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    "parties": [
      "THE PEOPLE OF THE STATE OF ILLINOIS, Appellee, v. WILLIAM CLAIR KEENE, Appellant."
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        "text": "JUSTICE FREEMAN\ndelivered the opinion of the court:\nA Stephenson County jury convicted William Keene of armed robbery and murder and sentenced him to death. In this direct appeal (720 ILCS 5/9 \u2014 l(i) (West 1992); 134 Ill. 2d R. 606), we affirm the convictions and sentence.\nBACKGROUND\nEvidence showed that Keene and two others, Larry Ehlers and Michael Hoover, planned to rob Bob Peters\u2019 gun shop in Freeport, Illinois. On November 11, 1992, the three left Andrea Krueger\u2019s home in Tinley Park, Illinois, travelling to Freeport in a rented vehicle. They spent the night in a motel room which Ehlers had registered for under an alias.\nEarly the next morning, Keene, Ehlers, and Hoover drove to the gun shop. Biding their time until Peters was alone, the three entered. Ehlers was armed with a handgun. To distract Peters, Hoover asked to see one of the knives for sale. Ehlers then shot Peters in the chest. Peters did not immediately fall, and Ehlers shot him again in the head. Peters collapsed between the sales counter and a cabinet behind it. While Peters was on the floor, incapacitated but still alive, his throat was slit.\nAfter collecting guns, knives, and money from Peters\u2019 wallet, Keene, Ehlers, and Hoover drove back to Tinley Park.\nThe jury determined Keene to be eligible for death, finding that he had slit Peters\u2019 throat. The primary evidence of that was supplied by Hoover, who had agreed to testify against Ehlers and Keene in a plea bargain with the State. Hoover told the jury that, during the drive back to Tinley Park, the three had recounted what had happened in the gun shop. Hoover said that Keene admitted to having slit Peters\u2019 throat, though Hoover admitted that he had not actually seen Keene do so. Hoover said, however, that he had seen Keene behind the counter where Peters collapsed.\nOther evidence corroborated Hoover\u2019s testimony. Keene had admitted to police that he was left-handed. Hoover and Ehlers were right-handed. Larry Blum, a pathologist, believed that whoever had slit Peters\u2019 throat had likely held the knife in his left hand. Blum based his opinion on how the cut looked to have been formed and the position of Peters\u2019 body.\nAgainst those general facts, Keene raises several challenges to his convictions and sentence. Greater detail regarding the issues is set out in the discussion of them below.\nDISCUSSION\nDenial of Funds for a Defense Pathologist The defense sought the appointment of an expert in pathology, intending to counter the evidence that a left-handed person had slit Peters\u2019 throat. Funds were allowed for a private investigator, but not a pathologist. Refusal of such funds, Keene argues, violated due process and equal protection guarantees, undermined the credibility of the sentencing determination and deprived him of effective assistance of counsel. Ill. Const. 1970, art. I, \u00a7 8; U.S. Const., amends. VI, VIII, XIV.\nIn People v. Lawson (1994), 163 Ill. 2d 187, we touched on the constitutional protections relevant to indigents\u2019 requests to secure experts. As a matter of Illinois constitutional jurisprudence, the protections are triggered when the expertise sought goes \"to the 'heart of the defense.\u2019 \u201d (Lawson, 163 Ill. 2d at 220-22, quoting People v. Watson (1966), 36 Ill. 2d 228, 234.) Of course, whether the expertise sought is of that nature will vary with the circumstances of each case. (Watson, 36 Ill. 2d at 234.) The touchstone, however, is not with what is useful, helpful, valuable, or even important to the defense effort but what is \"crucial\u201d to it. (People v. Glover (1971), 49 Ill. 2d 78, 82-83 (acknowledging that prejudice is necessarily present when an issue is \"crucial\u201d to the defense).) A similar concern lies at the core of the last of the elements that the Supreme Court has identified as relevant to providing indigents \"raw materials\u201d for building a defense. Ake v. Oklahoma (1985), 470 U.S. 68, 77-82, 84 L. Ed. 2d 53, 62-65, 105 S. Ct. 1087, 1093-96.\nWhat is crucial to the defense effort is often made plain in taking account of the inculpatory evidence offered. (Cf. Ake v. Oklahoma, 470 U.S. at 82-83, 84 L. Ed. 2d at 65-66, 105 S. Ct. at 1095-96 (holding that where a defendant\u2019s sanity at the time of the offense is to be a significant factor at trial, the defendant is entitled to funds for an expert in psychiatry).) Thus, in Lawson, where the State\u2019s \"strongest piece of evidence\u201d was shoe-prints, the defendant was entitled to have an expert examine them. (Lawson, 163 Ill. 2d at 228-29.) And, in Watson, where prosecution for delivery of a forged traveler\u2019s check turned on the instrument\u2019s counter signature, the defendant was entitled to a handwriting expert. (Watson, 36 Ill. 2d at 234.) But, in Bell, no need was shown for a medical expert to prove the defendant\u2019s drug dependency, addiction being irrelevant to the charge of narcotics possession there. People v. Bell (1972), 53 Ill. 2d 122, 129-30.\nAn expert opinion that Peters\u2019 throat was not slit by someone using his left hand could have helped rebut the evidence that Keene, the sole left-handed perpetrator, was responsible. But the State\u2019s case against Keene did not turn on proof that the act could only have been done by a left-handed person. That belies the notion that a pathologist\u2019s participation was crucial to the defense.\nBlum\u2019s testimony was only that it was likely that whoever had slit Peters\u2019 throat had done so holding the knife in the left hand. The cut, Blum believed, was formed by the knife passing from the right side of Peters\u2019 throat to the left. Making such a cut would have been awkward for a person holding the knife in his right hand given where Peters lay on the floor. But Blum never excluded the possibility that the actor could have held the knife in the right hand. He simply believed it unlikely. Nor, it should be noted, did Blum\u2019s testimony do anything to dispel the idea that a right-handed person, using the weaker hand, might have inflicted the wound.\nMore importantly, the primary evidence against Keene was not Blum\u2019s opinion as to how Peters\u2019 throat had been slit. The core of the State\u2019s case was Hoover\u2019s testimony that Keene had admitted complicity. A defense pathologist may have rendered an opinion contrary to Blum\u2019s. But such could only indirectly refute what Hoover recounted of Keene\u2019s responsibility for slitting Peters\u2019 throat. Thus, the issue of how Peters\u2019 throat was slit was not, in that way, crucial to Keene\u2019s defense. We therefore find no error in the decision not to make funds available to Keene to retain a pathologist.\nFailure to Excuse Venireperson\nHaving used all of its allotted peremptory challenges, the defense unsuccessfully sought to excuse for cause from the venire Delbert Folgate. Folgate, it is asserted, was predetermined to \"automatically\u201d vote for death and therefore should not have served as a juror.\nAs the point was not set out in Keene\u2019s post-trial motion, the State urges that we ignore it. The State argues that \"plain error,\u201d which it says is the means to reach the issue\u2019s merits, is not satisfied by the circumstances of the case.\nGenerally, the filing of a post-trial motion is necessary to preserve issues for appellate review. The requirement is a statutory one (see 725 ILCS 5/116 \u2014 1 (West 1992)), different from the additional, initial need for a timely trial objection. (See People v. Enoch (1988), 122 Ill. 2d 176, 187.) Where a post-trial motion has been filed, the statutory requirement is interpreted to also mandate inclusion of the particular points sought to be raised on appeal. See, e.g., People v. Thomas (1984), 121 Ill. App. 3d 883, 891.\nIn capital cases, however, procedural defaults are excused for three categories of error: errors for which a timely trial objection was made and which could be asserted in a post-conviction petition (725 ILCS 5/122 \u2014 1 (West 1992) (permitting only claims of \"substantial denial of *** rights under the Constitution of the United States or of the State of Illinois\u201d)), challenges to the sufficiency of the evidence, and \"plain\u201d errors. (People v. Enoch (1988), 122 Ill. 2d 176, 190.) The categories are mutually exclusive. See generally M. Graham, Cleary & Graham\u2019s Handbook of Illinois Evidence \u00a7 103.10, at 33 (6th ed. 1994) (noting that both \"plain\u201d and \"reversible\u201d error exist only with regard to a \"substantial right\u201d but that, if that term had the same meaning for both types of error, the requirement of a timely trial objection would be rendered inconsequential).\nPlain error is not the reason for which the merits of Keene\u2019s argument may be considered. The purported error \u2014 participation of a juror who would vote indiscriminately to impose death \u2014 is assailable as a fourteenth-amendment-based due process claim. (See Morgan v. Illinois (1992), 504 U.S. 719, 728-29, 119 L. Ed. 2d 492, 502-03, 112 S. Ct. 2222, 2229-30.) The Post-Conviction Hearing Act accommodates such a claim. Further, there had been a contemporaneous trial objection made to Folgate\u2019s jury participation. Keene\u2019s claim here therefore need not rise to the level of plain error to excuse the procedural bar.\nThe contention, however, fails substantively. Folgate did initially say during voir dire that he was \"for\u201d the death penalty and would vote to impose it if Keene should be found guilty. But Folgate\u2019s answers to later questions show that he simply misunderstood, at first, the sentencing options. Folgate had thought that Keene was to be put to death if found guilty on one or all of the pending charges. Folgate was confused by questions indicating that he did not have to vote for death and said so. The trial judge then explained that the imposition of death was not automatic given a finding of guilt. He also explained the difference between a finding of death eligibility in the first stage of the sentencing considerations and the imposition of that penalty in the second stage. Folgate then indicated that he would not vote for death if he believed, in the end, that the ultimate penalty was inappropriate.\nThe record does not, therefore, reveal what is essential to Keene\u2019s claim: Folgate\u2019s promise to vote for death regardless of mitigating circumstances. There was no error in the refusal to dismiss Folgate for cause.\nExclusion from Voir Dire Examination\nAs part of his plea bargain, Hoover accepted a 40-year prison sentence on one count of murder. He also agreed to serve a concurrent 15-year sentence for armed robbery. But prior to testifying at trial, Hoover moved to withdraw his plea. He felt that the sentence he had agreed to was too harsh. Correspondence also indicated that Hoover feared harm in jail if he testified for the State. The State believed Hoover\u2019s cooperation was in jeopardy. It sought, and was allowed, to question Hoover outside of the jury\u2019s presence to see if he would testify as he had promised.\nThe trial judge excluded Keene from the courtroom during Hoover\u2019s voir dire. Although defense counsel was present, Keene contends that his exclusion violated his right to confront witnesses and his right to due process under the sixth and fourteenth amendments (U.S. Const., amends. VI, XIV). He also claims his sixth amendment right to effective assistance of counsel was violated. U.S. Const., amend. VI.\nThe measure for assessing whether Keene\u2019s exclusion violated due process and confrontation clause guarantees is Kentucky v. Stincer (1987), 482 U.S. 730, 96 L. Ed. 2d 631, 107 S. Ct. 2658. There, the Supreme Court considered the exclusion of the defendant from a hearing to determine the competency of two child witnesses to testify against him. The Supreme Court held that the exclusion did not violate either the sixth amendment or the fourteenth amendment.\nAs for the right of confrontation, the Court reasoned that the exclusion did not compromise the defendant\u2019s opportunity at trial to cross-examine the witnesses. (Kentucky v. Stincer, 482 U.S. at 740, 96 L. Ed. 2d at 644, 107 S. Ct. at 2664-65.) The children had been subjected to both direct and cross-examination at the competency hearing. The questions asked could easily have been repeated at trial. Kentucky v. Stincer, 482 U.S. at 740, 96 L. Ed. 2d at 644, 107 S. Ct. at 2664-65.\nHere, as in Stincer, defense counsel was present during Hoover\u2019s voir dire. This case differs in that the questioning of Hoover did not include cross-examination. But under the Supreme Court\u2019s confrontation clause analysis, the distinction is one of no material difference. The reason: it is the opportunity to cross-examine witnesses at trial, not earlier, that is determinative. So long as there is no interference with the usual opportunity for cross-examination at trial, no sixth amendment violation arises.\nOpportunity to cross-examine Hoover at trial was in no way interfered with by excluding Keene from the voir dire. Hoover appeared and testified in open court during Keene\u2019s trial. (See Stincer, 482 U.S. at 740, 96 L. Ed. 2d at 644, 107 S. Ct. at 2664-65.) Defense counsel could have repeated any question heard earlier. (See Stincer, 482 U.S. at 741, 96 L. Ed. 2d at 644, 107 S. Ct. at 2665.) Though such opportunity is not assured in every case, cross-examination being generally limited to matters raised on direct, there was no impediment to repeating the questions here. There was no violation of Keene\u2019s sixth amendment confrontation clause right.\nAs for due process, the Court\u2019s analysis in Stincer turned on the nature of the hearing from which the defendant had been excluded. The Court noted that the competency hearing was a limited one which did not reach the substance of the child witnesses\u2019 trial testimony. (Stincer, 482 U.S. at 745-46, 96 L. Ed. 2d at 647-48, 107 S. Ct. at 2667-68.) The respondent had presented no evidence to show that his presence would aid in the competency determination. (Stincer, 482 U.S. at 747, 96 L. Ed. 2d at 648,107 S. Ct. at 2668.) However, the Court noted in dictum that a different type of hearing \u2014 one \"in which a witness is asked to discuss upcoming substantive testimony\u201d \u2014 might bear a \"substantial relationship\u201d to the defense effort at trial. (Stincer, 482 U.S. at 746, 96 L. Ed. 2d at 648, 107 S. Ct. at 2667.) If so, a defendant\u2019s exclusion from the earlier hearing might amount to a due process violation.\nHere, the questioning of Hoover did touch upon his upcoming substantive trial testimony in addition to whether he would comply with the plea agreement. The State asked Hoover about his arrest and inquired as to when he had met Keene and Ehlers. Other questioning permitted the State to read into the record a written recitation of the facts to which Hoover had agreed to testify. The recitation included a summary of a tape-recorded statement Hoover had given to police upon his arrest. The taped statement was played. The same factual recitation, including the taped statement\u2019s contents, had been stipulated to earlier by Hoover and had been read at the announcement of Hoover\u2019s guilty plea.\nThe question is whether the substantive points elicited during the voir dire bore a \"substantial relationship\u201d to Keene\u2019s trial defense. (See Cates v. Cates (1993), 156 Ill. 2d 76, 80 (explaining that an expression in dictum of an opinion on a point argued by counsel and decided by a court, though not essential to the case at hand, should be followed where not erroneous).) Keene had certain personal knowledge of the events. Arguably, such knowledge would have put Keene in a position, had he been present for the voir dire, to assist defense counsel in evaluating Hoover\u2019s answers. Later at trial, Keene would have been in a position to point out inconsistencies in Hoover\u2019s testimony based on the earlier answers he, Keene, had observed. In that respect, Keene\u2019s \"privilege of presence\u201d would not be \"useless, or the benefit but a shadow.\u201d Snyder v. Massachusetts (1934), 291 U.S. 97, 106-07, 78 L. Ed. 674, 678, 54 S. Ct. 330, 332.\nBut, in fact, Keene\u2019s exclusion from the voir dire could not have hampered \u2014 or, to mirror the Court\u2019s concern, Keene\u2019s presence could not have advanced (see Stincer, 482 U.S. at 747, 96 L. Ed. 2d at 648, 107 S. Ct. at 2668) \u2014 the defense. A court reporter transcribed the voir dire. Hoover\u2019s answers were a part of the trial record. What Hoover had said was available for Keene to review before Hoover took the stand. Keene therefore enjoyed the opportunity to assist defense counsel in revealing falsehoods or pointing out inconsistencies in Hoover\u2019s trial testimony. Moreover, the substantive evidence of note touched on during the voir dire \u2014 that regarding the events of the morning of November 12, 1992 \u2014 had been previously disclosed in open court when Hoover pled guilty. No new substantive evidence was reached.\nKeene has presented no other grounds to establish a \"substantial relationship\u201d between the answers Hoover gave during voir dire and Keene\u2019s trial defense. Because Keene\u2019s ability to defend himself at trial was not in any way materially affected by his exclusion during Hoover\u2019s voir dire, there was no due process violation.\nFinally, there is the contention that Keene\u2019s exclusion violated his right to effective assistance of counsel. Keene takes no issue with what counsel actually did or did not do regarding Hoover\u2019s questioning. Rather, Keene argues that because he could not confer with counsel during the voir dire, the representation necessarily suffered.\nBut, again, Keene\u2019s presence was, in reality, of no real consequence in view of the evidence touched upon. Defense counsel simply did not need what Keene\u2019s presence could provide: Keene\u2019s personal input. Keene suffered no prejudice sufficient to support an ineffectiveness-of-counsel claim. See Strickland v. Washington (1984), 466 U.S. 668, 697, 80 L. Ed. 2d 674, 699, 104 S. Ct. 2052, 2069 (stating that lack of prejudice is sufficient to resolve ineffectiveness claims, the performance of counsel being irrelevant in the absence of harm).\nAdmission of Prior Consistent Statements\nAudrey Krueger was L\u00e1rry Ehlers\u2019 girlfriend. Krueger had helped Ehlers rent the vehicle used in the crimes. Keene, Hoover, and Ehlers had gathered at Krueger\u2019s home before leaving for Freeport. The three had returned to Krueger\u2019s home after the robbery and murder. Krueger, however, was not charged in the crimes, and she testified against Keene as a State witness.\nDuring cross-examination, Krueger admitted that, when questioned by police officers investigating the crimes, she had lied about several matters. The matters related, primarily, to the lease of the vehicle, whether she viewed the stolen weapons at her home, and whether there had been an inventory of them. During redirect examination, the State focused on statements Krueger had given to police which were consistent with what she had testified to during direct examination.\nThe use of the prior consistent statements, Keene asserts, improperly bolstered Krueger\u2019s credibility. Keene notes the absence here of circumstances such as would justify the use of such statements. See People v. Powell (1973), 53 Ill. 2d 465, 474-75.\nThe State contends, and we agree, that no basis exists to reach the merits of the issue. Keene\u2019s post-trial motion did not contest the substance of Krueger\u2019s redirect examination. None of the exceptions which would allow for taking notice of the claim given the procedural default apply. The claim is not based on the sufficiency of the evidence. (See Enoch, 122 Ill. 2d at 190.) Nor is the claim based on a constitutional right capable of being raised in a post-conviction petition. (See People v. Cox (1966), 34 Ill. 2d 66, 68 (stating that the erroneous admission of evidence \"does not constitute a denial of constitutional rights[ ] or present a question which will justify a post-conviction hearing\u201d).) That is so notwithstanding that, in not objecting at trial to portions of the redirect examination, the argument based on those questions was doomed independently. See Enoch, 122 Ill. 2d at 190.\nThe final basis for excusing the procedural default, plain error, lies within our Rule 615(a). The rule states that notice may be taken of \"[a]ny error, defect, irregularity, or variance\u201d which affects \"substantial rights\u201d though such was not \"brought to the attention of the trial court.\u201d (134 Ill. 2d R. 615(a); see also People v. Pickett (1973), 54 Ill. 2d 280, 282 (noting that the rule does not mandate review of all errors affecting substantial rights).) Plain error exists only with respect to \"fundamental fairness\u201d: a procedural default will not preclude review of an issue involving \"substantial rights\u201d if to honor the bar would work \"fundamental [un]fairness.\u201d (See People v. Hamby (1965), 32 Ill. 2d 291, 294.) Plain error marked by \"fundamental [unjfairness\u201d occurs only in situations which \"reveal breakdowns in the adversary system,\u201d as distinguished from \"typical trial mistakes.\u201d (See Wangerin, \"Plain Error\u201d and \"Fundamental Fairness\u201d: Toward a Definition of Exceptions to the Rules of Procedural Default, 29 DePaul L. Rev. 753, 778 (1980) (hereinafter Wangerin, 29 DePaul L. Rev. 753).) Put differently, what must be affected by the asserted error must be something \"fundamental to the integrity of the judicial process.\u201d (See People v. Green (1979), 74 Ill. 2d 444, 456 (Ryan, J., specially concurring).) Essentially, the fairness of the trial must be undermined.\nFinally, though it is often not expressed, short of a conclusion that an asserted error is a \"plain\u201d one, the so-called plain error doctrine offers no basis to excuse a procedural default. (See Wangerin, 29 DePaul L. Rev. at 772.) The point is crucial, for while all plain errors are reversible ones, not all reversible errors are also \"plain\u201d for purposes of Rule 615(a). (See generally M. Graham, Cleary & Graham\u2019s Handbook of Illinois Evidence \u00a7 103.10, at 33 (6th ed. 1994).) Of course, to determine whether a purported error is \"plain\u201d requires a substantive look at it. But if, in the end, the error is found not to rise to the level of a plain error as contemplated by Rule 615(a), the procedural default must be honored.\nRule 615(a) provides that if \"substantial rights\u201d are not affected, any such claim \"shall be disregarded.\u201d (134 Ill. 2d R. 615(a).) That language, this court has observed, mandates that \"[bjefore plain error can be considered as a means of circumventing the general waiver rule, it must be plainly apparent from the record that an error affecting substantial rights was committed.\u201d (People v. Precup (1978), 73 Ill. 2d 7, 17.) But the threshold concern is just as often as not whether the evidence presented was \"closely balanced.\u201d The reason: the strength or weakness of inculpatory evidence has long been seen as relevant to ignoring procedural defaults in remedying occasioned injustice. See Green, 74 Ill. 2d at 454 (Ryan, J., specially concurring).\nAs a result, a disjunctive approach has evolved for determining the existence of plain error. A procedural default may be excused either because the error affected \"substantial rights\u201d or, independent of the nature of the right affected, simply because the evidence in the case was closely balanced. (See, e.g., People v. Speight (1992), 153 Ill. 2d 365, 379.) The disjunctive approach is not without its critics. (See Wangerin, 29 DePaul L. Rev. at 786-87.) The better approach, it is suggested, is a conjunctive one, similar to the \"cause and prejudice\u201d test used in Federal habeas corpus cases. (See Wangerin, 29 DePaul L. Rev. at 786-87.) The nature of the right affected and the strength or weakness of the evidence would be co-factors in the determination of plain error. (See Wangerin, 29 DePaul L. Rev. at 786-87.) Nevertheless, absent a foundation for assessing directly the merits and shortcomings of the disjunctive approach, its dual considerations must apply here.\nAssuming that prior consistent statements in fact were used improperly to bolster Krueger\u2019s credibility \u2014 a point the State by no means concedes \u2014 the claim does not implicate a substantial right. (See Cox, 34 Ill. 2d at 68; cf. People v. Thurman (1984), 104 Ill. 2d 326, 329 (holding that the adequacy of jury instructions affects \"substantial rights\u201d); People v. Graves (1974), 23 Ill. App. 3d 762, 766 (holding that application of an unconstitutional statute affects \"substantial rights\u201d).) Nor was the evidence presented against Keene closely balanced. In fact, there was virtually no evidence countering, directly, Hoover\u2019s testimony that Keene participated in the robbery and that Keene had slit Peters\u2019 throat.\nWe therefore dismiss, without reaching the merits, the claim of error with regard to the redirect examination of Krueger.\nHoover\u2019s Statement Regarding Keene\u2019s Imprisonment\nKeene had been released from incarceration in Wisconsin shortly before taking part in the crimes underlying this case. Pursuant to a defense motion in limine, the trial judge barred reference to that fact at trial. Nevertheless, Hoover alluded to Keene\u2019s release from prison during his cross-examination. Keene sought a mistrial. The trial judge denied the request. The jury was instructed to disregard Hoover\u2019s statement, as Hoover\u2019s answer had not been responsive to the question asked.\nKeene claims it was error not to declare a mistrial. The State, he says, should have \"more effectively instructed\u201d Hoover not to mention Keene\u2019s prior imprisonment. Regardless, Keene states, Hoover\u2019s statement was sufficiently prejudicial to violate the due process clause. U.S. Const., amend. XIV.\nSuch claims of error as Keene raises have been resolved with reference to how the particular testimony challenged came about. Where a challenged statement has not been made in direct response to a question, that fact has been seen to be consequential. (See People v. Naujokas (1962), 25 Ill. 2d 32, 35-36.) Where the statement arose from vigorous defense cross-examination, that fact has been taken into account. (See Naujokas, 25 Ill. 2d at 35-36.) Of course, neither circumstance would operate to negate resulting prejudice, a central concern to the claim Keene raises. On the other hand, prompt action taken with regard to the particular testimony may have some hope of blunting actual harm. And so where the jury is immediately admonished to disregard the statement, that action is material to the analysis (see People v. Naujokas (1962), 25 Ill. 2d 32, 35-36) even though, it is said, it is impossible to unring a bell (see People v. Brown (1975), 27 Ill. App. 3d 891, 898, quoting Maness v. Meyers (1975), 419 U.S. 449, 460, 42 L. Ed. 2d 574, 584, 95 S. Ct. 584, 592).\nThe record here tells nothing about the State\u2019s efforts in instructing Hoover as to the scope of permissible testimony. The fact that the statement was made simply does not permit the conclusion that the State was to blame for it. (See generally People v. Gregory (1961), 22 Ill. 2d 601, 604.) Keene\u2019s assertion is pure speculation, and the implication of a per se due process violation based upon it a chimera. For that matter, the record does not show that Hoover\u2019s statement resulted from vigorous cross-examination or even, more darkly, prompted error. As such, principles of waiver cannot help to resolve the issue.\nThe concern, then, is whether prejudice resulted. The trial judge here did what he could to reduce the impact that the reference to Keene\u2019s prior incarceration could have on the jury\u2019s collective mind. It is at least arguable that the admonishment could not eliminate all chance of prejudice. But we do not believe that what residual harm may have remained could rise to the level of a due process violation.\nJury Commentary\nKeene, who declined to testify at trial, contends that the State impermissibly remarked on that fact during its rebuttal argument to the jury. The State had noted that certain evidence it presented, essentially Hoover\u2019s testimony, was uncontradicted. The problem, Keene asserts, is that the substance of Hoover\u2019s testimony pertained only to matters Keene, himself, could have countered. Thus, Keene argues, the State was impliedly referring to Keene\u2019s having invoked his fifth amendment right not to testify. U.S. Const., amend. V; see also People v. Howard (1991), 147 Ill. 2d 103, 146-47.\nKeene concedes that it is generally permissible for the State to point out in closing argument that evidence is uncontradicted. (See People v. Bryant (1983), 94 Ill. 2d 514, 524.) What is not conceded \u2014 and what the issue turns on \u2014 is the extent to which the reference is appropriate in the context of the trial. (See Howard, 147 Ill. 2d at 147, citing United States v. Robinson (1988), 485 U.S. 25, 31-32, 99 L. Ed. 2d 23, 31, 108 S. Ct. 864, 868-69.) The State may not \"point the finger of blame directly at the defendant for his failure to testify when it was within his power to enlighten the jury.\u201d (People v. Mills (1968), 40 Ill. 2d 4, 9.) Such \"prosecutorial design\u201d crosses the \" 'danger line\u2019 \u201d marking the outer boundary of proper commentary. (See Mills, 40 Ill. 2d at 9, quoting People v. McMahon (1910), 244 Ill. 45, 59.) But short of that the State may comment that evidence is uncontradicted and may do so even if the defendant was the only person who could have provided contrary proof. (Mills, 40 Ill. 2d at 8.) To put it differently, the State is free to point out what evidence was uncontradicted so long as it expresses no thought about who specifically\u2014 meaning the defendant \u2014 could have done the contradicting. See, e.g., People v. Wollenberg (1967), 37 Ill. 2d 480, 487-88 (involving the comment, \"[n]o one else testified\u201d).\nThe State here insists that the commentary was proper simply because such proof could have been supplied by either of the \"two accomplices.\u201d Those would have been Hoover and Ehlers. Given that the State built its case on bargained-for testimony from Hoover, the notion that he could have also provided contrary proof is too clever by half: If Hoover could have testified to a different scenario, what evidence would there have been to contradict? That Ehlers could have supplied contrary proof is nearly as forthright: it is doubtless that Ehlers would have exercised his own fifth amendment right not to testify.\nIt is certainly the case that Audrey Krueger could have testified that Keene did not intend to take part in the robbery. She could also have provided proof that Keene was unaware that murder was a part of the plan. Marion Janssen, another witness, could also have provided contradictory evidence. Janssen said that she saw Keene, Hoover, and Ehlers walking in the vicinity of the gun shop shortly before the crimes occurred. If Keene had not been with Hoover and Ehlers in Free-port on that day, Janssen could have directly disputed proof of Keene\u2019s participation.\nThe fact that Krueger and Janssen existed as witnesses is relevant in evaluating the State\u2019s comments within the context of the trial. (See Mills, 40 Ill. 2d at 9-10.) It is of no consequence that Krueger and Janssen testified for the State. What is important is that they had been present at events pertaining to the crimes for which Keene was charged. That allows for a consideration of what they might have testified to were it different from what they did, in fact, relate.\nEven so, the fact that a witness besides a defendant could have provided contrary proof does not end the analysis: impermissible commentary on the defendant\u2019s failure to testify may nevertheless be expressed.\nBut that is not the case here. The commentary about the evidence being uncontradicted shows no such \"pros-ecutorial design.\u201d The State kept its remarks to the \"what\u201d of the evidence uncontradicted \u2014 how the crimes \"went down\u201d including testimony that Keene had slit Peters\u2019 throat \u2014 and did not stray into the \"who\u201d of the issue. For that reason, as well as the fact that other witnesses existed showing the commentary to be appropriate within the context of the trial, Keene\u2019s argument must fail.\nKeene also cites as error several other remarks made by the State during rebuttal argument. However, Keene\u2019s post-trial motion preserved for review only the comments about uncontradicted evidence. No objection accompanied any of the other comments and the argument is not based on insufficient evidence. The issue may be reviewed only to the extent permitted as a matter of plain error. For reasons explained previously, the case against Keene was not closely balanced. That leaves the existence of an affected substantial right as the only ground for reaching the claim\u2019s merits.\nImproper jury summations can implicate substantial rights. (See Wangerin, 29 DePaul L. Rev. at 774 n.108.) If the commentary has the effect of undermining the entire trial, plain error exists and reversal for a new trial is warranted. (See, e.g., People v. Fort (1958), 14 Ill. 2d 491, 502 (involving comments that defendant was a habitual criminal).) If it does not, the commentary amounts to harmless error (see Chapman v. California (1967), 386 U.S. 18, 17 L. Ed. 2d 705, 87 S. Ct. 824), in which case, as pointed out earlier, the procedural default may not be excused. The inquiry is a difficult one, for the record rarely reveals objective grounds for assessing harm.\nFour different types of unpreserved comments are cited. The first pertained to Hoover\u2019s improper statement about Keene\u2019s incarceration in Wisconsin. The State mused that Keene was unable to aid in planning the crimes until he \"came down\u201d to \"get together\u201d with Hoover and Ehlers. In a comment Keene says is related, the State suggested that the crimes were done \"pretty professionally.\u201d The implication, Keene argues, is that Hoover sought to include Keene in the crimes because, as evidenced by the prior incarceration, Keene was a career criminal.\nPointing out Keene\u2019s inability to help plan the crimes until he arrived in Illinois was proper commentary rooted in evidence. It is a fact that Keene came to Illinois, joining Hoover and Ehlers at Audrey Krueger\u2019s house in Tinley Park. That fact was elicited by the defense after the jury was told to disregard what Hoover said about Keene\u2019s release from prison. To that extent, there is no basis to conclude that the State was attempting to remind the jury about the impermissible evidence it had heard about Keene\u2019s prior incarceration. Commenting about the \"professional\u201d nature of the crimes was also grounded in evidence. The crimes were planned in advance and were accomplished with, for lack of a more appropriate expression, a degree of efficiency.\nThe comment as to why Hoover asked Keene to join in the crimes is not so directly connected to evidence, and so it is reasonable for Keene to argue that the State meant to imply Keene\u2019s guilt by reference to his prior imprisonment. But, even assuming such was the State\u2019s intent, we believe the harmful effect to have been negligible at most. The implication was subtle and was communicated in a single sentence.\nThe second and third comments both relate to the law and can be considered together. The State described its burden of proof \u2014 -the beyond a reasonable doubt standard \u2014 as \"universal\u201d and \"not unreachable.\u201d The State also described Keene\u2019s presumed \"cloak of innocence\u201d to have been \"shredded and ripped and pulled [off]\u201d to reveal guilt.\nThis court has cautioned against attempts by counsel as well as trial judges to explain the reasonable doubt standard. (People v. Speight (1992), 153 Ill. 2d 365, 374.) The danger is that, no matter how well-intentioned, the attempt may distort the standard to the prejudice of the defendant. If sufficient prejudice results, reversal is warranted. (See Speight, 153 Ill. 2d at 374 (describing the requisite degree of prejudice for reversal as \"substantial\u201d).) The same holds for misstatements of law. Such misstatements in closing argument are often held remedied by jury instructions. (See People v. Terry (1984), 99 Ill. 2d 508, 517.) But proper direction may not undo the harm occasioned. See People v. Weinstein (1966), 35 Ill. 2d 467, 470 (describing the requisite harm for reversal as \"manifest! ] prejudice! ]\u201d where repeated misstatements of law destroyed the presumption of innocence and imposed a heavier burden than the law required).\nReviewing courts are, again, ill-equipped to assess what harm may have occurred. (See Chapman, 386 U.S. at 24, 17 L. Ed. 2d at 711, 87 S. Ct. at 828 (noting that the \"harmless beyond a reasonable doubt\u201d standard is one not ordinarily applied by reviewing courts).) Assessment of harm is often a blind exercise, for records cannot convey a \"feel\u201d for the emotional environment of the courtroom. That is why doubt as to the extent of harm is resolved in favor of the defense. (See Weinstein, 35 Ill. 2d at 472.) No exhaustive list of factors exists for measuring how much doubt may exist or how much prejudice resulted. The degree of inaccuracy of the commentary (see, e.g., Speight, 153 Ill. 2d at 374) as well as the number of times the jury is made to hear it (see, e.g., Weinstein, 35 Ill. 2d at 470) are, however, relevant.\nThe State here did not suggest that the standard of proof was a pro forma consideration (see People v. Eddington (1984), 129 Ill. App. 3d 745, 780) or that the defense bore the burden of proof (see People v. Starks (1983), 116 Ill. App. 3d 384, 395). In those respects, at least, the State\u2019s commentary was not inaccurate. That is not true of the theatrical description of the stripping away of Keene\u2019s presumption of innocence. The statement was wrong. Keene enjoyed the benefit of the presumption until the point during deliberation when the jury concluded that there existed proof of guilt beyond a reasonable doubt. (See generally People v. Viser (1975), 62 Ill. 2d 568, 585-86.) Even so, to its limited credit, the State did not use repeated references to either the burden of proof or the presumption of innocence. We believe that that ameliorated the extent of harm.\nIn the final comments Keene cites, the State referred to Hoover\u2019s testimony as being consistent with what Hoover told police on the day he was arrested. The result, Keene argues, underscored improperly the idea that Hoover was a credible witness. The State does not contend that a basis existed for the comments. (See People v. Powell (1973), 53 Ill. 2d 465, 474-75.) Instead, the State answers that the reference did not detail what exactly Hoover had originally told the police.\nTrue enough. But the commentary is not, for that reason, made innocent, as the State would have it. Pointing out the fact that Hoover had given the police a statement, the State rhetorically asked the jury whether it had heard other versions of how the crimes \"went down.\u201d More particularly, the State asked whether Hoover had ever said that Keene was not involved. The State provided the answers to its own questions. The jurors had not heard other versions, the State explained, because Hoover had never recounted different versions. Had Hoover done so, the State assured, the defense would have exposed the fact through cross-examination.\nThe implication was that Hoover was to be believed because what he testified to was what he had first told police. The commentary was improper. The question is whether it caused sufficient prejudice to warrant a new trial. Again, repetition is a relevant concern. (See People v. Emerson (1983), 97 Ill. 2d 487, 501.) The concern is heightened when the repeated reference involves the prior consistent statement of a witness who provides all evidence of guilt. See Emerson, 97 Ill. 2d at 501-02 (holding such reference to be reversible error).\nThe State did, more than once, invite the conclusion that Hoover had been steadfast in relating a consistent version of events. Furthermore, Hoover\u2019s bargained-for testimony was critical to the State\u2019s case. But there was also, in Audrey Krueger\u2019s account of the events, other corroboration the effect of which was to highlight, quite properly, Hoover\u2019s credibility.\nFor the reasons stated above, we do not believe that the individual comments made during the State\u2019s rebuttal argument caused sufficient harm to have compromised the integrity of the entire guilt phase of the trial. Nor do we believe that the cumulative effect of the comments caused the adversary system to break down. Plain error being absent, there is no ground to excuse the procedural default.\nKeene separately complains of comments made by the State in its closing argument at the second stage of the sentencing hearing. Generally, the State drew the conclusion that Keene, by his acts, had sealed his own fate. The effect of the comments, Keene says, was to shift improperly the responsibility of imposing the death sentence away from the jury in violation of the eighth amendment (U.S. Const., amend. VIII).\nThe comments were not objected to contemporaneously, nor was issue taken in Keene\u2019s post-trial motion with their having been made. As above, the procedural default precluding review of the issue may be excused only as plain error.\nWe do not believe any harm arose from the State\u2019s attempt to underscore that Keene alone chose to commit the crimes for which he stood convicted. If any harm could have arisen from such commentary, the harm was ameliorated by other comments by which the State impressed upon the jury that it ultimately was the determiner of Keene\u2019s fate. No grounds exist to excuse the procedural default regarding the commentary.\nAssistance of Counsel\nDavid Snyders, a Freeport police detective, had prepared a report summarizing an interview he had conducted with Audrey Krueger. The State failed to disclose the report, but the defense learned of its existence during the course of the trial. The State was never able to locate the report. The trial judge determined that there had been no deliberate attempt to preclude the defense from seeing the report.\nPrior to cross-examining Krueger, defense counsel questioned Snyders away from the jury about the interview. In the absence of the report, the defense wanted to learn whether Krueger had related a particular statement which she had attributed to Ehlers. The statement, revealed at the hearing on Keene\u2019s post-trial motion, would have diverged from Krueger\u2019s direct testimony. Snyders remembered Krueger\u2019s having said that Ehlers had told her that he, Ehlers, was responsible for both the shooting and the throat slitting of Peters. Snyders thought that Krueger\u2019s statement might have been tape-recorded during the interview. The statement, however, was not in the transcription of Krueger\u2019s statement.\nDefense counsel was aware of the difficulties in admitting the statement as evidence, and the statement was not offered as proof.\nKeene contends that the failure to present the statement in the first phase of the capital sentencing hearing amounted to ineffective assistance of counsel. Keene understands that the first concern for such a claim, that counsel\u2019s performance was deficient (see Strickland v. Washington (1984), 466 U.S. 668, 689-91, 80 L. Ed. 2d 674, 694-95, 104 S. Ct. 2052, 2065-66), turns on whether Krueger\u2019s statement was admissible. Keene acknowledges that that concern turns on whether sufficient indicia of reliability existed to satisfy the statement-against-penal-interest exception to the hearsay rule. See People v. House (1990), 141 Ill. 2d 323, 390.\nAnalysis of the exception\u2019s application in Chambers v. Mississippi (1973), 410 U.S. 284, 300-01, 35 L. Ed. 2d 297, 311-12, 93 S. Ct. 1038, 1048-49, is cited as a four-factor test for determining trustworthiness. (See House, 141 Ill. 2d at 390.) Foremost, the statement must be self-incriminating or at least be against the declarant\u2019s interest. (Chambers v. Mississippi, 410 U.S. at 300, 35 L. Ed. 2d at 312, 93 S. Ct. at 1048.) As a statement of such a nature is the bedrock for the exception, that factor, obviously, must be present. The other factors need not all also be present as a condition to admissibility. (See House, 141 Ill. 2d at 390.) The remaining factors are whether the statement was made spontaneously to a close acquaintance shortly after the crime, whether there is corroboration for the statement, and whether there existed an adequate opportunity to cross-examine the declarant. Chambers v. Mississippi, 410 U.S. at 300, 35 L. Ed. 2d at 312, 93 S. Ct. at 1048-49.\nOnly the chief factor is satisfied here: Ehlers\u2019 purported statement would certainly have been incriminating.\nAs Ehlers\u2019 girlfriend, Krueger would be a close acquaintance. However, no time frame was established for when Ehlers supposedly made the statement to her. There might be reason, as Keene suggests, to fault defense counsel for that failure. But larger problems are present in the remaining factors making further scrutiny of the point unnecessary.\nKeene argues that Ehlers\u2019 purported statement was corroborated by Hoover\u2019s testimony. The logic: Ehlers\u2019 supposed admission that he slit Peters\u2019 throat is believable because the other half of Ehlers\u2019 supposed admission \u2014 that he shot Peters \u2014 was corroborated by Hoover. Keene points out that only Hoover\u2019s statement that Keene had said he, Keene, had slit Peters\u2019 throat is contradictory.\nThe argument is selective of the worth of Hoover\u2019s testimony. First, Hoover\u2019s believability would be championed for what corroborative value it might hold. At the same time, Hoover\u2019s believability would be discounted on the very fact for which admissibility of Ehlers\u2019 supposed statement is argued: who slit Peters\u2019 throat. The argument cannot run both ways. In fact, though Hoover\u2019s testimony would corroborate Ehlers\u2019 supposed admission that he, Ehlers, shot Peters, the same testimony offers nothing to corroborate the supposed admission that Ehlers slit Peters\u2019 throat. It is of no consequence that other evidence would accommodate acceptance of Ehlers\u2019 admissions as fact; corroboration, not consistency, is the operative concern.\nFinally, Keene concedes that it is unlikely that Ehlers could have been cross-examined. As a codefen-dant, Ehlers would almost certainly have invoked his fifth amendment right not to incriminate himself.\nThere is little indicia of trustworthiness in the statement Ehlers purportedly made to Krueger. There is, therefore, an insufficient basis for the statement-against-penal-interest exception to the hearsay rule by which the statement could be admissible. Without a basis for admissibility, there is no ground to argue that defense counsel should have challenged Krueger on cross-examination as to whether she had made the statement or otherwise sought to present it. Without a basis to find counsel\u2019s performance deficient, the ineffective-assistance claim must fail.\nJury Instructions\nThe defense sought to have four Illinois pattern instructions read to the jury for the first, death-eligibility, stage of the sentencing hearing. The instructions pertained to witness credibility. Specifically, the instructions addressed testimony relating to prior consistent statements, prior convictions, identification, and statements of accomplices. (See Illinois Pattern Jury Instructions, Criminal, Nos. 3.11, 3.12, 3.15, 3.17 (3d ed. 1992).) The jury had been instructed on those points at the guilt phase of trial the day earlier. For that reason, the trial judge refused the defense request to have the jury reinstructed.\nKeene complains that the refusal was an abuse of discretion. The State relies on the fact that the specific instructions regarding witness credibility were given during the guilt phase. But that point, Keene observes, could support his own argument. The logic: if it can be assumed that the jury remembered the guilt-phase instructions, the fact that they were omitted at the eligibility phase could lead the jury to conclude that the same rules did not govern.\nBecause, again, Keene did not include in his post-trial motion the argument now asserted, the first concern is whether the merits of the claim may be addressed.\nOur Rule 451(c) provides that \"substantial defects\u201d in jury instructions \"are not waived by failure to make timely objections.\u201d (134 Ill. 2d R. 451(c).) The rule offers a remedy for \"grave\u201d errors with regard to instructions in the same manner as Rule 615(a) offers a remedy for plain errors generally. (See People v. Roberts (1979), 75 Ill. 2d 1, 12-14.) That is, as with Rule 615(a), under Rule 451(c) a procedural default will not bar review of an error in jury instructions involving a substantial right if to honor the bar would work fundamental unfairness. (See People v. Jenkins (1977), 69 Ill. 2d 61, 66 (noting that the rule applies only \"[w]here there are such grave errors in instructions so as to affect that very important consideration, justice\u201d); see also Ill. Ann. Stat., ch. 110A, par. 451, Historical & Practice Notes, at 713 (Smith-Hurd 1985) (acknowledging the restrictive construction of the rule).) And, as in the analysis of plain error under Rule 615(a), Rule 451(c) has been interpreted as contemplating a separate basis to determine fundamental unfairness where the evidence in the case is closely balanced. See Roberts, 75 Ill. 2d at 14.\nRule 451(c) is not expressly addressed to the type of procedural default arising here, the failure to include an issue in a written post-trial motion. The rule is expressly addressed to the failure to make a timely trial objection. But the point is immaterial. Rule 451(c) and Rule 615(a) are construed identically. Even if no chance of excusing the bar could exist under the language of Rule 451(c), plain error would remain an avenue for relief pursuant to Rule 615(a): jury instructions are recognized as implicating substantial rights. (See People v. Thurman (1984), 104 Ill. 2d 326, 329.) Concern for whether fundamental unfairness resulted exists because such rights are implicated; the case is not otherwise close factually.\nThe deliberation of a jury ignorant of a concern so elemental to its task as how to consider witness testimony could certainly work fundamental unfairness. The jury here, however, did receive instruction at the eligibility phase on the point, generally. The trial judge told the jury that it could take into account a witness\u2019 ability and opportunity to observe as well as age, memory, and manner while testifying. The jury was also informed it could consider any interest, bias or prejudice of the witness and the reasonableness of the testimony in the light of all of the evidence in the case.\nThe possibility exists that the omission of the more specific guilt-phase credibility instructions might cause a jury recalling the instructions to conclude that they did not apply in the death eligibility phase. It is impossible to determine if that, in fact, happened. The question is whether the possibility is enough to compromise the very integrity of the death-eligibility determination. We believe that the general instructions given to the jury at the eligibility phase provided at least a minimum assurance that no fundamental unfairness resulted. No basis exists for excusing the procedural default.\nDeath Penalty Instructions\nKeene raised objections at both stages of the sentencing hearing regarding the understandability of the jury instructions for deliberating death. Keene based his objections on Free v. Peters (N.D. Ill. 1992), 806 F. Supp. 705. That decision was reversed in Free v. Peters (7th Cir. 1993), 12 F.3d 700, and we have rejected similar arguments (see People v. Thompkins (1994), 161 Ill. 2d 148, 198; People v. Banks (1994), 161 Ill. 2d 119, 147-48; People v. Kokoraleis (1994), 159 Ill. 2d 325, 333-34). We do so again.\nDeath Penalty Statute\nKeene challenges the constitutionality of the Illinois death penalty statute under the eighth amendment (U.S. Const., amend. VIII).\nFirst, it is asserted that language outlining the second phase of the sentencing hearing \"erects a far greater barrier\u201d in the evaluation of mitigating evidence than other States\u2019 death statutes which the Supreme Court has approved. (See, e.g., Walton v. Arizona (1990), 497 U.S. 639, 111 L. Ed. 2d 511, 108 S. Ct. 3047.) The particular language directs the sentencer to elect death based on aggravating circumstances if evidence in mitigation is not \"sufficient to preclude\u201d it. (720 ILCS 5/9 \u2014 1(g) (West 1992).) Keene contrasts the Illinois statutory language with the language of the Arizona death statute. That statute limits the death penalty to cases where mitigation is not \"sufficiently substantial to call for leniency.\u201d Ariz. Rev. Stat. Ann. \u00a7 13 \u2014 703(E) (1989).\nIn fact, the Illinois and Arizona statutes merely employ different perspectives to outline the consideration of mitigating evidence. The considerations are otherwise materially the same. The Arizona statute states the consideration positively: sufficient mitigation is that which calls for leniency; death is precluded. The Illinois statute simply states the consideration in the negative: insufficient mitigation is that which cannot preclude death; leniency is not called for. The consideration of mitigating evidence directed under the Illinois statute is no different in that respect from the Arizona statute which the Supreme Court has approved. See People v. Hampton (1992), 149 Ill. 2d 71, 117.\nKeene also states that the Illinois statute is vague in that it allows the sentencer to weigh \"any other reason\u201d than the statutory aggravating factors in deciding if to impose death. (720 ILCS 5/9 \u2014 1(c), (e) (West 1992).) The argument has been previously considered and rejected. (See People v. Todd (1992), 154 Ill. 2d 57, 75.) No reason is offered, nor do we otherwise see one, for departing from that previous conclusion.\nThe Illinois death penalty statute is not unconstitutional for the reasons Keene advances.\nFinally, Keene invites us to consider the collective effect of unsuccessful assertions that the Illinois death scheme does not adequately minimize the risk of arbitrariness. We rejected a similar contention in People v. Williams (1994), 164 Ill. 2d 1, 28-29, and do so again here.\nCONCLUSION\nThe judgment of the circuit court of Stephenson County is affirmed. The clerk of this court is directed to enter an order setting Tuesday, March 12, 1996, as the date on which the sentence of death is to be carried out. Defendant shall be executed in the manner provided by law. (725 ILCS 5/119 \u2014 5 (West 1992).) The clerk of this court shall send a certified copy of the mandate to the Director of Corrections, to the warden of Stateville Correctional Center, and to the warden of the institution where defendant is now confined.\nAffirmed.\nThe record contains a discovery motion in which the defense requested the inspection of statements of codefendants and intended prosecution witnesses. No argument is made, nor is there otherwise any indication, that Keene was not able to inspect Hoover\u2019s statements underlying his guilty plea.",
        "type": "majority",
        "author": "JUSTICE FREEMAN"
      },
      {
        "text": "JUSTICE NICKELS,\nconcurring:\nI concur in the judgment of the court but write separately to address two issues: (1) the trial court\u2019s denial of funds for an expert pathologist, and (2) the trial court\u2019s failure to reinstruct the jury as to the accomplice instruction at the death eligibility stage of sentencing.\nI\nI concur in the majority\u2019s judgment concerning the denial of funds for a pathologist, but disagree with its reasoning. I believe that under the facts presented in the majority opinion, funds were necessary \"to prove a crucial issue in the case.\u201d (Glover, 49 Ill. 2d at 82.) That crucial issue was whether the person who cut the victim\u2019s throat held the knife in his left or right hand. The issue was crucial to the defense because defendant is left-handed and would more likely hold a knife in his left hand than the other two right-handed co-felons. Moreover, the only other inculpatory evidence offered on this issue was the inherently weak accomplice testimony of Hoover. The determination that defendant slit the victim\u2019s throat was especially crucial to defendant because it was the sole aggravating factor found to have made him eligible for the death penalty.\nThe majority finds this issue not crucial to the defense because: (1) the pathologist did not testify that only a left-handed person could have cut the victim\u2019s throat; and (2) the primary evidence against defendant on this issue was Hoover\u2019s testimony. (169 Ill. 2d at 8-9.) This finding, however, overlooks the strength of the pathologist\u2019s testimony and the inferences drawn from it, as well as the inherent weakness of Hoover\u2019s accomplice testimony and the role the pathologist\u2019s testimony played in corroborating it.\nWhile it is true the pathologist could not exclude the possibility that the knife was wielded with the right hand, the pathologist testified \"to a reasonable degree of medical certainty\u201d that the knife was held in the offender\u2019s left hand. Moreover, the inference drawn from the pathologist\u2019s testimony is clear in the record from the comments of the trial judge: \"I think the doctor\u2019s testimony [on direct examination] *** was that it would have been by a left-handed person.\u201d The pathologist\u2019s testimony thus left the strong inference that a left-handed person had slit the victim\u2019s throat.\nThe State\u2019s only other evidence to prove defendant slit the victim\u2019s throat was the testimony of Hoover, an accomplice. Accomplice testimony is to be viewed with suspicion due to its \"inherent weaknesses, being testimony of a confessed criminal and fraught with dangers of motives such as malice toward the accused, fear, threats, promises or hopes of leniency, or benefits from the prosecution.\u201d (People v. Holmes (1990), 141 Ill. 2d 204, 242, citing People v. Hermens (1955), 5 Ill. 2d 277, 285.) Hoover, in fact, had a strong motivation to testify for the State and against defendant: he received a 40-year sentence in exchange for his testimony and in the process exculpated himself from the throat slitting. The State\u2019s pathologist corroborated Hoover\u2019s inherently weak testimony. An expert pathologist testifying for defendant might very well have discredited the State\u2019s pathologist and convinced the jury that reasonable doubt existed as to who cut the victim\u2019s throat. Thus, the issue was crucial for defendant.\nWhile I disagree with the majority\u2019s reasoning, I do nonetheless agree that the trial court\u2019s denial of funds to retain an expert pathologist at the time the request was made was not error. Prior to trial and before answering discovery, defendant filed a pro se motion for experts that included a request for a pathologist. At the hearing on the motion, defendant informed the court that he needed a pathologist because (1) the State sought to prove that defendant had slit the victim\u2019s throat, and (2) a pathologist would determine whether a left-handed or right-handed person had slit the victim\u2019s throat. Defendant argued that he would use the pathologist\u2019s report to prove that he did not slit the victim\u2019s throat. However, defendant did not specify how a pathologist could prove he did not cut the throat: defendant did not inform the court that (1) he was left-handed and the other two co-felons were right-handed, or (2) he believed the pathologist would conclude that a right-handed person cut the victim\u2019s throat. Moreover, the record does not reflect that the trial court knew the specifics of defendant\u2019s theory at this time.\nThe trial court found defendant\u2019s motion premature and noted defendant had not alleged any specific defenses at that time which would require expert testimony. Thus, the court found it appropriate to deny the motion until defendant raised such a defense. Defendant and standby defense counsel, who later assumed control of defendant\u2019s case, never raised this issue again during trial.\nI therefore concur in the majority\u2019s decision because the trial court found only that defendant had not yet, at that preliminary stage of the proceedings, shown that such an expert was necessary to prove a crucial issue in the case. In doing so, the court suggested that defendant raise the issue at some later point in the proceedings when it would be clearer why such an expert was needed. Defendant, having never raised the issue again until after trial, and having never fully presented the issue to the court until after trial, cannot now complain of the trial court\u2019s decision.\nII\nConcerning the waiver of the accomplice instruction at the death eligibility phase, I believe the trial court should have reinstructed the jury as to accomplice testimony. I do not agree with the majority that the general witness credibility instructions ensured that fundamental fairness resulted. However, based on facts not discussed in the majority opinion, I agree that no fundamental unfairness resulted in this case.\nDuring the jury instruction conference, the trial court noted that the IPI committee comments did not address whether the jury should be reinstructed as to accomplice testimony at the eligibility phase of a death penalty hearing. The trial judge refused to give the instruction again because he thought it would be repetitive. However, the trial court informed defense counsel that it would be proper to argue to the jury that it was to follow the law as given during the guilt-innocence phase and to argue that the accomplice instruction still applied to Hoover\u2019s testimony. Defense counsel did so, informing the jury that the accomplice instruction given during the guilt-innocence phase was still the law at the eligibility phase and arguing that Hoover\u2019s testimony should be viewed with suspicion. For this reason, I believe that fundamental fairness was met for purposes of waiver.\nI therefore concur in the judgment of the court.\nJUSTICE HARRISON\njoins in this concurrence.",
        "type": "concurrence",
        "author": "JUSTICE NICKELS, JUSTICE HARRISON"
      }
    ],
    "attorneys": [
      "Charles M. Schiedel, Deputy Defender, and Allen H. Andrews, Assistant Defender, of the Office of the State Appellate Defender, of Springfield, for appellant.",
      "James E. Ryan, Attorney General, of Springfield, and Michael P. Bald, State\u2019s Attorney, of Freeport (Barbara A. Preiner, Solicitor General, and Arleen C. Anderson and Martha E. Gillis, Assistant Attorneys General, of Chicago, of counsel), for the People."
    ],
    "corrections": "",
    "head_matter": "No. 76329.\nTHE PEOPLE OF THE STATE OF ILLINOIS, Appellee, v. WILLIAM CLAIR KEENE, Appellant.\nOpinion filed November 2, 1995.\n\u2014 Rehearing denied January 29, 1996.\nNICKELS, J., joined by HARRISON, J., concurring.\nCharles M. Schiedel, Deputy Defender, and Allen H. Andrews, Assistant Defender, of the Office of the State Appellate Defender, of Springfield, for appellant.\nJames E. Ryan, Attorney General, of Springfield, and Michael P. Bald, State\u2019s Attorney, of Freeport (Barbara A. Preiner, Solicitor General, and Arleen C. Anderson and Martha E. Gillis, Assistant Attorneys General, of Chicago, of counsel), for the People."
  },
  "file_name": "0001-01",
  "first_page_order": 11,
  "last_page_order": 48
}
