.Ed.2d 137, 147-148, he was entitled to a “fair possibility” of obtaining such a jury. See Williams v. Florida (1970), 399 U.S. 78, 100, 90 S.Ct. 1893, 1906, 26 L.Ed.2d 446, 460; United States ex rel. Teague v. Lane (C.A.7, 1985), 779 F.2d 1332, 1334 (Cudahy, J., dissenting). And he claims that the system used by the jury commissioner “precluded the possibility of securing a representative jury.”
Sanders’s claim centers on the method used to assign juror numbers. The jury commissioner gave numbers to prospective jurors based on the order in which they returned their completed questionnaires, ie., the first to do so was designated Juror No. 1, and so forth. However, when a venireman returned the questionnaire, the jury commissioner (or his subordinate, the jury coordinator) would review it; if he found any omissions, he would return it to the venireman for completion. Thus, a venireman would be assigned a number only after returning a completed questionnaire.
According to Sanders, this system clusters minority jurors near the end of the venire, where they are less likely to be .called for voir dire and hence less likely to become jurors. (Sanders’s argument seems to assume that prospective jurors were called for voir dire in order of their juror numbers. Although the récord does not make that clear, the state has not disputed it.)
At trial, Sanders argued that minority jurors cluster at the end of the venire because they are likely to fill out questionnaires more slowly. He presented no proof of this at the hearing. His claim thus appears to rest on unadulterated racial stereotyping. Without proof, Sanders’s assumption that minority jurors fill out jury questionnaires more slowly than the rest of the population simply deserves no credence.
On appeal, Sanders drops this argument and suggests instead that the real problem was the practice of returning questionnaires to jurors for correction, thus moving those jurors to the end of the list. He contends that the commissioner thereby “decided who went to the back of the venire” and hints that the commissioner may have discriminated against black veniremen.
However, this argument is inconsistent with the evidence and the trial court’s findings. There was no showing that the jury commissioner manipulated the questionnaires so as to push black veniremen (or any others) to the end of the list. The jury coordinator testified that he and the commissioner returned questionnaires only to veniremen who had either failed to complete the forms or asked to have them returned so they could correct an answer. Hence, no “decisions” were being made by the jury officials. Rather, the ordering was decided by factors beyond their control. And the trial court evidently accepted this testimony, for it found that there had been no “systematic attempt on anybody’s part * * * to keep any person off the jury.”
We therefore reject Sanders’s claim that the system used by the jury commissioner precluded the possibility of securing a representative jury. His tenth proposition of law is overruled.
D. Demonstration Outside Courthouse
During the trial, demonstrators opposing capital punishment picketed the courthouse. One juror reported to the bailiff that, during a lunch break, a demonstrator pointed him out and said, “There he goes” or “there goes one.” The judge had two demonstrators brought in and warned them not to intimidate or speak to jurors.
Defense counsel requested a chance “to ask [the jurors] some questions or [for] the court [to] ask them.” The judge then questioned the jury. '
The judge told the jurors that he had warned the demonstrators not to speak to them, and that the demonstrators were “harmless people” with “absolutely no connection” to the parties. He asked: “Now does anybody feel, because of that incident, if you were involved in that incident, that you could not continue with this trial and be fair and honest with all the issues that you’re going to be confronted with?” Nobody answered.
He then asked the juror who had reported the incident whether he had any problem; he said he had none. The judge asked another juror, who said the same. Finally, he asked, “Does anybody have any problem?” Again, no juror spoke. The judge declared the subject closed, and trial proceeded.
Sanders contends that this procedure was inadequate. In his twelfth proposition of law, he argues that this incident constituted an extraneous influence on the jury and that, under Remmer v. United States (1954), 347 U.S. 227, 74 S.Ct. 450, 98 L.Ed. 654, the court had a duty to conduct a deeper, more individualized inquiry. Sanders asks us to remand to the trial court for a Remmer hearing. See United States v. Davis (C.A.6, 1999), 177 F.3d 552, 557.
The scope of voir dire is generally within the trial court’s discretion, including voir dire conducted during trial to investigate jurors’ reaction to outside influences. State v. Henness (1997), 79 Ohio St.3d 53, 65, 679 N.E.2d 686, 697. See, generally, Annotation (1992), 3 A.L.R.5th 963, Section 2(a). Thus, we must determine whether the trial judge abused his discretion in conducting the inquiry as he did.
In our view, he did not. Although the judge directly questioned only two jurors, he also asked: “Does anybody have any problem?” This was directed at all the jurors, and the judge could reasonably assume that those who did not speak up were unaffected. Hence, he did not abuse his discretion by stopping there. In Henness, we upheld a judge’s refusal to question each juror individually as within the trial court’s discretion. 79 Ohio St.3d at 65, 679 N.E.2d at 696-697. See, also, United States v. Spinella (C.A.5, 1975), 506 F.2d 426, 428-429.
United States v. Davis, supra, cited by Sanders, is distinguishable. There, a juror in a drug trafficking trial was dismissed after informing the court that one of his employees had discussed his jury service with him; the juror felt intimidated after his employee told him that “members of the community * * * were discussing his role in the proceedings.” Id., 177 F.3d at 556. Moreover, the juror admitted that he had discussed his fears with the other jurors. Yet the trial judge made no attempt at all to determine what effect the extraneous contact had upon the other jurors. Nor did he instruct the other jurors to disregard what the dismissed juror had told them. Id. at 556.
Here, in contrast, the trial judge asked the jurors whether the incident with the demonstrators had affected them. Moreover, he acted to allay possible prejudice by warning the demonstrators not to speak to the jurors, by telling the jurors he had done so, and by informing the jurors that the demonstrators had no connection to either party in the case.
Given the facts before the trial court, and the actions the court took, we find no abuse of discretion in its failure to go further still and interrogate each juror individually. Accordingly, we overrule Sanders’s twelfth proposition of law.
E. Sleeping Juror
The record indicates that one or more jurors may have fallen asleep during the trial. During a sidebar conference at trial, defense counsel alleged that Juror No. 3 appeared to have fallen asleep while the prosecution was playing tape-recorded phone conversations between inmate negotiators and DRC negotiators. Counsel asserted that the juror’s eyes were shut for about an hour and fifteen minutes, and that the juror was motionless for half an hour. Counsel noted that the defense had “previously commented about this problem” (apparently off the record) during Kenneth Law’s testimony. The judge said: “[0]bviously I’ve been watching her myself, and I’ll make some determination what to do while we still have alternate jurors.” Later that day, the judge told the jury he was keeping the courtroom temperature low “because there’s too much sleeping going on. And I’m not going to tolerate it anymore. I know it’s tedious, but you’re going to have to all be alert.”
In his thirteenth proposition, Sanders contends that having a juror asleep during trial denied him due process, and that the trial judge should have replaced Juror No. 3. Alternatively, Sanders contends that the trial court should at least have examined the juror to determine whether she really was sleeping and what she missed.
However, Sanders did not request either remedy at trial, nor did he express dissatisfaction with the trial judge’s handling of the matter. See United States v. Kimberlin (C.A.7, 1986), 805 F.2d 210, 244; United States v. Newman (C.A.1, 1992), 982 F.2d 665, 670. Moreover, “[tjhere is no per se rule requiring an inquiry in every instance of alleged [juror] misconduct.” United States v. Hernandez (C.A.11, 1991), 921 F.2d 1569, 1577; see, also, Newman, 982 F.2d at 670. Thus, in' the absence of plain error, this claim is waived. See, generally, State v. Childs (1968), 14 Ohio St.2d 56, 43 O.O.2d 119, 236 N.E.2d 545.
We find no plain error. A trial court “has considerable discretion in deciding how to handle a sleeping juror.” United States v. Freitag (C.A.7, 2000), 230 F.3d 1019, 1023; see, also, United States v. Bradley (C.A.3, 1999), 173 F.3d 225, 230. There is no evidence that the juror missed large or critical portions of the trial. See Freitag, supra, at 1023; United States v. Barrett (C.A.9, 1983), 703 F.2d 1076, 1083, fn. 13. The taped conversations between inmate and DRC negotiators were not critical. (The defense also alleged that a juror had fallen asleep during Law’s testimony, but nothing in the record shows which juror allegedly slept or what part of Law’s testimony that juror allegedly missed.)
Moreover, the trial judge was watching the situation, and he admonished the jury to be alert. Compare United States v. McFerren (Apr. 8, 1998), C.A.6 No. 96-5458, unpublished opinion, 1998 WL 180514 (affirming conviction where judge “kept a watchful eye on the jury” and, when necessary, admonished jurors to stay awake).
For the foregoing reasons, we do not find plain error. Sanders’s claim is therefore waived, and we overrule his thirteenth proposition of law.
II. Guilt Phase Issues
A. WeighVSufficiency of Evidence
In his thirtieth proposition of law, Sanders contends that his conviction was against the manifest weight of the evidence. See, generally, State v. Thompkins (1997), 78 Ohio St.3d 380, 387, 678 N.E.2d 541, 546-547. Pursuant to R.C. 2953.02, we can overturn a conviction as being against the manifest weight of the evidence in a capital case, but only where the crime was committed after January 1, 1995. See State v. Smith (1997), 80 Ohio St.3d 89, 102-103, 113, 684 N.E.2d 668, 683-684, 690-691.
However, we can treat Sanders’s manifest-weight claim as a challenge to the legal sufficiency of the evidence. See State v. Powell (1990), 49 Ohio St.3d 255, 260, 552 N.E.2d 191, 197. “[T]he relevant question is whether, after viewing the evidence in the light most favorable to the prosecution, any rational trier of fact could have found the essential elements of the crime beyond a reasonable doubt.” (Emphasis sic.) Jackson v. Virginia (1979), 443 U.S. 307, 319, 99 S.Ct. 2781, 2788-2789, 61 L.Ed.2d 560, 573; State v. Jenks (1991), 61 Ohio St.3d 259, 574 N.E.2d 492, paragraph two of the syllabus.
The state’s evidence showed that Sanders was the leader of the Muslim inmates at SOCF; that he planned and led the takeover; that, at a meeting of inmate leaders, Sanders supported killing a guard; that the leaders decided to do so; that Sanders ordered James Were to execute that decision; and that, as a result, Were and others killed Vallandingham.
Inmates Stacey Gordon and Reginald Williams testified that, before the riot, Sanders approached them to discuss his plan to take over part of the prison. Four guards testified that at the outset of the riot, Sanders said he was “running this” or “in charge.”
During the takeover and siege, Sanders ordered certain inmates punished and others protected. There was abundant evidence that Muslim inmates obeyed Sanders even when he ordered them to kill. For instance, Sanders ordered Muslim inmates to kill inmate Johnny Fryman. Sanders and other inmates attacked Fryman, stabbed him, and left him for dead (although he lived to testify against Sanders).
The Muslim inmates also obeyed Sanders when he ordered them not to kill, as when he saved the life of inmate Miles Hogan. When Sanders learned that certain inmates had been murdered without his authorization, he became upset and shouted: “Who ordered that?”
Lomache, Lavelle, and Snodgrass testified that Sanders was at the April 14 meeting and agreed that a guard should be killed if demands were not met. Snodgrass quoted Sanders as saying: “Look, this is our bargaining chipsQ we got to keep him safe.” (Emphasis added.)
On the night before the murder, Hogan overheard inmates Skatzes and Cummings tell Sanders “about somebody that was supposed to kill a correctional officer [and] had backed out of it.” According to Hogan, Sanders complained that he was “sick” of people “saying they was going to do something and then back[ing] out of it at the last minute.” Cummings said he “would make sure this got done,” and Sanders replied: “Well somebody’d better do it.”
This evidence shows Sanders’s complicity in Vallandingham’s murder. It proved that he intended to kill Vallandingham and that he engaged in prior calculation and design. The evidence here is clearly sufficient to support the verdict. Sanders’s thirtieth proposition is overruled.
B. Expert Assistance
An indigent defendant has a due process right to hire expert assistance at state expense where he can make “a particularized showing (1) of a reasonable probability that the requested expert assistance would aid in his defense, and (2) that denial of the requested expert would result in an unfair trial.” State v. Mason (1998), 82 Ohio St.3d 144, 694 N.E.2d 932, syllabus. Sanders’s first proposition of law claims that he was improperly denied the assistance of experts on audiotape analysis and hypnosis.
Audiotape-analysis expert. Having received copies of the “tunnel tapes” in discovery, Sanders sent one to Steve Cain, a forensic scientist, who set forth his findings in a document entitled “Preliminary Lab Report.” Cain found “anomalies” in the tape: discontinuities in ongoing speech, abrupt ends to conversations, and changes in background noise. In Cain’s opinion, these anomalies suggested that someone might have edited the original recording, but to determine whether editing had occurred, Cain needed to examine the original.
Sanders filed a motion for expert assistance, with Cain’s report attached, asking the court to appoint an expert in tape-recording analysis. The trial court denied the motion.
At trial, FBI agent Mark A. Hopper testified that the. persons monitoring the recorders would have turned them off when conversation stopped, listened periodically for further conversation, and turned the recorders back on when they heard conversation. Hopper had helped to set up the equipment but did not observe the monitoring.
The court of appeals held that expert assistance was unnecessary because the discontinuities in the conversations were explained by the fact that the recorders were turned on and off. However, Cain’s report identified three instances where, in his opinion, a discontinuity was apparently not accompanied by a starting or stopping of the recorder.
Nevertheless, we find no error in the trial court’s denial of the motion. Although Cain’s report did show a possibility that the tape was edited, Sanders did not show how the alleged edits could have affected his case. His motion did not explain how the allegedly edited version of Tunnel Tape 61 differed from the actual conversation or how it would tend to falsely implicate him in the offenses charged. Hence, he did not make a “particularized showing” that the requested expert could help his defense. Mason, 82 Ohio St.3d 144, 694 N.E.2d 932, syllabus.
Hypnosis expert. Sanders filed a motion for the appointment of an expert on hypnotically refreshed testimony and a motion to prohibit such testimony. He attached statements from two such experts who had read a transcript of an investigator’s interview with Correctional Officer Michael Hensley. One expert believed that Hensley had been hypnotized to refresh his memory. This expert based his conclusion on the fact that Hensley’s psychologist had told him that looking at prisoners or mug shots might trigger his memory. The second thought it possible that Hensley had been hypnotized, leading to false memories.
The trial court held a hearing on Sanders’s motion. At the hearing, Hensley testified that he had not been hypnotized. Correctional Officer Darrold Clark also testified that he had not been hypnotized. Sanders theorized that Hensley and Clark might have been hypnotized without knowing it, but he submitted no evidence that this had happened. The court found that Sanders had failed to show that the two guards had been hypnotized, and thus denied the motion for expert assistance.
Since no evidence supported Sanders’s theory that Hensley or Clark had been hypnotized, Sanders failed to show a reasonable probability that a hypnosis expert would aid his defense or that denial of an expert would result in an unfair trial. We find no error in the denial of the motion.
C. Prejudicial Evidence
In his eleventh proposition of law, part A(2)(3) of his fifth proposition, and part B of his seventeenth, Sanders contends that the state introduced irrelevant, unfairly prejudicial evidence against him.
The state introduced a great deal of evidence of various assaults and murders committed by other inmates. In many cases, Sanders was not involved in these particular crimes. Sanders argues that this evidence was irrelevant.
Inmate Roger Snodgrass admitted that he helped kill two inmates. Snodgrass’s participation in the riot and vulnerability to criminal charges went to his credibility, and the state was entitled to “draw the sting” of cross-examination by bringing out facts discrediting Snodgrass on direct. See State v. Tyler (1990), 50 Ohio St.3d 24, 34, 553 N.E.2d 576, 590.
Inmate Keith Lamar’s murders of suspected informants in L-6 was also relevant. There was testimony that Sanders ordered certain inmates locked up for their own protection because he knew that Lamar was killing “snitches.” This showed Sanders’s power to make life-or-death decisions.
Similarly, we find relevant the assault on inmate Andre Stockton. Muslim inmate Reginald Williams testified that when another Muslim assaulted Stockton, Williams made him stop because Sanders had not ordered it.
The assaults on the prison guards during the takeover tell the story of the takeover, explaining how the prisoners came to be in control, and were a necessary piece of stage-setting.
Moreover, evidence of the widespread assaults and killings that took place during the riot showed that a dangerous situation prevailed in L-Block. The existence of a dangerous situation, combined with the fact that Sanders was obeyed when he ordered that certain people not be harmed, showed how far his influence with the rioting prisoners extended; in fact, it showed that Sanders possessed power over life and death. That supports the state’s claim that, by ordering Vallandingham killed, he caused Vallandingham to be killed. The numerous assaults on guards and inmates also tended to show that when Sanders issued orders to kill, he could assume that they would be carried out. That tends to show Sanders’s murderous intent.
Evidence of the terror experienced by the kidnapped guards indicates that the guards would be unlikely to forget what they had undergone, which goes to their credibility as witnesses.
Since reasonable bases exist to hold that all the evidence at issue was relevant, the ultimate decision on relevance rested in the trial judge’s broad discretion. Hence, its admission did not amount to plain error, since under Crim.R. 52(B) plain error must be “obvious” as well as outcome-determinative. See State v. Keith (1997), 79 Ohio St.3d 514, 518, 684 N.E.2d 47, 54. Because no plain error occurred, Sanders’s failure to object at trial waived these claims.
In his fourteenth proposition, Sanders claims that the state used an excessive number of gruesome photographs of the two murder victims, Vallandingham and Bruce Harris. Sanders did not object at trial, waiving this issue.
Sanders contends that numerous crime-scene and autopsy photos of Bruce Harris were repetitive, showing the same things from slightly different angles or distances. However, these photos were not prejudicial, since the jury acquitted Sanders of murdering Harris. Sanders further claims that the autopsy photos of Vallandingham are cumulative. But the photos in question were not so gruesome as to arouse prejudice.
Admission of these photos does not reach the level of plain error. Thus, Sanders’s failure to object at trial waives this issue.
Sanders’s eleventh and fourteenth propositions of law, parts (A)(2) and (3) of his fifth proposition of law,' and part B of his seventeenth proposition of law are overruled.
D. Exclusion of Defense Evidence
Sanders’s fifteenth proposition of law and parts C(4) and C(5) of his first proposition allege that defense evidence was wrongly excluded.
During the siege, FBI agents tape-recorded conversations in L-Block with equipment placed in tunnels underneath the cellblock. At trial, these were referred to as “Tunnel Tapes.” During Sanders’s testimony, the defense attempted to introduce Tunnel Tape 61, which recorded an inmate meeting. The defense had originally attempted to play this tape during the cross-examination of inmate Roger Snodgrass, a state’s witness. However, the tape was not played then because there was no machine available to play it. The defense contended that the state had altered the tape in such as way as to frame Sanders.
The trial judge ruled that Sanders could play the tape but said that Sanders could not “comment” on the tape during his testimony. The judge then clarified his ruling: “If [Sanders] wants to testify that that’s not his voice * * * or that’s the voice of Gordon or that’s the voice of someone else because he recognizes it, I’ll let him do that.” (Emphasis added.) However, the judge added, because Sanders was not an expert, he could not say that the tape was “faked.”
Sanders claims that the trial court “deprived the defense of an opportunity to play the tape and impeach the State’s witnesses, who had previously testified about this meeting.”
However, the trial court did not prevent Sanders from playing the tape. Moreover, Sanders was free to identify voices and explain how the tape differed from the actual conversation.
Furthermore, Sanders did not attempt to authenticate the tape by proffering “evidence sufficient to support a finding that the matter in question is what its proponent claims.” Evid.R. 901(A); see, also, Evid.R. 901(B)(1). Sanders did not show that the tape he wanted to play was either the original tape or the same copy of that tape that the state had given him in discovery. Thus, he laid no foundation from which the jury could find that the state was responsible for any alleged alterations of the recording.
Sanders tried to introduce Tunnel Tape 60, which recorded another meeting in which David Lomache spoke vehemently in favor of the rioters’ objectives. (Lomache admitted making this speech but claimed that he had been “acting.”) The defense tried to use the tape as a prior inconsistent statement to impeach Lomache’s testimony that he had not been in favor of the riot.
The trial court excluded the tape. Sanders argues that the trial court, by refusing to let him play the tape, denied him the opportunity to subject the state’s case to adversarial testing.
However, although the tape itself was excluded, the defense was allowed to confront Lomache on cross-examination with a transcript of the tunnel tape. Indeed, defense counsel got Lomache to admit that he made a “pep rally” speech at the meeting and that he had feared that these statements might cause him to be prosecuted for his involvement in the riot. Since Lomache’s testimony was subjected to adversarial testing, we reject Sanders’s Sixth Amendment claim.
At trial, the defense attempted to introduce a record of inmate attendance at religious services in SOCF. The defense proffered the attendance record to show that “two of the people they alleged are Muslims never attended Muslim services.” The defense did not state which two inmates it was referring to. The trial judge, finding the exhibit’s relevance “tenuous,” excluded it. Sanders claims that this was error.
Sanders contends that the exhibit impeached the credibility of certain inmates by showing that they “lied about being Muslim.” But since the defense never identified the inmates in question, we are unable to determine whether it had any impeachment value as to those inmates. In any event, because the exhibit covered only a limited period (December 1992-March 1993), it did not show that any given inmate never attended services.
Trial courts have broad discretion in determining the relevance or irrelevance of evidence. See State v. Hymore (1967), 9 Ohio St.2d 122, 128, 38 O.O.2d 298, 302, 224 N.E.2d 126, 130. The trial judge here did not abuse his discretion by excluding the attendance record: his finding that it had “tenuous” relevance was reasonable under the circumstances.
Sanders’s fifteenth proposition of law is overruled.
E. Assigning Blame for the Riot
SOCF Deputy Warden David See testified for the state. On cross-examination, Sanders attempted to ask See about a series of TB tests performed on SOCF inmates in 1982 and 1983. The state objected. According to Sanders’s proffer, See conducted the 1982-1983 tests in a “non-eonfrontational” manner, and See described that method to Tate a few days before the riot and “suggested that this would be a more peaceful means of resolving the matter.” The trial judge ruled the proffered testimony irrelevant and sustained the objection. He also sustained the state’s objection to Sanders’s attempt to cross-examine Tate regarding prison conditions that may have contributed to the riot.
At trial, the state introduced portions of tape-recorded phone conversations between inmates and DRC negotiators. The defense asked that other parts of these “negotiation tapes” be played to show that “the prison administration did not take the inmates seriously and did not negotiate in good faith.” The trial court denied the request.
Sanders challenges these rulings by the trial court in his part C(4) of his first and in his sixteenth propositions of law. He argues essentially that, if the state was permitted to show that he was responsible for the riot, then the defense had a right to show that the prison administration also bore some responsibility for it.
However, the guilt phase of the trial was not supposed to be a free-floating inquiry into who should bear the most blame for the riot. Its purpose was to determine whether Sanders was guilty of the murder of Vallandingham and the other crimes he was charged with. The relevance of either side’s evidence must be evaluated with that in mind.
Evidence that Sanders instigated and led the riot was not introduced for the purpose of showing that Sanders, as opposed to the prison administration, was “responsible” for the riot. Instead, it was introduced to show that he was an inmate leader whose orders were obeyed — a fact that was directly relevant to his culpability for Vallandingham’s murder.
On the other hand, evidence that the prison administration may have contributed to the tensions that led to the riot was utterly irrelevant to the guilt phase. It did not negate the evidence showing that Sanders organized and led the riot, nor did it negate the evidence showing that Sanders ordered the murder of Vallandingham. It may explain why Sanders did what he did, but it provides neither justification nor excuse for his acts.
Nor was DRC’s alleged refusal to “negotiate in good faith” relevant in the guilt phase. Let us be clear: The authorities in lawful charge of a prison have no duty to “negotiate in good faith” with inmates who have seized the prison and taken hostages, and the “failure” of those authorities to negotiate is not an available defense to inmates charged with the murder of a hostage.
For these reasons, the trial court did not err in excluding the proffered evidence from the guilt phase of trial. Sanders’s sixteenth proposition of law is overruled.
F. Failure to Admonish Witnesses
The trial judge ordered a separation of witnesses pursuant to Evid.R. 615 but refused a defense request that he admonish witnesses not to discuss their testimony with other witnesses. In his eighteenth proposition, Sanders claims that this refusal was error. However, the trial court has discretion to grant or deny such a request. See State v. Richey (1992), 64 Ohio St.3d 353, 364-365, 595 N.E.2d 915, 926. At trial, Sanders “failed to demonstrate any need for the measures he requested,” id. at 365, 595 N.E.2d at 926; Richey, supra, and he now “fails to cite specific instances of preventable discussions, or any prejudice from the lack of such orders.” Id. Sanders’s eighteenth proposition is overruled.
G. Discovery Issues
At trial, Sanders asked for material from DRC files concerning certain inmate-witnesses. Inmates violating prison rules can be disciplined by a Rules Infraction Board (“RIB”); Sanders asked for any RIB hearing records involving the inmate-witnesses. The prosecution did not review the RIB files, taking the position that it had no duty to disclose those files to the defense because they were not in the possession of the prosecution. At trial, Sanders argued that either the state or the trial court had a duty at least to review the RIB files and determine whether they contained Brady material. In part C(3) of his first proposition of law, Sanders contends that the court’s refusal to order the prosecutor to review the RIB records was error.
Usually, “it is the state that decides which information must be disclosed,” and that decision “is final.” Pennsylvania v. Ritchie (1987), 480 U.S. 39, 59, 107 S.Ct. 989, 1002, 94 L.Ed.2d 40, 59. See, also, State v. Patterson (1971), 28 Ohio St.2d 181, 182, 57 O.O.2d 422, 423, 277 N.E.2d 201, 203. In this case, however, the prosecution did not review the requested RIB files, claiming that the files were not in its possession. The state’s citation of State v. Lawson (1992), 64 Ohio St.3d 336, 595 N.E.2d 902, to support its defense of lack of access is inapposite. In Lawson, the defendant sought disclosure of FBI records, which were outside the state’s possession because they belonged to a separate sovereign, the United States. Id. at 344, 595 N.E.2d at 909. But the prosecutor and DRC are agents of the same sovereign, the state of Ohio.
Prosecutors have “a duty to learn of any favorable evidence known to the others acting on the government’s behalf in the case, including the police.” (Emphasis added.) Kyles v. Whitley (1995), 514 U.S. 419, 437, 115 S.Ct. 1555, 1567, 131 L.Ed.2d 490, 508. The Brady obligation thus extends to information held by state or local agencies involved in the investigation or prosecution at issue. United States v. Morris (C.A.7, 1996), 80 F.3d 1151, 1169.
Yet even so, in order to invoke a right to disclosure, or a concomitant prosecutorial duty to search records, a defendant must make a preliminary showing that the requested files actually contain material, exculpatory information. See United States v. Brooks (C.A.D.C.1992), 966 F.2d 1500, 1503-1504; United States v. Santiago (C.A.9, 1995), 46 F.3d 885, 894-895; United States v. Burnside (N.D.Ill.1993), 824 F.Supp. 1215, 1254. He “may not require the trial court to search through [a state agency’s] file without first establishing a basis for his claim that it contains material evidence.” Pennsylvania v. Ritchie, supra, 480 U.S. at 58, 107 S.Ct. at 1002, 94 L.Ed.2d at 58, fn. 15.
Here Sanders’s request was not supported by facts to indicate that any material exculpatory or impeaching information actually was in the specified records. The request itself did not identify any such information. Rather, Sanders made a broad request for any information related to “misconduct,” “bad acts,” or “antisocial acts” by any inmate who was to be a witness. We note that, assuming that such material existed, much of it would likely have been unusable as impeachment. Specific instances of a witness’s misconduct could not be proved by extrinsic evidence, and could be raised on cross-examination only if clearly probative of truthfulness or untruthfulness. Evid.R. 608(B).
“[A] specific request will sometimes require the trial court to review the contested matter in camera to determine whether it is material or exculpatory despite representations to the contrary by the prosecutor.” (Emphasis added.) State v. Lawson, 64 Ohio St.3d at 344, 595 N.E.2d at 909. But Sanders did not make a specific request, and he submitted no facts to the trial court that would indicate that impeachment material actually existed in the RIB files. We therefore conclude that neither the trial court nor the prosecutors were required to review the RIB files for Brady material.
In his twenty-eighth proposition, Sanders contends that the trial court should have given him access to the grand jury testimony of inmates involved in the riot. Sanders failed to raise these issues in the court of appeals. He thereby waived them. Sanders’s twenty-eighth proposition is overruled.
H. Instructions
Sanders’s third, nineteenth, twentieth, twenty-first, and thirty-third propositions of law allege error in the guilt-phase instructions. However, all these claims were waived at trial by failure to object, and none of the alleged errors amounts to plain error.
In his twenty-first proposition, Sanders contends that the trial judge erred in defining the R.C. 2929.04(A)(7) felony-murder specification to the count charging him "with the felony-murder of Vallandingham under R.C. 2903.01(B). The judge did not instruct that, to find the felony-murder specification, the jury must determine whether the defendant committed aggravated murder while committing kidnapping and that he did so with prior calculation and design. Instead, Sanders argues, the court’s instruction allowed the jury to find the specification based on the existence of prior calculation and design alone!
It is true that the trial court mistakenly omitted the element of committing aggravated murder during kidnapping from its instruction on the felony-murder specification to the felony-murder count. However, the felony-murder count to which the specification was attached was predicated on the commission of murder during a kidnapping, and the jury was instructed that it must find Sanders guilty of kidnapping in order to find him guilty of aggravated murder on that felony-murder count. Thus, the instruction on the specification presupposed that the jury had already found Sanders guilty of kidnapping, since without having so found, the jury could not have convicted him of the felony-murder count to which the specification was attached.
Plain error exists only when it is clear that the verdict would have been otherwise but for the error. State v. Long (1978), 53 Ohio St.2d 91, 7 O.O.3d 178, 372 N.E.2d 804. In this case, had the judge instructed correctly, the verdict would have been precisely the same, since the jury did find Sanders guilty of murder during kidnapping by returning a verdict of guilt on the felony-murder count (as well as the separate count alleging the kidnapping of Yallandingham). Thus, the error was not plain error, and Sanders waived it by failing to object.
Also in his twenty-first proposition, Sanders contends that the judge erred in defining the course-of-conduct specification. If the record is correct, the judge did err by twice substituting the word “intent” for “attempt.”
However, we do not find plain error. The verdict forms correctly stated the elements of the specification. Counsel for both parties correctly stated its elements in argument. Finally, the evidence supports a finding of the specification. Thus, it is not clear that the outcome of the guilt phase would have been otherwise — ie., that the jury would have failed to find Sanders guilty of the specification — had it not been for the error. There is no plain error.
Sanders claims two other instructional errors in his twenty-first proposition. First, he contends that the trial court’s instructions allowed the jury to infer the existence of prior calculation and design upon finding purpose to kill. However, the trial judge explained that prior calculation and design “means that the purpose to kill * * * was reached by a complete process of reasoning in advance of the actual killing, * * * including a studied consideration of the method and means with which to kill.” This was a clear, correct explanation of the concept of prior calculation and design.
Sanders further contends that the judge confused the jury by “equating” prior, calculation and design with premeditation. Sanders contends that the term “premeditation,” as Ohio courts defined it before 1974, includes momentary or instantaneous deliberation. Therefore, Sanders claims, the jury could have found prior calculation and design under this instruction even if it believed that Sanders had killed on the spur of the moment.
However, the trial court specifically instructed that “acting on the spur of the moment or after momentary consideration of the purpose to kill is not enough to amount to the kind of prior calculation and design necessary for this kind of aggravated murder.” (Emphasis added.)
Moreover, it is unlikely that the judge’s use of the word “premeditation” caused the jury to ignore or misapply this correct instruction. The judge never told the jury that “premeditation” includes instantaneous deliberation, and we see no reason to suppose that the jury was familiar with the history of the term “premeditation” as construed in Ohio courts before 1974. Finally, the evidence did not suggest in any way that Sanders decided to order Vallandingham’s death on the spur of the moment.
For these reasons, it is not clear that the jury’s verdict would have been otherwise but for the alleged error. Sanders’s claim is therefore not plain error under Long.
In his third proposition of law, Sanders alleges that the trial court gave a deficient instruction on complicity. He argues that the court failed to make clear that complicity in an offense requires the specific mental state required for that offense. Thus, he contends, the instruction may have allowed the jury to find him guilty of complicity, and therefore of aggravated murder, without finding that he specifically intended to kill Vallandingham.
However, instructions must be read as a whole. State v. Price (1979), 60 Ohio St.2d 136, 141, 14 O.O.3d 379, 382, 398 N.E.2d 772, 775. The trial judge made several strong statements that Sanders could be convicted of aggravated murder only if the state proved that he harbored the specific purpose to kill Vallandingham. He also explained how the jury could determine whether purpose existed, thus underlining that purpose was necessary to a conviction.
We find that the possibility of jury confusion with respect to this issue does not reach the level of plain error. Sanders’s third proposition is waived.
In his nineteenth proposition, Sanders claims that the robbery instruction equated robbery with stealing. However, the complete instruction states all the elements of robbery, including the use or threat of force.
He further argues that the judge in effect directed a verdict on the “deadly weapon” element of felonious assault and the “property” element of theft by instructing that a PR-24 (a police baton or nightstick) is a deadly weapon and that keys are property. However, it is far from clear that a differently instructed jury would have acquitted Sanders of these crimes, and no plain error exists here. Long, 53 Ohio St.2d 91, 7 O.O.3d 178, 372 N.E.2d 804.
In his twentieth proposition, Sanders contends that the kidnapping instruction was flawed because the trial court instructed the jury with respect to the “released unharmed in a safe place” language of R.C. 2905.01(C).
If a kidnapper releases his victim unharmed in a safe place, that fact reduces the offense of kidnapping from a first-degree to a second-degree felony. R.C. 2905.01(C). It is not an element of the offense; rather, the accused must plead and prove it in the fashion of an affirmative defense. See State v. Cornute (1979), 64 Ohio App.2d 199, 18 O.O.3d 152, 412 N.E.2d 416, syllabus. As Sanders points out, since he did not claim that Vallandingham was released unharmed in a safe place, that was not properly an issue.
Sanders argues that the instruction prejudiced him because an affirmative defense concedes the act constituting the crime. However, this argument fails, since the jury was never told that Sanders had conceded committing the- act.
Sanders further argues that the “released in a safe place unharmed” language was prejudicial because, by emphasizing that Vallandingham was killed, it “effectively created an improper aggravating circumstance.” But Sanders’s claim that the jury may have treated Vallandingham’s death as an aggravating circumstance rests wholly upon speculation. Thus, it is not clear that the outcome would have been otherwise but for the error, and we therefore cannot find plain error. Sanders’s twentieth proposition is waived, and we therefore overrule it.
Finally, Sanders’s thirty-third proposition, which claims that the statutory reasonable-doubt instruction is unconstitutional, is waived. We find no plain error. See State v. Van Gundy (1992), 64 Ohio St.3d 230, 594 N.E.2d 604.
Since none of the claimed instructional errors amounts to plain error, Sanders’s claims are waived by his failure to object at trial. Consequently, his third, nineteenth, twentieth, twenty-first, and thirty-third propositions of law are overruled.
I. Jury View
Sanders requested that the jury be brought to SOCF to view the scene of the riot. The state argued that the premises had changed so much since then that a jury view would not be helpful. The trial court agreed and denied the motion.
A trial court has broad discretion in such matters. State v. Zuern (1987), 32 Ohio St.3d 56, 58, 512 N.E.2d 585, 588. In part C(2) of his first proposition, Sanders argues that the trial judge here abused that discretion, but we disagree. The decision had a rational basis.
Sanders further contends that denial of a view denied him a meaningful opportunity to present a complete defense. We disagree. Denial of a view did not “significantly [undermine] fundamental elements of the defendant’s defense.” United States v. Scheffer (1998), 523 U.S. 303, 315, 118 S.Ct. 1261, 1267-1268, 140 L.Ed.2d 413, 422.
III. Penalty Phase Issues
A. Exclusion of Mitigation
In his second proposition of law, and in part D of his first proposition, Sanders argues that the trial court should have permitted him to introduce penalty-phase testimony on pre-riot “conditions” at SOCF to show the mental and emotional stress inflicted on inmates.
In the penalty phase, Sanders called Joseph R. Rowan, a correctional and criminal justice consultant. Rowan had been an expert witness in lawsuits concerning SOCF and had studied reports and depositions about the riot. Sanders asked him what problems existed at SOCF before the riot. The state objected.
In response, the defense made a proffer of Rowan’s testimony. Rowan stated that “psychological brutality” at SOCF, the fruit of poor administration, caused the riot. He stated that the warden could have prevented the riot with a different approach to the issue of TB testing. Finally, Rowan said that a public statement by a DRC employee, which angered the inmates, was “the major triggering factor” in Vallandingham’s murder.
The defense argued that the riot’s causes were relevant in mitigation because the state claimed that Sanders had started the riot. The defense wished to contradict that by showing that the inmates had intended not to riot but to stage “a short-lived demonstration in L-6,” which “got out of control.” The defense offered to show that prison conditions made SOCF “ripe for disturbance” that, once started, would inevitably become “uncontrollable.” However, the trial court excluded Rowan’s testimony, holding that the causes of the riot were “irrelevant” and “not a mitigating factor.”
In our view, the trial court erred: Rowan’s testimony was relevant mitigation. The Eighth Amendment allows a capital defendant to introduce “any aspect of [his] character or record and any of the circumstances of the offense that the defendant proffers as a basis for a sentence less than death.” (Emphasis added.) Lockett v. Ohio (1978), 438 U.S. 586, 604, 98 S.Ct. 2954, 2965, 57 L.Ed.2d 973, 990. See, also, State v. McGuire (1997), 80 Ohio St.3d 390, 403, 686 N.E.2d 1112, 1122-1123. R.C. 2929.04(B) also requires the sentencer to consider “the nature and circumstances of the offense.”
Since Vallandingham’s murder was a direct result of the riot, we think that the riot and its causes are “circumstances of the offense” and therefore relevant to mitigation. Hence, Sanders had a right to show in the penalty phase why the prisoners rioted. Additionally, the fact that Sanders may have acted in anger caused by the DRC employee’s statement is relevant mitigation.
It is true, as we explain supra, that the causes and motivations of the riot do not justify or excuse the riot, much less the murders committed during the riot. Thus, the trial court quite properly excluded it from the guilt phase. But a court may not exclude relevant mitigation, as a matter of law, from the penalty phase on the ground that the asserted mitigating factor fails to justify or excuse the crime. Eddings v. Oklahoma (1982), 455 U.S. 104, 113-114, 102 S.Ct. 869, 876-877, 71 L.Ed.2d 1, 10-11.
This error does not require a new sentencing hearing, however. We have held that, when independently reviewing a death sentence pursuant to R.C. 2929.05(A), we may “consider proffered evidence that the jury was erroneously not allowed to consider.” State v. Williams (1996), 74 Ohio St.3d 569, 578, 660 N.E.2d 724, 733. Thus, we can cure the trial court’s error by considering Rowan’s proffered testimony in our independent review, infra.
B. Guilt-Phase Evidence in Penalty Phase
Sanders contends that the trial court should not have permitted the reintroduction of all guilt-phase evidence in the penalty phase. See State v. Getsy (1998), 84 Ohio St.3d 180, 201, 702 N.E.2d 866, 887; but, compare, State v. Woodard (1993), 68 Ohio St.3d 70, 78, 623 N.E.2d 75, 81; and see, generally, R.C. 2929.03(D)(2). However, Sanders did not object, so this issue is waived.
C. Opinions of Victim’s Family
In part C of his seventeenth proposition, Sanders complains that Vallandingham’s mother was allowed to address the judge at the final sentencing hearing and request a death sentence. Permitting the statement was improper. See, e.g., State v. Huertas (1990), 51 Ohio St.3d 22, 27, 553 N.E.2d 1058, 1065. However, since only the judge heard the request — the jury having rendered its sentencing recommendation and been dismissed — and since a trial judge is presumed to have considered only the competent and material evidence, the impropriety does not reach the level of plain error. See State v. Post (1987), 32 Ohio St.3d 380, 384, 513 N.E.2d 754, 759.
D. Penalty-Phase Instructions
In State v. Brooks (1996), 75 Ohio St.3d 148, 661 N.E.2d 1030, we held that a jury need not unanimously reject the death penalty before it may consider a life sentence. Instead, “the jury, when it cannot unanimously agree on a death sentence, [is required] to move on in their deliberations to a consideration, of which life sentence is appropriate, with that determination to be unanimous.” Id. at 162, 661 N.E.2d at 1042.
In his fourth proposition of law, Sanders conte