Crown Court Compendium pt1 Jury and Trial Management and Summing Up June 2018 1 PDF
Crown Court Compendium pt1 Jury and Trial Management and Summing Up June 2018 1 PDF
Crown Court Compendium pt1 Jury and Trial Management and Summing Up June 2018 1 PDF
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Part I: Jury and Trial Management and
Summing Up
June 2018
Edited by:
Picton – Ormerod – Tayton – Shetty – Cooper
Aubrey – Dickinson – Smith
The first version of this Compendium was published in May 2016.
That version was written by Sir David Maddison, His Honour Simon Tonking and His
Honour John Wait (as they are now) and Professor David Ormerod QC
This version amends and develops that first version.
It has been edited by:
HHJ Martin Picton (lead editor)
Professor David Ormerod QC (Hon), HHJ Lynn Tayton QC, HHJ Rajeev Shetty and
HHJ Jonathan Cooper (principal editors)
HHJ David Aubrey QC, HHJ Greg Dickinson QC and Recorder Andrew Smith QC
(assistant editors)
Crown Court Compendium Part I June 2018
Contents
1. INTRODUCTION.............................................................................................. 1-1
1-1 Style and abbreviations ................................................................................. 1-1
1-2 Preface (June 2018) ...................................................................................... 1-2
1-3 Foreword (April 2016) .................................................................................... 1-4
1-4 Acknowledgements (April 2016) .................................................................... 1-6
1-5 The purpose and structure of the Compendium ............................................ 1-8
1-6 Timing of directions of law ........................................................................... 1-10
1-7 Written directions and Routes to Verdict ..................................................... 1-12
2. JURY MANAGEMENT ..................................................................................... 2-1
2-1 Empanelling the jury ...................................................................................... 2-1
2-2 Challenge and stand down of a juror ........................................................... 2-10
2-3 Alternate jurors ............................................................................................ 2-12
2-4 Discharging a juror or jury ........................................................................... 2-14
2-5 Conducting a view ....................................................................................... 2-18
3. TRIAL MANAGEMENT .................................................................................... 3-1
3-1 Opening remarks to the jury .......................................................................... 3-1
3-1A Early identification of the issues .................................................................. 3-6
3-2 Defendant unfit to plead and/or stand trial ..................................................... 3-9
3-3 Trial in the absence of the defendant .......................................................... 3-12
3-4 Trial of one defendant in the absence of another/others ............................. 3-15
3-5 Defendant in person .................................................................................... 3-17
3-6 Special measures ........................................................................................ 3-26
3-7 Intermediaries .............................................................................................. 3-31
3-8 Anonymous witnesses ................................................................................. 3-34
3-9 Interpreters .................................................................................................. 3-36
4. FUNCTIONS OF JUDGE AND JURY .............................................................. 4-1
5. BURDEN AND STANDARD OF PROOF ......................................................... 5-1
6. THE INDICTMENT ........................................................................................... 6-1
6-1 Separate consideration of counts and/or defendants .................................... 6-1
6-2 Multiple incident and specimen counts .......................................................... 6-3
6-3 Alternative Verdicts........................................................................................ 6-9
6-4 Agreement on the factual basis of the verdict .............................................. 6-12
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Crown Court Compendium Part I June 2018
1. INTRODUCTION
1-1 Style and abbreviations
Unless the context indicates otherwise: any reference to a person in the masculine is
to be read as including the feminine; and 'Judge' includes 'Recorder'.
Cases are usually referred to by the name of the defendant only, and by neutral
citations.
The following abbreviations are sometimes used:
AJA Administration of Justice Act 1970
CDA Crime and Disorder Act 1998
CAJA Coroners and Justice Act 2009
CCA Crime and Courts Act 2013
CJA Criminal Justice Act 2003
CJPOA Criminal Justice and Public Order Act 1994
CJIA Criminal Justice and Immigration Act 2008
CJPA Criminal Justice and Police Act 2001
CrimPD Consolidated Criminal Practice Directions*
CrimPR Criminal Procedure Rules 2016*
D The defendant
E The/an expert witness
LASPO Legal Aid and Sentencing and Punishment of Offenders Act 2012
MDA Misuse of Drugs Act 1971
P The/a principal offender
PACE Police and Criminal Evidence Act 1984
PC Police Constable
PCC(S)A Powers of Criminal Courts (Sentencing) Act 2000
PoCA Proceeds of Crime Act 2002
SOA Sexual Offences Act 2003
V The victim/complainant
W The/a witness
YJCEA Youth Justice and Criminal Evidence Act 1999
*NOTE:
CrimPR and Crim PD are available at – http://www.justice.gov.uk/courts/procedure-
rules/criminal/rulesmenu-2015
What follows in this section is a foreword from the former Lord Chief Justice and also
some words of explanation penned by the original authors that remain relevant for
the reader of this publication.
judges and most of the Examples by the Plain English Campaign. Fourthly, Professor
Cheryl Thomas, Professor of Judicial Studies, Judicial Institute, University College
London, whose excellent research into juries' understanding of criminal proceedings
is unsurpassed, has given valuable advice to the authors with a view to making the
Examples more accessible and easier to understand. Fifthly, hyper-links are provided
to all the authorities and statutory provisions referred to in the text.
I am very grateful to the authors who have undertaken this massive task. I am sure
that they have addressed through the Compendium the issues that I have outlined.
They have done so with clarity and erudition. All judges who try criminal cases will
therefore find it invaluable. The task that remains is to steer both substantive and
procedural law back to a state where the Compendium can be shorter, though we will
never reach a state where it can all be summarised in a length that was possible in
1987.
The Right Honourable the Lord Thomas of Cwmgiedd,
Lord Chief Justice of England and Wales
April 2016
Further acknowledgements
We are most grateful for the advice and assistance we have been given in the
course of making these revisions by his Honour Judge Burbidge QC, his Honour
Judge Edmunds QC, his Honour Judge Goldstone QC his Honour Judge Hopmeier
QC, his Honour Judge Picton and his Honour Judge Zeidman QC.
David Maddison David Ormerod Simon Tonking John Wait
February 2017
The Compendium owes a huge debt of gratitude to the late Lord Justice Pitchford
whose brilliant work on the Crown Court Bench Book did much to inform its
successor. His tragically early loss is sorely felt by all who knew and admired
him.
Court, are to be read in conjunction with Chapters S2 and S3 and Appendix SII,
which are of general application.
We have done our best to frame the Examples in language which is not unduly
legalistic and will be more readily understood by juries. In this regard we have been
greatly assisted by guidance given by Professor Cheryl Thomas in structuring many
Examples. We have also been given invaluable insight by the Plain English
Campaign team, who considered most of our draft Examples in great detail, in the
use of clear and simple language. We have adopted many of the suggestions made
by each, but the responsibility for the final wording of the Examples is ours alone.
It will be wise to forewarn the advocates in the absence of the jury if it is intended to
give some directions before the summing up, to indicate what the proposed
directions are, and to ask for any submissions the advocates may have. It will be
important to keep any such directions under review after they have been given, in
case they are affected by any subsequent developments in the trial; and, if they are,
to expand on those directions as necessary during the summing-up.
There is no reason why such directions cannot be provided to the jury in writing at
the time that they are given2, but this must not be undertaken without discussion with
the advocates.
Written directions should be uploaded to the digital case file or attached to a paper
file. If directions are given before the summing up they should be referred to during
the summing up so that, if the matter goes to appeal, it is clear to the CACD what
directions have been given.
2 See Atta-Dankwa [2018] EWCA Crim 320 where the CACD identified very clearly the
desirability of providing directions in writing even in relatively short or simple cases. See
further PP [2018] EWCA Crim 1300 where the court underlined the desirability of a judge
providing draft written directions to counsel to consider in advance.
3 C. Thomas, Are Juries Fair? MoJ Research Series 01/10 (2010), C. Thomas, “Avoiding the
Perfect Storm of Juror Contempt” Criminal Law Review (2013)
4 [2010] EWCA Crim 1622.
5 Review of Efficiency in Criminal Proceedings paras 284 and 288. www.judiciary.gov.uk/wp-
content/uploads/2015/01/review-of-efficiency-in-criminal-proceedings-20151.pdf
flowchart or other graphic.6 The authors of this work very much hope that the
Compendium will provide some of the tools to assist judges in using written
directions.
Routes to Verdict
When a jury is faced with more than one issue in a case, judicial experience
suggests that jurors can be assisted by having a written sequential list of questions,
or what is often referred to as a “Route to Verdict”. Such a document can help focus
jury deliberations and provide them with a logical route to verdict/s. In more
complicated cases some judges have a practice of providing a chart showing the jury
the permissible combinations of verdicts.
This Compendium provides numerous examples of written directions and routes to
verdict/s. Some of them are generic; others are fact specific. A route to verdict
should relate to the evidence in the trial and be confined to the matters in issue: e.g.
on a count of s.18 wounding if a stabbing is admitted but intention is in dispute:
“When D stabbed V did D intend to cause V really serious injury?”
In his report, Sir Brian Leveson P recommends the use of routes to verdicts in all
cases:
‘The Judge should devise and put to the jury a series of written factual questions,
the answers to which logically lead to an appropriate verdict in the case. Each
question should be tailored to the law as the Judge understands it to be and to
the issues and evidence in the case. These questions – the ‘route to verdict’ –
6
See also Atta Dankwa [2018] EWCA Crim 320. See further PP [2018] EWCA Crim 1300
where the court underlined the desirability of a judge providing draft written directions to
counsel to consider in advance.
should be clear enough that the defendant (and the public) may understand the
basis for the verdict that has been reached.’7
Keeping a record
A copy of any written directions, Routes to Verdict or other materials which the judge
has provided to the jury and with which they retire must be initialled by the judge and
put in the court file to ensure that in the event of an appeal it is that version which
comes to be considered by the CACD or, in the case of a digital file, uploaded onto
the DCS.
2. JURY MANAGEMENT
2-1 Empanelling the jury
ARCHBOLD 4-292; BLACKSTONE’S D 13.17; CrimPR 25.6; CrimPD 26
Legal Summary
1. See CrimPD Part 26D: Juries: Precautionary Measures before Swearing;
26D.1 There should be a consultation with the advocates as to the questions, if
any, it may be appropriate to ask potential jurors. Topics to be considered
include:
a. the availability of jurors for the duration of a trial that is likely to run
beyond the usual period for which jurors are summoned;
b. whether any juror knows the defendant or parties to the case;
c. whether potential jurors are so familiar with any locations that
feature in the case that they may have, or come to have, access to
information not in evidence;
d. in cases where there has been any significant local or national
publicity, whether any questions should be asked of potential jurors.
26D.2 Judges should however exercise caution. At common law a judge has a
residual discretion to discharge a particular juror who ought not to be
serving, but this discretion can only be exercised to prevent an individual
juror who is not competent from serving. It does not include a discretion
to discharge a jury drawn from particular sections of the community or
otherwise to influence the overall composition of the jury. However, if
there is a risk that there is widespread local knowledge of the defendant
or a witness in a particular case, the judge may, after hearing
submissions from the advocates, decide to exclude jurors from particular
areas to avoid the risk of jurors having or acquiring personal knowledge
of the defendant or a witness.
Length of trial
26D.3 Where the length of the trial is estimated to be significantly longer than
the normal period of jury service, it is good practice for the trial judge to
enquire whether the potential jurors on the jury panel foresee any
difficulties with the length and if the judge is satisfied that the jurors’
concerns are justified, he may say that they are not required for that
particular jury. This does not mean that the judge must excuse the juror
from sitting at that court altogether, as it may well be possible for the juror
to sit on a shorter trial at the same court.
26D.4 Where a juror appears on a jury panel, it will be appropriate for a judge to
excuse the juror from that particular case where the potential juror is
personally concerned with the facts of the particular case, or is closely
connected with a prospective witness. Judges need to exercise due
caution as noted above.
2. The jury to try an issue (including a trial of the facts8 for a defendant found unfit)
is selected from the panel by ballot in open court. It is normal practice to read
out the jurors’ names, selected at random, in open court.9 Where, exceptionally,
there is a risk of juror interference, jurors may be called by number.10
3. Following the ballot and any challenges the jury members are then each sworn,
following the guidance in CrimPD 26.E1.
Procedure
In a case not expected to last significantly longer than the normal period of
jury service
4. Before the jury panel enters the court the judge should consult the advocates as
to any questions to be asked of the panel, in accordance with CrimPD 39, about
any personal connection or knowledge they may have in relation to any aspect
of the case such as:
(1) Personal connection with or knowledge of anyone involved in the case
whether as a witness (either prosecution or defence) or as someone who
will be named (e.g. a deceased person, a co-defendant not before the jury
or a person who was arrested but not charged). The defence advocate/s
should be asked to identify any other significant names that might be
referred to during the case or confirm that there are none;
(2) Personal connection with or knowledge of any place or organisation
connected with the case (e.g. the location of the incident, D’s home address,
a public house or a business);
(3) Awareness of any publicity that the case has received in the local or national
media.
5. It is important not to exceed judicial discretion and whilst it is permissible to
exclude a juror who comes from, or has personal knowledge of, a particular area
in order to avoid the risk of a juror having, or acquiring, personal knowledge of D
or a witness, it is not permissible to exclude a jury panel drawn from a particular
section of the community or otherwise to influence the overall composition of the
jury.
6. It is not normally necessary to ask any questions of the panel before the panel
comes into the court room.
7. When the jury panel has entered it is advisable to:
(1) Apologise for any delay, giving an explanation if it is possible to do so
without prejudice to the case which is to be tried.
(2) Give the panel, in neutral terms, brief details about the case that they are
going to try e.g. the date, location and general nature of the incident.
(3) Explain that the jurors who are to try the case will do so on evidence that will
be presented to them in court and that, for this reason, it is essential that
none of them has any personal connection with it. To this end:
(a) Tell the panel D’s name and ask them to look at D to ensure that no
one knows him/her personally. Allow them time, and ensure that all
members of the panel can actually see D.
(b) Tell the panel that they are about to hear a list of names of all potential
witnesses and any other person connected with the case including, in
the case of police or expert witnesses, their occupations, and ask the
panel whether any of them knows anyone on the list.
(c) Ask the prosecution advocate to read the list: prosecution and defence
witnesses should all be in a single list, already agreed by the advocates
and approved by the judge.
(d) Ask the panel if any of them recognise any of the names which have
been given.
(e) Explain that if, at any later stage of the case, a juror recognises
someone connected it, for example a witness, notwithstanding that the
juror did not recognise a name at this stage, the juror should write a
note and hand it to the usher or the clerk.
(f) If applicable, ask the panel if any of them has any connection with a
particular place, business or organisation (as previously identified in
discussion with the advocates.
(g) If applicable, ask the panel if any of them are aware of any publicity that
the case has received in the local or national media (as previously
identified in discussion with the advocates).
8. If any member of the panel gives an affirmative answer, or one which is
equivocal (e.g. the person is not sure whether he/she knows one or more of the
names which have been read out) it will usually be necessary to find out more
from this person. This should be done carefully to ensure that nothing is
revealed that might prejudice the rest of the panel or the trial itself. A safe course
is to get the person to provide details in writing (e.g. as to how the person
knows/thinks they know a particular named individual) if necessary in the
absence of the rest of the panel. This process can be cumbersome but is likely
to save time in the long run if the alternative is to start again from the very
beginning.
9. If a member of the panel is unsure about their knowledge of a witness, steps
should be taken to identify the witness, either by description or if practicable by
asking the witness to come into the courtroom. Depending on the answer/s
given by any member of the panel, the judge may have to exercise his/her
discretion to exclude the person from serving on the jury, and possibly from
serving on any jury until the case has been concluded.
Example
NOTE: This example is not intended to cover every matter that may need to be
raised with the jury panel in any particular case, as to which see Procedure above,
but it provides a method of canvassing the jury panel for association with
witnesses and locations. If panellists have to be excluded from the ballot, consider
the additional directions at Chapter 2-2 below as to non-communication with those
panellists who are selected as jurors, and, if necessary, discharge from jury
service as a whole.
Good morning. You are members of a jury panel and from your number twelve of
you will be identified as jurors to try the case in this court today. Now there are two
particular guarantees of the fairness and independence of any jury and one of
them is that no-one on the jury should have any connection with the person being
tried or anyone who is a witness in the case, [or in some cases any particular
location that features in the case].
I am told that this case involves {specify e.g. “an incident”} which happened at
{location} on {date}. Because a jury must decide the case only on the evidence
given in court, it is essential that no one on the jury has any personal connection
with, or personal knowledge of, the case or anyone associated with it. I am now
going to give you some information about these things. If you know any of the
people personally, or you know anything about the case, please indicate that by
raising your hand / write a note explaining this and hand it to the usher.
The defendant’s name is X. X is the person standing {e.g. nearer to you} in the
dock. If you think you know the defendant personally, please raise your hand.
[Allow time.]
Next {e.g. Ms. Jones}, who is prosecuting this case, will read out the names of the
people who may be called as witnesses or who are connected with the case.
Please listen carefully to the names and think about whether you recognise any of
them. [List is read – confirm if there are additional defence witnesses who might be
called.]
One particular {place/business/organisation} which will feature in this case is
{specify}. Please think about whether you have any personal connection with that
{place/business/organisation}, such as being an employee, regular customer or
visitor.
If you think that you have any personal knowledge about any person connected
with the case or the {place/business/organisation} involved, please indicate that by
raising your hand / write a note explaining this and hand it to the usher.
EITHER: I see that three of you raised your hands in relation to that last question.
Would you step into the jury box for a moment, where you will see there is paper
and pen. Would you write me a short note to say why you raised your hand, and
please put your name on the paper?
• I see you (panel member 1) drive past the location on your way to work but
have never spent time there. I don’t suppose that will be a concern for anyone
(check with counsel). Would you please re-join the panel.
• I see you (panel member 2) are a family member of one of the witnesses. In
those circumstances (check with counsel) you should not sit on this jury.
Please stand to one side. [Ensure the panellist’s card is removed from the
ballot]
• I see you (panel member 3) have raised a different matter [note – where the
point raised could potentially be prejudicial or distracting for remaining jurors do
not give the reason in open court] Very well, I will now ask you all (including
panel member 3) to withdraw from court while I discuss this with counsel.
Please do not talk amongst yourselves about this case at all, or talk about any
of the points that have just been raised. Panel member 3, please do not talk to
anyone while you are waiting.
[After discussing with counsel] Members of the jury panel, you have all returned
to court. Thank you for your patience. Panel member 3, you wrote me a note. It
was entirely right to do so. It does not raise any issue to prevent you being a
member of this jury if selected. We can now move to the next stage.
[Note - If there is a need to remove a jury panel member from the ballot,
consider the additional directions as to non-communication given in Chapter 2-
2]
OR: I see no-one is indicating any familiarity with any of those persons or places.
Thank you. We can move on to the next stage.
A second guarantee of your fairness and independence is that you are selected at
random. You will see that the learned Clerk in front of me is shuffling the cards
with your names on. That is the process called the ballot. We will now see the
names that emerge.
[Once sworn] Of course sometimes we only know someone by their first name or a
nickname. If at any stage during the case you realise that you know someone
involved it is important you let me know straightaway. Please do this by
immediately writing a note and handing it to the usher.
In a case expected to last significantly longer than the normal period of jury
service
Such a case will have been identified in advance and an enlarged jury panel will
have been summoned.
10. In some courts, 2 weeks before the trial date, the jury summoning officer sends
a standard questionnaire to the panel informing them of the potential length of
the trial, reminding them of their public duty to serve on a jury but asking if they
have any pre-booked and paid-for holidays, if they or any member of their
immediate family have any anticipated hospital admissions or on-going long-
term medical treatment or if they have any other reason which would make it
impossible for them to sit on a long trial.
11. If the procedure in paragraph 10 above is followed:
(1) potential jurors are told to bring the completed questionnaire to court on the
day of the trial, together with any written evidence if they are seeking to be
excused. In light of such information the jury summoning officer, exercising
the discretion provided by s.9(2) Juries Act 1974, may withdraw any name/s
from the panel list; and
Example
NOTE: This example is not intended to cover every matter that may need to be
raised with the jury panel in any particular case, as to which see Procedure above.
STAGE 1:
We are going to select a jury to try a case which will last up to {number} months.
That means that we will need jurors who can sit on this case until {specify}
although everyone hopes and intends that the case will finish before then. We will
normally be sitting each day from {specify times}.
It is not unusual for trials to last this sort of length of time and, because it is a
fundamental principle of our justice system that someone accused of a serious
offence is tried by a jury selected at random, it is necessary to have a jury who can
try this case.
I fully appreciate that, to sit on a jury for this length of time may cause difficulties
because you will be away from work and it may also interfere with your other
commitments. But it is your public duty to be available to sit on a jury and, if you
are selected to sit on this jury, I hope and expect that you will find the experience
interesting and rewarding.
A little later this morning a jury panel of {number} will be identified and the jury will
be selected from this panel. Initially I shall be selecting approximately {number} of
you to form a jury panel from which the final jury will be sworn. Once {number}
have been identified, I shall be sending those potential jurors away until {e.g. after
lunch/tomorrow} to give you time to think. This is to make sure that there is no
information that you did not know, or have overlooked, when you were asked
whether you could sit on a jury for this length of time.
You have been provided with a questionnaire as you came into court which you
will have time to complete when you leave court and go back to the jury area. I
accept that it is likely that some of you may not be able to sit on the jury in this
case and the completed questionnaires will help me decide who is able – and who
is unable – to sit on the jury in this case.
Anyone who has a very good reason for not sitting on a jury for this length of time
will be released from serving in this case but will be required to make themselves
available on other cases which are due to start on or after today.
You must understand that it is my duty to find a jury to try this case: so the reasons
that I may accept for not sitting on the jury in this case are very limited.
Please look at the questionnaire that you have been given. [At this point take the
jury through the questionnaire, adding any further comments by way of explanation
which you think may be helpful, for instance giving examples of what sort of
employment issue may lead to the member being excused and what is unlikely to
do so.]
If you need to check with your family, with your employer or with anyone else
about any dates or other matters before you can answer a question, please do so.
In about {time} - by which time I hope you will have completed the questionnaires –
I will ask you to come back into court and we will begin the process of identifying a
jury panel and then selecting a jury.
Just before you leave the court room, let me explain that this case involves
{specify e.g. “an incident”} which happened at {specify location} on {specify date}.
Because a jury must decide the case only on the evidence given in court, it is
essential that no one on the jury has any personal connection with, or personal
knowledge of, the case or anyone associated with it.
The defendant’s name is X. X is the person standing {e.g. nearer to you} in the
dock. If you think you know X personally, please raise your hand. [Allow time.]
Finally, you now have some information about the case which you may be asked
to try. If you are selected to sit on the jury in this case I shall give you some
directions about not trying to get any information about it, either on the internet or
in any other way. You will be told that to do so would amount to an offence which
is punishable by imprisonment. The same applies to all of you at this stage; you
must not use the information you have been given to do any research into what
this case is about. If you are chosen to try this case you will be given all the
information you will need in this courtroom.
*An example questionnaire is at Appendix II. It is appreciated that different forms
of questionnaire are used at different courts to meet local needs.
STAGE 2
Thank you all for completing the questionnaires. I have had an opportunity to read
them {if appropriate: and some people have been excused}.
The clerk of the court will now read out a list of names. This is not the list of those
people who will be on the jury to try this case but of a larger number who are
eligible to be on the panel from which the jury will be selected. If your name is
called and you want me to consider any reason why you should be excused to
serve on this jury, please {either write me a note/come forward to speak to me}.
After we have identified those able to sit you will be asked to return to the jury area
where there will be a ballot to select a panel of {number} from whom the final 12/14
jurors will be selected.
We will then adjourn until {e.g. after lunch/tomorrow} to provide a final opportunity
for those who have been chosen for the jury panel to make sure that there is
nothing which might affect their ability to sit on this jury. After this adjournment,
the final ballot will be undertaken in open court and the 12/14 selected for the jury
will be sworn in as the jurors to try this case.
*NOTE: It is recognised that methods of communication with potential jurors vary
in different courts.
STAGE 3 (after an adjournment)
Thank you for coming into court again. You are all part of a jury panel and have
confirmed you are able to sit on this jury if selected. Let me first check with you
that nothing has changed. [Allow time]. Thank you. In that case we are now ready
to select and swear the jury. If your name is called then please go to the place in
the jury box which you will be shown by the usher and take the oath or affirmation.
Legal Summary
1. Challenges for cause to the array11 or the polls may be made by either party.12
The challenge should be made before the juror is sworn.13 In practice, the
discretion to stand down a juror by agreement obviates the need for further
inquiry into the challenge in most cases.
2. The Attorney-General has issued guidelines revised in 2012 on the use by the
prosecution of the right of stand down.14 The Crown should assert its right to
stand down only on the basis of clearly defined and restricted criteria: (1) where
a jury check reveals information justifying the exercise of that right and its
exercise is personally authorised by the Attorney General; or (2) where someone
is manifestly unsuitable and the defence agrees that the exercise by the Crown
of the right to stand down is appropriate.
3. The judge has the discretion to stand down jurors who are not competent to
serve by reason of a personal disability: CrimPD 26C.3.15 Judges must not use
that discretionary power to stand jurors by in an attempt to reject jurors from
particular sections of the community or otherwise influence the overall
composition of the jury: CrimPD 26D.2.16
4. A judge should always be made aware at the stage of jury selection if any juror
in waiting is a serving police officer, prison officer or prosecution service
employee. Guidance on how judges should approach jury selection of such
individuals is provided in CrimPD 26C.6 et seq.17 The test to apply is well
established: “Whether the fair minded and informed observer, having considered
the facts, would conclude that there was a real possibility that the tribunal was
biased.”18
11 Challenges to the array no longer occur in practice. A challenge to the array cannot be
used to challenge the racial composition of the jury: Ford [1989] QB 868; Smith [2003]
EWCA Crim 283. Nor can the fact that the Attorney General has vetted the panel, in
accordance with the guidelines, afford grounds for a challenge to the array: McCann (1991)
92 Cr App Rep 239.
12 Juries Act 1825, s.29 (Crown); Juries Act 1974, s.12(1), (4) (defence).
13 Juries Act 1974, s.12(3).
14 2012 update
15 Mason [1981] QB 881; Jalil [2008] EWCA Crim 2910.
16 Ford [1989] QB 868.
17 Abdroikov [2007] UKHL 37; Hanif v UK [2011] ECHR 2247; L [2011] EWCA Crim 65.
18 Abdroikov para. 15.
Legal Summary
Discharging individual jurors
1. The judge has a power to discharge a juror or jurors but the jury must never fall
below 9 in number. A juror should only be discharged where there is a high
degree of need.20
2. Section 1621 of the Juries Act 1974 sets out the consequences of discharge, but
the extent of the jurisdiction to discharge a juror is a matter of common law; s. 16
merely sets out the consequences of exercising it.22 Discharge of jurors is not
dependent on the consent of the parties. In a case where the jury has to
consider more than one verdict, the judge retains the power to discharge a juror
even after one or more of the verdicts have been given: Wood.23
3. Examples of situations in which it may be necessary to discharge a juror include:
illness, misconduct or a juror having an unavoidable personal commitment.
4. CPD Trial 26 H2 provides further guidance.24 It is emphasised that
“the judge must decide for him or herself whether the juror has presented a
sufficient reason to interfere with the course of the trial. If the juror has
presented a sufficient reason, in longer trials it may well be possible to
adjourn for a short period in order to allow the juror to overcome the difficulty.
In shorter cases, it may be more appropriate to discharge the juror and to
continue the trial with a reduced number of jurors:” CPD 26.
Moreover,
“The good administration of justice depends on the co-operation of jurors, who
perform an essential public service. All such applications should be dealt with
sensitively and sympathetically and the trial judge should always seek to meet
the interests of justice without unduly inconveniencing any juror.” CPD 26.
5. In the event of a juror or jurors being discharged, the remaining jurors will
deserve an explanation as to why that person is absent. In cases in which the
juror is suspected of engaging in misconduct, care will be needed. In cases
where the juror has been discharged for other reasons, few difficulties will arise.
6. The remaining jurors may also need an explanation as to what if any regard they
are to have to the comments and views expressed by the discharged juror(s). In
Carter,25 Lord Judge CJ explained:
[19] … “It would therefore be wholly unrealistic for a direction to be given to
the remaining members of the jury to ignore the views expressed on any
subject by the departed jurors. What matters is that the discussion between
the remaining jurors will continue to ebb and flow and, on reflection, the views
expressed by the departing juror (or jurors) would have been examined and
either accepted wholly or in part, or rejected wholly or in part, or treated as
irrelevant by the remaining jurors in the course of reaching the decisions to
which their conscience impels them. The eventual verdict, however, is no
more than that of the jurors who have been party to it as a result of the
process of discussion in the privacy of the jury room. The views expressed by
the departed jurors will only be relevant to the extent that the remaining jurors
will have adopted or assimilated those views as their own.”
Discharging the entire jury
7. A judge has the discretion to discharge the jury.26 Once a jury has been
discharged it is functus officio and cannot be reconvened. In exceptional
circumstances it may be possible to set aside an order to discharge.27
8. The reasons for discharging a jury will depend on the circumstances of the case.
The judge’s overriding duty in this context is to ensure that proceedings are fair
and to do justice in the particular case. Examples of situations in which it may be
necessary to discharge the jury include: where inadmissible material has
become known to the jury or there is a risk that improper information known to
one juror has been shared with others.
Investigating alleged wrongdoing
9. The Criminal Practice Direction contains comprehensive guidance on the
approach to take where there is alleged wrongdoing by one or more jurors:
CrimPD VI Trial 26M: Juries: Jury Irregularities.
10. If the judge considers that the trial should continue, then under CPD 26M.26 the
judge should consider what, if anything, to say to the jury. For example, the
judge may reassure the jury nothing untoward has happened or remind them
their verdict is a decision of the whole jury and that they should try to work
together. Anything said should be tailored to the circumstances of the case.
11. The discharged juror(s) must be warned not to discuss the circumstances with
anyone and it may be necessary to discharge the juror(s) from current jury
service.
12. In the event that a jury is discharged and the trial relisted, the jury should be
warned not to discuss the circumstances with anyone.
13. If information about a jury irregularity comes to light during an adjournment after
verdict but before sentence, then the trial judge should be considered functus
officio in relation to the jury matter, not least because the jury will have been
discharged. See CrimPD 26M.41 for the procedure to follow and see Davey28.
Procedure
Discharge of a juror for personal reasons
14. A request will normally be brought to the attention of the judge either by a note
or message from the juror via an usher.
15. The first priority is to ensure that all relevant information has been provided. This
can be done by the usher asking any necessary further questions of the juror
and writing down the answers.
16. The advocates should be informed. In most cases they may be shown the note
or told in detail of the juror’s difficulty. If the juror’s problem is very personal it is
appropriate to indicate to the advocates the general nature of the problem
without going into detail.
17. Alternatives to discharge should be considered particularly in longer trials e.g. an
adjournment to permit the juror to attend a hospital appointment or an
adjournment for one or two days for a juror to recover from temporary illness.
18. A judge may be assisted by submissions from the advocates but whether a juror
is discharged or not is a matter for the discretion of the judge.
19. If a juror is discharged part way through the trial, the juror’s discharge should be
from current jury service altogether or until the case the juror has been trying is
complete; the juror should be given a clear warning not to speak to the
remaining jurors about this case.
20. If the juror is at court rather than absent through illness or other cause, the juror
should be asked to come into court without the other jurors, told that the request
has been considered, and either indicate the arrangements to be made to
enable him/her to continue sitting or thank the juror for his/her services to date,
formally discharge the juror and give instructions as to future service (see
above).
Discharge of whole jury for irregularity within the trial process
21. If the discharge is as a result of something that has happened within the trial e.g.
a witness or advocate referring to matters that are not admissible in evidence
and are seriously prejudicial, the matter will be subject to submissions from the
advocates.
22. The decision whether or not to discharge will take into account the nature and
seriousness of the irregularity and also that juries are expected to abide by their
oath/affirmation to try the case according to the evidence.
23. If the decision is not to discharge, consideration must be given to what, if
anything, the jury are to be told. In many cases a rehearsal of the inadmissible
Legal Summary
1. The court may take a “view” out of court by inspecting a particular location or
inspecting any object which it is inconvenient or impossible to bring to court. This
may be useful where maps, photographs, videos or diagrams will not suffice.
2. The view may take place in any case in which the judge thinks that it would be of
service to the jury. It may be at the request of any party. A view may only take
place before the jury has retired.29
3. Before any court embarks upon a view, the judge must make clear precisely
what is to happen, including where various individuals will be permitted to stand,
what actions can be performed at the scene of the view etc.30 If witnesses are to
be present it must be agreed what demonstrations, if any, they will be permitted
to perform.
4. CrimPD VI Trial 26J: Juries: Views
26J.1 In each case in which it is necessary for the jury to view a location, the
judge should produce ground rules for the view, after discussion with the
advocates. The rules should contain details of what the jury will be shown
and in what order and who, if anyone, will be permitted to speak and what
will be said. The rules should also make provision for the jury to ask
questions and receive a response from the judge, following submissions
from the advocates, while the view is taking place.
All parties should attend: the judge31, all members of the jury32, the
parties, the advocates, a shorthand writer/logger, any witnesses and/or
dock officers directed to attend, and the ushers. The jury should remain in
the company of the ushers. D is not bound to attend but his presence
may be important to allow an opportunity to identify for his legal
representatives ways in which the locus has changed since the alleged
crime.
The view itself should be conducted without discussion unless necessary.
The judge should take precautions to prevent any witnesses present from
communicating, except by way of demonstration, with the jury.33 A
shorthand writer/logger should record all communications between the
judge and the advocates and or the jury.
29 Lawrence [1968] 1 WLR 341, distinguished in Nixon [1968] 1WLR 577, where the defence
requested the inspection.
30 M v DPP [2009] EWHC 752 (Admin).
31 Hunter [1985] 1 WLR 613. However, if the judge is absent, a conviction will not necessarily
Crim LR 567,
33 Martin (1872) LR 1 CCR 378; Karamat [1955] UKPC 38.
Procedure
5. Planning:
(1) If the judge decides that a view is to be held, careful arrangements must be
made and all those attending the view must know precisely what procedure
is to be adopted: the judge must produce clear ground rules.34
(2) When on a view the court is still sitting and proper procedures must be
followed throughout.
(3) If any particular place or other specific feature of the scene is to be identified
and viewed, the procedure for doing so must be agreed in advance. It may
be helpful to discuss and agree with the advocates a list describing what the
jury should look at. This can then be given to the jury and explained to them
before leaving court. In an appropriate case this can be supplemented with
an annotated plan setting out, for example, a route and/or features that they
should look at. Such preparation should reduce the need for anyone to have
to communicate with the jury during the view.
(4) The jury should be told to take any relevant plans and photographs with
them.
(5) When it is suggested that a defendant, particularly one who is in custody, is
to attend the view great care must be taken. It may be that one or more
dock officers will be needed to escort the defendant/s but care needs to be
taken with regard to the use of handcuffs. Account must be taken of any risk
of escape.
6. Travel:
(1) Travel to and from the location must be very carefully regulated. It should
start and finish at the court for everyone involved. It is important to ensure
that there is no risk of contamination at any stage of the travelling process.
(2) Usually travel is by a single coach. It is important that different parties, in
particular the jury, the defendant and any witness/es are kept apart and go
to and remain in appropriate seats.
(3) Talking en route is permitted but on no account may anyone at all talk about
the case.
(4) If a defendant is to travel to the location, a dock officer/officers will escort
him/her as appropriate.
7. At the view:
(1) Any communications between the judge and the advocates, any witness/es
and/or the jury must be recorded (usually on a portable recorder held by the
court clerk).
(2) Apart from communicating with his/her advocate, any D must remain silent.
(3) If any evidence is taken this must be done in the same way as in court: it
must be recorded and audible to the judge, advocates, defendant/s if
present and all members of the jury.
34 CrimPD 26J.1
(4) Jurors may ask questions but only by writing a note, not orally. The note
should be handed to the judge who should discuss the question with the
advocates, if appropriate without the jury (as it would be in court). In some
cases it may be possible to deal with the question at the view; in others it
may not be possible to deal with it until the court has reassembled in the
court room in which event this should be explained to the jury.
Example
NOTES:
1. These instructions should be given in court before the view takes place.
2. This example does not contain all possible instructions that may have to be
given: other instructions will be case-specific, depending on the location and
the purpose of the view.
Members of the jury, you have asked if you can go to the scene of the incident. I
have discussed this with the advocates and have decided that this should be done.
Arrangements are being made so that we can all go to the scene together.
There are specific rules that have to be followed for this visit and I’m going to
explain them to you now.
At 10 o’clock tomorrow morning, we will all meet in this courtroom [add if
appropriate: and I will give you directions about what you should look at when you
get to the scene and tell you what documents you should take with you]. The
ushers will then take you to {specify location e.g. the car park}. From there a coach
will take us to the scene. We will all get onto the coach in a particular order. The
defendant will get on first and sit at the back {in the company of the dock officer}.
Then the lawyers, [if applicable: the witness, W, with an usher], followed by me
and the court clerk. Finally, you and your ushers (who will stay with you throughout
the journey and at the scene) will get on. You will sit at the front of the coach but
you do not need to sit in any specific order.
While you are on the coach to and from the scene you must not talk about the
case, even to each other. You may speak about things other than the case, but
only to each other and your ushers. You must not speak to anyone else.
We are effectively taking the court to the scene so you must follow all the rules that
you do in court. That includes not using any mobile phones or electronic devices
either in the coach or at the scene.
When we get to the scene you must stay together as a jury in one group and in a
place where you can all hear everything that is said, except if I need to discuss a
particular point privately with the advocates. You must not talk at the scene. You
must simply observe {and listen if any evidence is given}. You are free to take
notes if you wish. If you want to ask a question, write it down and hand it to the
usher.
When the visit is over we will return to court on the coach. We will get on the
coach in the same order, so you will get on last and sit in exactly the same places
as before. When we get back to court you will be taken to the jury area first before
we all come back into the courtroom.
It is very important that everyone follows these instructions. I will remind you of
them again when we meet in court tomorrow morning.
3. TRIAL MANAGEMENT
3-1 Opening remarks to the jury
ARCHBOLD 4-325; BLACKSTONE’S D13.20; CrimPD 26G.3
Legal Summary
1. Guidance on the appropriate directions to jurors at the start of the trial is
provided in CrimPD 26G.3 et seq. Following the judge’s direction to the jury, each
member of the jury must be provided with a copy of the notice Your Legal
Responsibilities as a Juror which outlines what is required of the juror during and
after their time on the jury. The current guidance provided as to the use of the
juror notice is at Appendix III and the notice itself is available on the “Justice”
website35.
2. It is vitally important that such guidance is followed. The instructions given to the
jury at the outset will reduce the risk of jurors engaging in behaviour which may
jeopardise the fairness of the trial and lead to them being discharged. The
instructions will repeat some of the information that has been provided on the
jury DVD and in the address given by the jury manager. Nevertheless, it is
important that the jury is directed on these issues by the judge:
(1) to make sure that jurors understand what is permitted;
(2) so that the defendant and members of the public gain confidence from
hearing the instruction in open court that the jury is to try the case on the
evidence;
(3) so that the jurors have received a court order that in the event that they do
ignore the directions and engage in improper conduct that breach will be a
contempt of court: AG v Dallas36 and a criminal offence under the Criminal
Justice and Courts Act 2015;
(4) in the event of challenges on appeal it is clear what instruction the jurors
have received.
3. The Guidance provides
At the start of the trial
26G.3 Trial judges should instruct the jury on general matters which will include
the time estimate for the trial and normal sitting hours. The jury will
always need clear guidance on the following:
i. The need to try the case only on the evidence and remain faithful to
their oath or affirmation;
ii. The prohibition on internet searches for matters related to the trial,
issues arising or the parties;
35 http://www.justice.gov.uk/courts/procedure-rules/criminal/docs/october-2015/j001-eng.pdf /
http://www.justice.gov.uk/courts/procedure-rules/criminal/docs/j001-cym.pdf
36 AG v Beard and Davey [2013] EWHC 2317 (Admin).
iii. The importance of not discussing any aspect of the case with
anyone outside their own number or allowing anyone to talk to them
about it, whether directly, by telephone, through internet facilities
such as Facebook or Twitter or in any other way;
iv. The importance of taking no account of any media reports about the
case;
v. The collective responsibility of the jury. As the Lord Chief Justice
made clear in Thompson and Others:37
[T]here is a collective responsibility for ensuring that the conduct
of each member is consistent with the jury oath and that the
directions of the trial judge about the discharge of their
responsibilities are followed…. The collective responsibility of the
jury for its own conduct must be regarded as an integral part of
the trial itself.
vi. The need to bring any concerns, including concerns about the
conduct of other jurors, to the attention of the judge at the time, and
not to wait until the case is concluded. The point should be made
that, unless that is done while the case is continuing, it may not be
possible to deal with the problem at all.
Subsequent reminder of the jury instructions
26G.4 Judges should consider reminding jurors of these instructions as
appropriate at the end of each day and in particular when they separate
after retirement.
26G.5 Jurors should be provided with the notice Your Legal Responsibilities as a
Juror. This should always be given to the jury at the end of the judge’s
initial directions and jurors should be told to keep it with their jury
summons for future reference.
Directions
4. The jury should be informed of the estimated length of the trial; of the normal
court sitting hours; of the short breaks, if any, which it is intended to take if the
evidence allows for this; and of any variation to those hours on any particular
day(s) of which the court is aware at the outset. The jury should be kept
informed of changes to the trial schedule.
5. The jury may be informed of the stages of the trial - prosecution opening,
evidence, closing speeches, summing-up, deliberations and verdict(s).
6. [Optional]. The jury may be given a brief introductory summary of the issues in
the case (whether orally and/or in a short document), emphasising that it is
intended as no more than that. Any doubts about whether such a summary
should be given, or about the terms in which it should be given, should be
discussed in advance with the advocates in the absence of the jury.
7. The judge's tasks during the trial are to see that it is conducted fairly, to rule on
any legal arguments that arise, and to sum up the case at the end. Because the
37 [2010] EWCA Crim 1623, [2011] 1 W.L.R. 200, [2010] 2 Cr. App. R. 27.
judge alone is responsible for legal decisions, he/she will hear and rule on any
legal arguments in the absence of the jury. This is standard practice in criminal
trials.
The jury's responsibilities
8. The jury's tasks are to weigh up the evidence, decide what has been proved and
what has not and return a verdict/verdicts based of their view of the facts and
what the judge will tell them about the law.
9. Any juror should indicate immediately if he/she is not able to hear any of the
evidence.
10. If a juror realises at any stage that he/she recognises someone connected with
the case, notwithstanding that he/she did not do so when the names were read
over before the jury were sworn, the juror should write a note immediately and
pass it to the usher who will give it to the judge.
11. The jury must try the case only on the evidence and arguments they hear in
court. From this it follows that throughout the trial each juror:
(1) must disregard any media reports on the case;
(2) must not discuss the case at all with anyone who is not on the jury, for
example with friends or relatives, whether by face to face conversation,
telephone, text messages, chat-lines or social networking sites such as
Facebook or Twitter;
(3) must not carry out any private research of their own with a view to finding
information which is or might be relevant to the case, for example by
referring to books, the internet or search engines such as Google, or by
going to look at places referred to in the evidence;
(4) must not share any information which is or might be relevant to the case and
which has not been provided by the court; and
(5) must not give anyone the impression that he/she does not intend to try the
case on the basis of the evidence presented.
12. These instructions are given for good reasons:
(1) They aim to prevent the jury being influenced by opinions expressed by
people who have not heard to the evidence.
(2) The prosecution and the defence are entitled to know on what evidence the
jury have reached their verdict(s); otherwise the trial cannot be fair.
(3) Information obtained from outside sources may not be accurate and may
mislead the jury.
13. It is vital in the interests of justice and in the jury's own interests that they should
follow these instructions strictly. If they do not it may well be necessary to halt
the trial and start again with a new jury, causing a great deal of delay, anxiety
and expense. In fairness to the jury they should be aware from the beginning
that if they do not follow the instructions they may well be guilty of a criminal
offence and at risk of a sentence of imprisonment.
14. Although the jury must not discuss the case with anyone outside their own
number they are allowed to talk amongst themselves about the case, as it
progresses. However, they should not do so in the jury assembly area (where
there is always a potential to be overheard) but only when they are all together
in the privacy of their jury room: they should not discuss the case in “twos and
threes”. The jury should wait until they have heard all of the evidence before
forming any final views.
15. Each member of the jury is responsible for seeing that all the jurors comply with
all these instructions.
16. The jury must be told that if they have any difficulties or problems while serving
as jurors, including any problem they may have amongst themselves, they
should write a note to the judge immediately and give this to the usher. If any
such matter is not reported until after the trial is over it may be too late to do
anything about it.38
17. These directions apply throughout the trial, even if the judge does not repeat
them.
18. When the trial is over jurors may discuss with others their experience of being on
a jury and speak about what took place in open court. However, they must never
discuss or reveal what took place in the privacy of their jury room, whether by
talking or writing about it, for example in a letter, text message or other
electronic message such as on Twitter or Facebook. This is absolutely forbidden
by Act of Parliament and, if done, would amount to a contempt of court.39
Other information
19. [Optional]. Members of the jury will sit in the same places in the jury box
throughout the trial.
20. [Optional]. If any juror needs to ask a question or give any information to the
judge during the trial they should write a short note and give it to the usher.
21. [Optional]. Any juror may request a break at any time.
22. [If appropriate]. Describe any arrangements made for smokers during any
breaks.
23. [If appropriate]. Notepaper and writing materials have been made available for
use by the jury. The jury may take such notes as they find helpful. However, it
would be better not to take so many notes that they are unable to observe the
manner/demeanour of the witnesses as they give their evidence. The jury are
not obliged to take any notes at all if they do not wish to. In any event the judge
will review the evidence when summing up at the end of the trial.
24. [If appropriate]. The jury will be provided with a file/files of
documents/photographs. The jury may mark these if they find it helpful.
25. If any witness is giving evidence by special measures, the measures should be
described to the jury, who should be told that the use of such measures is
common-place in criminal trials, that it is simply to put the witness at ease as far
as possible, and that their use in this case should not affect the jury's view of the
evidence of the witness concerned and is no reflection on the defendant.
26. If any witness or a defendant requires an interpreter, the jury should be told why;
from what language the evidence will be interpreted into English; and the extent
to which the interpreter will be assisting the witness/defendant.
27. If it is clear that security arrangements are in place in court, or if the judge has
authorised security arrangements for the jury, the jury should be told that such
arrangements are no reflection on the defendant, and must have no bearing on
their consideration of the case.
NOTE: The opening remarks must reflect, as appropriate, the information set out
above but are personal to the style of the judge who makes them (subject to the
mandatory use of the juror responsibilities notice). Accordingly, no example is given.
Example – Self-defence
We have heard that lawful self-defence is likely to be an issue in this trial. What
does that mean? I am going to say a few words to you now by way of a very brief
outline but I will give you a much fuller direction at the end of the trial and before
you retire to consider your verdict. At that stage I will also set out for you a series
of factual questions that you can ask yourselves and which will lead you to your
verdict.
What I will say at this stage is that where the question of lawful self-defence is
raised you will have to assess the evidence carefully before deciding whether the
prosecution have proved the defendant acted unlawfully. You are likely to have to
consider three areas: what was done, why it was done and in some circumstances
you may have to assess the reasonableness of what was done.
As to the actions – that is, what was done, by whom, with what, and in what order
– the evidence is very likely to be conflicting. You will need to look at it with care.
As to why each person acted as they did, especially the defendant, you will again
need to look at the evidence with care. You will ask what the defendant truly
thought was happening? What was in the defendant’s mind?
Depending on your conclusions about those matters you may have to make an
assessment of the reasonableness of the defendant’s actions. I will tell you more
about the framework for doing so later in the trial and nearer to the time you have
to make any decisions about the case.
For the moment then, keep an open mind as the evidence is being given. Be
aware that the key questions that will help you in your deliberations are not just the
obvious ones such as ‘who did what?’ but also ‘why, and with what in mind?’ as
well as ‘what were the circumstances in which all this happened?’.
Example – Identification
You have just heard there is likely to be evidence that the prosecution suggest
identifies D as a person involved in this case. The D denies having anything to do
with it. The identification evidence is a matter of dispute which you will have to
resolve, and that will require special care. I am going to set out in a few words why
this is so, and how in practice you do it.
always reliable. Some may think they are reliable and appear to be reliable even
when they are not.
Legal Summary
1. If the question arises at the instance of the defence, the prosecution or the court
that a defendant is unfit to plead and stand trial, it is for the judge alone to
decide whether the defendant is fit.40 The determination of that question may be
postponed by the judge until any time until the end of the Crown’s case. If the
judge41 concludes the defendant is fit to plead or stand trial42 the trial proceeds
in the usual way (albeit perhaps with special measures e.g. an intermediary):
see Orr43 and also Marcantonio.44
2. If the judge finds the defendant unfit, the court has a responsibility to ensure that
D is appropriately represented.
3. A jury45 must then be empanelled to try the issue
“whether they are satisfied, as respects the count or each of the counts on
which the accused was to be or was being tried, that he did the act or made
the omission charged against him as the offence”.46
4. If the act is not proved the jury return a verdict of not guilty. The burden of proof
is on the Crown to the criminal standard. 47 Any confession or incriminating
statement made by D should not ordinarily be introduced, unless D’s unfitness
arose after the making of the statement.48
40 Under Criminal Procedure (Insanity) Act 1964, s.4(5) as substituted by Domestic Violence,
Crime and Victims Act, 2004, s. 22. The burden of proof is on the party alleging unfitness:
Robertson [1968] 1 WLR 1767.
41 Walls [2011] EWCA Crim 443. Norman [2009] 1 Cr App Rep 192. Taitt v State of Trinidad
and Tobago [2013] 1 Cr App Rep 28, emphasising that it is for the court not the experts to
decide the issue.
42 The test for the judge is not one of insanity or mental illness. It is that in Pritchard (1836) 7
C & P 303. The modern day iteration of that test is set out in M [2003] EWCA Crim 3452: the
ability at the time of trial (i) to understand the charges (ii) to understand the plea (iii) to
challenge jurors (iv) to instruct legal representatives (v) to understand the course of the trial
(vi) to give evidence if he chooses. The judge is entitled to conclude that the defendant is fit
without evidence from two registered medical practitioners: Ghulam [2009] EWCA Crim
2285.
43 [2016] EWCA Crim 889.
44 [2016] EWCA Crim 14.
45 If there is more than one defendant the same jury should decide D1’s fitness and D2’s
Brian Leveson P said that where a defendant's disability impacts on his/her ability to take
part in a trial but he/she is not otherwise affected by a psychiatric condition such as renders
what is said in interview unreliable …there is no reason why the jury should not [receive the
interview] albeit with an appropriate warning.
5. Juries should not be told what the disposal powers are if they find the defendant
did the act.49
6. The case law on what “act or omission” means is confused.50 The defences of
Loss of Control and Diminished Responsibility cannot be pleaded at a hearing of
the trial of the issue under section 4A Criminal Procedure (Insanity) Act 1964.
Directions
If the judge rules that D is unfit
7. Jury selection proceeds in the usual way save that D has no right of challenge.
8. The jurors take an oath or affirm in a form requiring them to determine whether
D did the act or made the omission charged as the offence, or is not guilty.
9. As part of their introductory remarks, the judge should explain to the jury the
nature of the proceedings, and that although D is not fit to be tried for the
offence there is an important public interest in ascertaining whether or not D did
the act or made the omission: see the Example below.
10. If, as is likely, D does not give evidence the judge should discuss with the
advocates in the absence of the jury before closing speeches whether the jury
should be directed that they may or must not draw an adverse inference: see
Chapter 17-5.
11. The summing up will be in the conventional form save that the jury is concerned
only with whether D did the act or made the omission, and not with D’s state of
mind. Care will be needed to identify those elements of the offence of which they
jury must be sure: see paragraph 6 above.
12. If D is being tried jointly with other defendants who are being tried
conventionally, the differences between the issues arising and the verdicts
available should be explained clearly to the jury.
13. The verdict will be:
(1) 'D did the act charged'; or
(2) 'D made the omission charged'; or
(3) 'Not Guilty'.
Example
NOTE: This will be in addition to such other opening remarks as are appropriate:
see Chapter 3-1 above.
Through no fault of D’s own, D is not fit to stand trial. Because of this, there cannot
be a trial in the usual way and you do not have to decide whether or not D is guilty.
What you have to decide is whether or not D did the act charged, namely whether
or not D {specify}.
If you are sure that D did this, then your verdict will be “D did the act charged”. If
you are not sure, or sure that D did not do it, your verdict will be “Not Guilty”. I will
remind you of the verdicts you can return when I sum the case up to you later.
Legal Summary
1. In general a defendant has a right to be present throughout their trial.
Exceptionally a trial may start or proceed in the absence of the defendant. This
may be as a result of the defendant voluntarily absenting him/herself or being
excluded from the court for misbehaving.51 Where the defendant is too ill to
attend it is possible to continue in absence if the defendant consents or there will
be no prejudice arising from absence.
2. The court's discretion to commence or continue a trial in the defendant's
absence must be exercised with the utmost care and caution and with close
regard to the overall fairness of the proceedings. The relevant principles to be
applied by a judge in deciding whether to continue in the defendant’s absence
are set out by the House of Lords in Jones.52 See also CrimPD III 14E1.
3. In exercising the Court’s discretion, fairness to the defence is of prime
importance but fairness to the prosecution must also be taken into account. The
judge must have regard to all the circumstances of the case including in
particular:
(1) the nature and circumstances of the defendant's behaviour in absenting
him/herself from the trial or disrupting it as the case may be and, in
particular, whether the defendant’s behaviour was deliberate, voluntary and
such as plainly waived his/her right to appear;
(2) whether an adjournment might resolve the problem;
(3) the likely length of such an adjournment;
(4) whether the defendant, though absent, is or wishes to be legally
represented at the trial or has by their conduct waived their right to
representation;
(5) whether an absent defendant's legal representatives already have and/or
are able to receive instructions from the defendant during the trial and the
extent to which they are able to present the defence;
(6) the extent of the disadvantage to the defendant in not being able to give
their account of events, having regard to the nature of the evidence against
the defendant;
(7) the risk of the jury reaching an improper conclusion about the absence of
the defendant;
(8) the general public interest and the particular interest of complainants and
witnesses that a trial should take place within a reasonable time of the
events to which it relates;
51 A defendant should only be handcuffed in the dock if there is a real risk of violence or
escape and there is no alternative to visible restraint: Horden [2009] EWCA Crim 388.
52 [2002] UKHL 5.
but does not engage an adverse inference direction that could arise if D were
present but chose not to give evidence. The jury can be told why D is not in the
dock and that D’s decision not to attend the trial may have practical
consequences (loss of opportunity to give evidence etc.) but no more than that.
10. If it is not appropriate to tell the jury any reason why the defendant is absent
(e.g. alleged but unproven misbehaviour which would be prejudicial in the
context of the trial) tell the jury that they must not (a) speculate about the reason
for the defendant’s absence or (b) treat it as providing any support for the
prosecution’s case.
Directions – when summing up
11. Repeat the earlier directions.
12. If the defendant’s absence occurred after the defendant gave evidence, no more
is to be said.
13. If the defendant’s absence occurred before the time when the defendant could
have given evidence (and so no warning about inferences from silence at trial
has been given) the jury must be told that they must not draw any conclusion
against the defendant because the defendant has not given evidence. They may
be told that as a matter of fact the defendant has given no evidence which is
capable of explaining or contradicting the evidence given by witnesses called by
the prosecution.
14. If the defendant’s absence occurred after the defendant had been given an
‘inferences’ warning and chose not to give evidence, the direction as to the
consequences of silence at trial is available: see Chapter 17-5.
Example
If a reason can be given for D’s absence: D is unable to come (or has decided not
to come) to his/her trial because {specify}.
If no reason can be given (e.g. because the absence is for a reason which would
itself be prejudicial for the jury to know)): D is not here.
In any event:
But D has previously pleaded 'Not Guilty' [add if appropriate: and D has told
his/her lawyers what his/her case is and they will be representing D during the
trial.]
The fact that D is not here does not affect your task, which is to decide whether or
not D is guilty of the charge(s) against him/her. [Add if appropriate: You must not
speculate about the reason D is not here]. D’s absence is not evidence against D
and must not affect your judgment.
But because D is not here you will not have any evidence from D to contradict or
explain the prosecution's evidence. [If appropriate: D did answer questions when
interviewed by the police and D’s answers will be part of the evidence for you to
consider. But, you should bear in mind that what D said to the police was not given
under oath and D will not be cross-examined.]
Legal Summary
1. In some cases a co-defendant is named on the indictment but will not be taking
part in the trial because the co-defendant has already pleaded Guilty or is to be
tried separately.
2. Reference to the existence of the defendant who is not on trial without reference
to their plea or conviction may be necessary if the jury is properly to understand
the present proceedings. In such a case the jury need to be warned not to
speculate on reasons for their absence but to try the case on the evidence.
3. Reference to the other defendant having been convicted or pleaded guilty may
be made:
(1) by agreement of the parties;
(2) if adduced by the Crown or a second co-defendant on trial in the present
proceedings under s.74 of PACE subject, in the case of evidence adduced
by the Crown, to the discretion in s.78 of PACE.
The absent accused’s conduct is relevant because it has to do with the facts of
the alleged offence. S.100 CJA 2003 might be engaged.
4. Where evidence is adduced of the conviction or plea of a defendant who is not
present the jury need to be directed on its evidential significance. If it is not
evidence against the defendant on trial the jury need to be directed to that effect.
The evidence is being adduced for information only. If the evidence of the
absent defendant’s guilt is admissible as evidence against the present defendant
the jury will need to be directed carefully as to the limited use it has.
“If the evidence is admitted the trial judge should be careful to direct the jury
as to the purpose for which it has been admitted, and—we would add—to
ensure that counsel do not seek to use it for any other purpose. Of course it
may happen that the judge will either limit or extend that purpose at a later
stage of the trial, after hearing submissions from counsel.”55
See also Chapter 14-14: Statements in furtherance of a common enterprise.
Directions
5. Where a co-defendant is named on the indictment but is not taking part in the
trial, if it is possible to do so without prejudice to the defendant being tried, it will
be helpful to make the situation the subject of an agreed fact and put before the
jury in this way.
6. Where it is not appropriate for the jury to be given any information about the co-
defendant they must be directed that they are not trying the co-defendant, they
must not speculate about the co-defendant’s position and that it has no bearing
on the position of the defendant whom they are trying.
7. Where a co-defendant’s plea of guilty has been referred to (not admitted under
s.74 PACE) the jury must be directed that whilst this information explains the co-
defendant’s absence it is not evidence in the case of the defendant whose case
they are trying and that they must try the defendant solely on the basis of the
evidence which they have heard.
8. Where evidence of a co-defendant’s plea of guilty has been admitted under s.74
PACE, the jury must be directed about the potential relevance of that conviction
to the defendant’s case. They must also be warned that it must not be used for
any other purpose (of which example/s may be given as appropriate to the
case).
9. Sometimes there is evidence that persons who are not before the court, other
than a co-defendant, have been arrested/charged. This should be the subject of
discussion with the advocates before speeches and appropriate directions given
to the jury.
Pre-trial considerations
1. It is useful to confirm at the outset that the court and prosecution have the
correct postal, email and phone details for D and that D is clear about the postal
addresses and reference numbers of the court and prosecution for service. The
CPS may accept emails from D but their response will not necessarily be by
email, as D will not have a secure email address.
2. It is suggested that it is helpful to provide an unrepresented D with a document
that sets out the nature and order of the proceedings. Where the charges and/or
the evidence is complex the document may be quite lengthy. The example
below is likely to suffice for most straightforward cases. If it is provided to D as
soon as it becomes apparent that D is intending to represent him/herself – and D
is then taken through it by the judge – it should assist in ensuring that D
understands the implications of their decision. It may even prompt a change of
heart and will be a useful document to refer back to if problems arise in the
course of the trial.
3. If D is representing him/herself, there is a statutory prohibition on cross
examining certain witnesses in person: s.34 and 35 YJCEA 1999. The
restrictions relate to child witnesses and complainants in sexual, kidnapping and
false imprisonment cases. The court also has a discretionary power, on
application by the prosecution, to prohibit cross examination by an
unrepresented D in other cases where the interests of justice demand it. This
commonly arises in cases of domestic violence or harassment: see s.36 YJCEA
1999. In either instance the prosecution should use the forms provided under
CrimPR 23 which are designed to give D the necessary information about
his/her options. If the situation arises during a trial and the prosecution seek to
make an oral application the form should still be used to ensure that there can
be no doubt that D has been given correct and complete information. It is also a
useful aide-memoire for the judge. Copies are on the MoJ Forms website:
http://www.justice.gov.uk/courts/procedure-rules/criminal/docs/october-
2015/rce001-eng.doc
4. If the statutory restriction does not apply, the court is not obliged to allow an
unrepresented D to ask whatever questions, at whatever length, he/she wishes:
Brown.56
5. When you have received/ now that you have the full case papers you must
provide what is called a Defence Statement {in respect of those counts to
which you have pleaded not guilty} to the Court and to the prosecution.
A Defence Statement must contain details of:
(a) the basis on which you are going to defend the case including detail of
any particular defence you intend to advance e.g. alibi or self-defence;
(b) any facts in the prosecution case with which you disagree, and your
reasons why;
(c) any facts on which you intend to rely and your reasons why;
(d) any point of law that you intend to take e.g. whether any of the
prosecution evidence should not be given to the jury.
A statement setting out these details must be sent to the Court and the
prosecution to arrive by {insert date}.
6. By the same date you must also send to the court and the prosecution a list of
the prosecution witnesses you require to come to court to be questioned. If
you agree with what is said in a prosecution witness statement and do not
have any questions for that witness then that person is not required to come to
court and their statement can be read to the jury as part of the evidence.
However if you dispute what a prosecution witness says or have some
additional questions for that witness then you must give notice that you require
that witness to come to court so that the necessary arrangements can be
made.
7. If you wish to call any witnesses in support of your case, you must provide
details of their name, address and date of birth in writing to the Court or the
prosecution. It is up to you to make arrangements for those defence witnesses
to come to Court.
8. There will be not be any other hearing until the trial. This will start on {insert
date}.
9. If you do not attend Court on the day of your trial then the prosecution may
apply to the judge for the trial to take place in your absence.
13. The jury who will try your case have to take an oath/affirm that they will try the
case according to the evidence. The judge will do his/her best to ensure that
no member of the jury knows anyone involved in the case or has any
information about the case. The judge may do so by having a list of witnesses,
other people who are likely to be mentioned and a list of any relevant
addresses read to the jury. You should discuss this list with the prosecutor
before the hearing, adding to it if it is necessary to do so.
14. You have a right to challenge a juror if there is a good reason why that person
should not serve on the jury, for example if you know, or believe that you
recognise, a juror. You will be reminded of this when the jurors have been
selected.
15. Once the jury is sworn the judge will explain to the jury:
(a) the expected length of the trial;
(b) the rules they are expected to obey to ensure that they try the case fairly;
and
(c) that you have chosen to represent yourself in the trial.
16. The case will start with the prosecution advocate telling the jury about the
prosecution case. This is called their “opening”. Its purpose is to explain to the
jury the issues that are likely to arise and give them an outline of the evidence
they will hear. What the advocate says is not evidence but is to enable the jury
to understand the evidence that is to be called. The prosecution will provide
the jury with copies of the indictment and possibly other documents relevant to
their explanation of the case. You will always be provided with copies in
advance of any documents being given to the jury. At this stage the judge may
also invite you to explain your case, your defence and the main points that you
challenge or disagree with.
17. After the opening the prosecution will call their witnesses. You should listen
carefully to what they say and it may help you to take a note of any important
points. It is not always the case that witnesses say exactly what they have
said in their witness statements (which you [will] have received from the
prosecution before the trial).
18. When a witness has finished answering questions from the prosecution you
have the right to cross examine that witness; in other words to ask him or her
any questions that you think may help you in advancing your case or in
weakening/contradicting/challenging the case for the prosecution. If and when
you cross examine any witness:
(a) If you think that there is something which makes the witness’ evidence
unreliable, then you may test their evidence by asking questions which
you think will demonstrate that unreliability – for example, if the witness
has said something different in their witness statement, you can show the
witness that statement and ask questions about the differences.
(b) If you are going to contradict the evidence of a witness or suggest that the
witness is telling lies, you should put that contradiction or that suggestion
to the witness in the form of a question so that he or she has the
opportunity to respond to your suggestion: for example: “You are
mistaken/not telling the truth when you say that …… aren’t you?”
(c) You must not make statements or comments when questioning a witness:
you must confine yourself to asking the witness questions. It is important
that you understand that within the trial process there are separate
opportunities for you to make statements if you wish, and to make
comments about the evidence if you wish but, NOT during cross-
examination. You will have an opportunity to make statements if you
choose to give evidence and you will be able to comment on the evidence
when you make your speech to the jury at the end of the case.
[If a restriction on cross-examination is compulsory (s.34 and 35 YJCEA) or
discretionary (s.36 YJCEA) then a warning about this should be included at
this point and the necessary forms should be explained to D.]
19. At the end of the prosecution case, if you think that the prosecution have not
presented sufficient evidence for the jury to be able to convict you on one or
all of the charges you may raise this with the judge, in the absence of the jury.
You must understand that the judge cannot take a view as to whether or not
he/she believes the evidence but only on whether there is enough evidence
for the jury to consider.
20. After the prosecution case – and subject to any argument that you raise with
the judge about their case and whether that argument is successful – you are
entitled to give evidence yourself and to call any witnesses.
21. You do not have to give evidence but as the judge will tell you at the trial it
may count against you if you fail to do so. If you do give evidence and/or call
witnesses the prosecution will have an opportunity to cross examine you and
them.
22. If you intend to call evidence from one or more witnesses in addition to giving
evidence yourself, you may explain to the jury (before you and the other
witness/es give evidence) what the evidence is to be about. You do not have
to do so and many defence advocates prefer to keep what they want to say to
the jury until all the evidence, including defence evidence, has been given.
23. At the close of the evidence the judge may want to discuss the law involved in
the case and tell you and the prosecution how he/she intends to deal with it in
the summing up. This will be done in the absence of the jury. It may be that
the judge will want to give written directions and or questions for the jury to
answer to reach their verdict(s). If anything is to be given to the jury, you will
be given a copy in advance and be able to discuss it with the prosecutor and
the judge.
Closing speeches
24. After the evidence has finished you will have an opportunity to make a closing
speech to the jury. There may be other closing speeches and the judge will tell
you at what stage you may make yours. This speech is your opportunity to
comment on weaknesses in the prosecution case and the strengths of your
case. You may comment on evidence that has been given and remind the jury
of the significance of any documents or other exhibits produced but it is
important that you understand that at that stage you cannot give any further
evidence. Just as the cross-examination stage is specifically about asking
questions, the closing speech stage is specifically about commenting on the
evidence. You may not, at this or any other stage of the trial, suggest that
because you have not been represented you have been at a disadvantage. [In
an appropriate case: If you were to suggest this, the judge would explain to
the jury the true position as to how you came to be unrepresented and the
opportunity/opportunities that you have been given to be represented.]
The summing up
25. Although the judge may have explained some points of law to the jury already,
he/she will sum the case up to the jury after the closing speeches. The judge
will give directions to the jury about the law, such as the fact that the
prosecution must prove their case so that the jury are sure before they may
convict you of any offence and the law about the offence/s with which you [and
the other Ds] are charged. The judge will then review the evidence. The judge
will not go through all of the evidence but will remind the jury of the main
features.
Review
26. Having been through the procedure of preparation for trial and what will
happen at trial I shall give you {specify a time} to consider again whether you
wish to continue to represent yourself.
Directions
5. Where a D is unrepresented from the outset, the judge should direct the jury at
the start of the trial that D has a right to choose to represent him/herself. The
jury should be told to bear in mind the difficulty that that may present D: see De
Oliveira.57
6. By CrimPR 3.9(3)(b) the court is required to take every reasonable step to
facilitate the participation of D. Consequently the judge may need to assist D in
the conduct of his/her defence. The judge should ask D whether he/she wishes
to call any witnesses in his/her defence, see Carter58, and the judge will also
need to warn D about the inferences that may be drawn under the CJPOA 1994
if D does not give evidence.
7. In some cases a short explanation of the reason D has chosen to represent
himself may be appropriate. This may be particularly desirable if D’s
representation ceases after the trial has started. For example, in Hammond59 the
trial judge directed the jury as follows:
“Members of the jury, just to let you know what the situation is, the defendant
[a co-defendant of Hammond] himself has decided to dispense with the
services of his counsel. He was given time to consider and I have refused his
application to have alternative counsel and, therefore, from now on he is
going to represent himself.
It has been explained to him that he will be subject to the same rules of
evidence and procedure as counsel would have been had they continued to
represent him and which apply to all the other defendants and the prosecution
in this case. It has also been explained to him that my role in this case is to
ensure that the trial is fair, and that there may be some occasions when he
needs some guidance so that he complies with those rules, so as to ensure a
fair trial not only for himself but also the other defendants and the prosecution.
He has been provided with all the materials counsel have had on his behalf
and will continue to be provided with them throughout the trial.
We are going to adjourn now until tomorrow morning to allow him best to
consider how to present his case.”
On appeal Laws LJ stated:
23. “It is, it seems to us, quite clear from the learning on this subject (see R. v
De Oliveira [1997] Crim. L.R. 600) that the directions to be given to the jury
where a defendant chooses to be, or becomes, unrepresented are very much
to be tailored to the particular case. No doubt there were different ways of
dealing with the matter. …. Although the judge did not spell out in terms the
difficulties faced by a defendant acting in person, it is entirely plain that she
was at pains to ensure that he was not prejudiced. She invited him to provide
her with relevant documents in advance of his cross-examining a co-
defendant so that she might warn him of any issues of admissibility. The jury
were told that there would be occasions when he would need guidance to
comply with proper procedures. They and the judge were, we emphasise,
dealing with an intelligent and resourceful defendant…”
8. CrimPD 26 provides:
26P.4 If the defendant is not represented, the judge shall, at the conclusion of
the evidence for the prosecution, in the absence of the jury, indicate what he
will say to him in the presence of the jury and ask if he understands and
whether he would like a brief adjournment to consider his position.
26P.5 When appropriate, and in the presence of the jury, the judge should
say to the defendant:
'You have heard the evidence against you. Now is the time for you to make
your defence. You may give evidence on oath, and be cross-examined like
any other witness. If you do not give evidence or, having been sworn, without
good cause refuse to answer any question, the jury may draw such inferences
as appear proper. That means they may hold it against you. You may also call
any witness or witnesses whom you have arranged to attend court or lead any
agreed evidence. Afterwards you may also, if you wish, address the jury. But
you cannot at that stage give evidence. Do you now intend to give evidence?'
See also Chapter 17-5: Defendant’s silence at trial.
9. Directions may have to be given in respect either of a D who has decided to
represent him/herself from the outset of the trial or of a D who has become
unrepresented in the course of a trial as a result of their advocate withdrawing or
being dismissed.
NOTE: See also the direction and commentary in the case of Hammond at
paragraph 7 above.
Legal Summary
1. Special measures may be available for a witness (other than a defendant) in
criminal proceedings. Those eligible are in the following categories:
(1) all witnesses under 18 at the time of the hearing or video recording; 61
(2) vulnerable witnesses affected by a mental or physical impairment;
(3) witnesses in fear or distress about testifying;
(4) adult complainants of sexual offences, or trafficking/exploitation offences;
and
(5) a witness to a 'relevant offence', currently defined to include homicide
offences and other offences involving a firearm or knife.
2. The special measures available are:
(1) screening the witness from the accused (YJCEA 1999, s. 23);
(2) giving evidence by live link, accompanied by a supporter (s. 24)
(3) giving evidence in private, available for sex offence or human trafficking
cases or where there is a fear that the witness may be intimidated (s. 25);
(4) ordering the removal of wigs and gowns while the witness gives evidence (s.
26);
(5) video recording of evidence-in-chief (s. 27);
(6) video recording of cross-examination and re-examination where the
evidence in chief of the witness has already been video recorded (s. 28)
(brought into force on a limited basis for pilot schemes);
(7) examination through an intermediary in the case of a young or incapacitated
witness (s. 29)
(8) provision of aids to communication for a young or incapacitated witness (s.
30);
(9) anonymity (dealt with further in Chapter 3-8 below).62
3. S.32 YJCEA 199963 provides:
“Where on a trial on indictment with a jury evidence has been given in
accordance with a special measures direction, the judge must give the jury
such warning (if any) as the judge considers necessary to ensure that the fact
that the direction was given in relation to the witness does not prejudice the
accused.”
61 All child witnesses are automatically eligible for special measures, including defence
witnesses other than the child defendant.
62 CAJA 2009, Pt 3, Ch 2.
63 As amended by Criminal Justice Act 2003, s.331 sch.36, paras. 74 and 75.
4. In Brown and Grant64 the Court of Appeal held that the warning should be given
immediately before the witness gives evidence, when it is more likely to impress
itself on the jury; it is not important whether the warning is repeated in the
summing up.
5. The 2015 CPD makes clear that assisting a vulnerable witness to give their best
evidence is not merely a matter of ordering the appropriate special measure.
6. Guidance on further directions, ground rules hearings and intermediaries is
given at CPD I General matters 3E.
7. Transcripts:65
(1) The Court in Popescu66 set out the principles governing the provision to the
jury of transcripts of ABE interviews.
(2) The judge is required to give the jury such directions as would be likely
effectively to safeguard against the risk of disproportionate weight being
given to the transcripts.
(3) In Sardar 67the court emphasised that the dangers in allowing a jury to have
the transcript
“Nonetheless, the danger which precludes a jury having copies of the
transcript is not merely that the jury might view the evidence-in-chief in
the transcript in isolation from the other evidence. There is also a danger
that the jury will concentrate upon the written word rather their
impression of the witness and their assessment of that witness as she
gives her evidence, both in the form of the video recording and during
cross-examination. The jury, under our system of oral evidence, is
required to assess the truth of a witness's evidence by reference to their
assessment of her whilst she is giving that evidence. That is fundamental
to the methods by which we expect juries to reach a conclusion as to
guilt or innocence.” 68
8. Jury requests for transcripts: In the event that, after retirement to consider their
verdict, the jury requests a transcript of the interview this should only be
acceded to if they have had the transcript earlier in the case and then only with
the agreement of both parties and subject to a clear reminder to the jury of the
other evidence and as to the status of the transcript.
9. Jury requests for replay of recorded evidence:
(1) If, after retirement to consider their verdict, the jury requests that a recording
of a witness’s evidence in chief be replayed the judge should follow the
guidance in Rawlings; Broadbent.69
(2) If the recording is replayed the judge should warn the jury that because they
are hearing the complainant’s evidence in chief a second time they should
guard against the risk of giving it disproportionate weight simply for that
reason and should bear well in mind the other evidence in the case. The
judge should also remind the jury after the replay, of the relevant parts of
cross-examination and re-examination of the witness.
(3) If the recording is not replayed but the jury are reminded of the evidence, by
reference to the transcript, the judge must warn the jury not to give
disproportionate weight to the evidence because it is repeated after all the
other evidence and to direct them that they should consider it in the context
of all the evidence. The judge must also remind them of the relevant parts of
cross-examination, re-examination and the defendant’s evidence. 70
Directions
10. In respect of any special measures for witnesses the purpose of a direction is to
explain what is to happen or has happened and to ensure that there is no
prejudice to the defendant. This should be done before the evidence is
presented and a short reminder of this should be given in the summing up.
11. In all special measures cases an explanation should be given about the purpose
of presenting evidence with special measures: to permit a witness who may be
nervous about giving evidence in open court to give evidence without having to
see/be seen by anyone other than those who need to see the witness give
evidence (jury, advocates, judge) and to put the witness, so far as is possible, at
ease.
12. A transcript of an ABE interview should only be provided to the jury to enable
them better to follow the evidence of the witness. If the interview is inaudible, the
transcript must not be used as a substitute and the witness may have to give
oral evidence at the trial.
13. If the jury are provided with a transcript of an ABE interview, they should be told:
(1) This is only so that they can more easily follow the interview. However, it is
what they see and hear on the recording which is the evidence not what
they read on the transcript. For this reason they must take care to watch the
video as it is shown, so that they can assess the manner/demeanour of the
witness when giving evidence.
(2) [If appropriate:] The transcript will be/has been withdrawn after the playing
of the recording because there is no transcript of the cross examination of
the witness or any of the evidence of other witnesses and to avoid the
danger of concentrating on the transcript, rather than on the evidence as a
whole.
(3) The transcript cannot be revisited and should not be requested during
retirement.
14. The transcript should never normally be retained by the jury after the witness
has completed their evidence in chief. If, in an exceptional case it is suggested
by one or more of the advocates or by the jury themselves that the jury should
retain a transcript after the evidence in chief and/or that the recording should be
re-played, the judge must hear submissions of the advocates and decide on the
appropriate course. Should the judge permit either course, they must always
ensure that the cross-examination and re-examination of the witness concerned
are fully summed up, and direct the jury that they must base their verdict(s) on
the evidence as a whole and must not be over-reliant on the transcript/recording.
The case of R71 highlights how much care is called for if a jury are to be given
access to transcripts. It is a decision that should never be made without very
careful consideration of the relevant authorities and after discussion with the
parties.
See also Chapter 10-5: Evidence of children and vulnerable witnesses.
Example 2: where evidence has been given behind screens, through video
link and/or with a pre-recorded interview
W gave evidence [insert as appropriate … from behind a screen/by video link/in a
recorded interview]. At the start of the case I explained that evidence can be given
in various ways and I now remind you that you must treat all evidence in exactly
the same way, regardless of how it is given. The fact that W gave evidence in this
way/these ways has no reflection on D, and you must not let it affect your
judgment of D or of W’s evidence.
3-7 Intermediaries
ARCHBOLD 8-94 (witness) and 8.101 (defendant) BLACKSTONE’S D14.3, 24 and
43 (witness) and 14.23 (defendant); CrimPD 3F
Legal Summary
1. One of the special measures that may be available to a witness is the use of an
intermediary. As the CPD I 3F.1 explains:
“Intermediaries are communication specialists (not supporters or expert
witnesses) whose role is to facilitate communication between the witness and
the court, including the advocates. Intermediaries are independent of the
parties and owe their duty to the court.”72
2. The examination of a witness through an intermediary must take place in
accordance with directions made at a ground rules hearing (GRH). The judge
and the advocates should be able to see and hear the witness giving evidence:
YJCEA 1999, s.29(3).
3. The judge should explain to the jury at the outset that the role of the intermediary
is a neutral one to assist the court by allowing the witness to communicate
effectively and explain that this has nothing to do with the defendant and should
not prejudice them against them. YJCEA 1999 s.32 73 provides:
“Where on a trial on indictment with a jury evidence has been given in
accordance with a special measures direction, the judge must give the jury
such warning (if any) as the judge considers necessary to ensure that the fact
that the direction was given in relation to the witness does not prejudice the
accused.”
4. The jury will need an explanation that the intermediary:
(1) is not an expert;
(2) is independent;
(3) is present to assist the court with communication; and
(4) will only intervene when communication is a problem.
5. The judge should also explain, in neutral terms, any particular health problems
of the witness.
6. Defendant’s intermediary:
(1) There is currently no statutory provision in force for intermediaries for Ds.74
A court may use its inherent powers to appoint an intermediary to assist D's
communication at trial (either solely when giving evidence or throughout the
trial) and, where necessary, in preparation for trial. See CPD 3.F3.75
Youth Court [2009] EWHC 3088 (Admin); R (D) v Camberwell Green Youth Court [2005]
(2) For further guidance on the approach to use of intermediaries for Ds see
CPD 3F4 – 3F6, and generally in relation to vulnerable defendants see CPD
3G and Rashid.76
(3) An appropriate direction to the jury explaining why D had the services of an
intermediary may be needed.
UKHL 4; R (TP) v West London Youth Court [2005] EWHC 2583 (Admin). But see OP v
MOJ [2014] EWHC 1944 (Admin).
76
Rashid [2017] EWCA Crim 2 and see Grant Murray and Ors [2017] EWCA Crim 1228.
Legal Summary
1. The decision of the House of Lords in Davis77 that there was no common law
discretion permitting witnesses to give evidence anonymously led to Parliament
enacting the Criminal Evidence (Witness Anonymity) Act 2008. This was
replaced shortly after, in almost identical terms, by sections 86-90 Coroners and
Justice Act 2009. The aim was to create a comprehensive statutory scheme to
balance the countervailing interests of the accused, the witness, the victim and
the public, and to ensure compliance with article 6, ECHR.78
2. An application for a witness anonymity order may be made by either the
prosecution or defence.79 Three conditions as set out in the Act must be shown
to be satisfied.80
3. A witness anonymity order prevents the identity of the witness from being
disclosed in the proceedings,81 although the witness cannot be screened from
the judge or jury.82 It is to be regarded as a “special measure of last practicable
resort”; save in the exceptional circumstances set out in the Act, “the ancient
principle that the defendant is entitled to know the identity of witnesses who
incriminate him is maintained.”83
4. There is no common law or statutory power permitting the statement of an
anonymous witness to be read.84
Directions
5. The jury will need careful direction to ensure that:
(1) no unfair prejudice to the defendant is drawn from the use of such
measures; and
(2) the disadvantages faced by the defendant because of the inability to know
the identity of the witness are highlighted. In Ellis v UK85 the European Court
relied on the judge’s careful directions to the jury as a counterbalancing
factor to safeguard against an unfair trial when a witness gave evidence
anonymously.86
https://www.gov.uk/applications-for-witness-anonymity-orders-the-prosecutors-role as well
as the DPP: http://www.cps.gov.uk/publications/directors_guidance/witness_anonymity.html
80 CAJA 2009, s.88. S.89(2) provides a non-exhaustive list of considerations to which the
court should have regard in assessing whether the conditions are met; s.88(6) provides
guidance specifically in relation to Condition A.
81 CAJA 2009, s.86. S.86(2) sets out a non-exhaustive list of protective measures.
82 CAJA 2009, s.86(4).
83 Mayers [2008] EWCA Crim 2989 by Lord Judge CJ at paras. 8 and 5.
84 e.g. under CJA 2003, ss.116 or 114.
85 [2012] ECHR 813.
86 See paras. 85 to 86 of that judgment.
Example
NOTE: In Mayers87 and in Nazir88 the trial judges’ directions were approved by the
Court of Appeal.89 So rather than provide a hypothetical example, what follows is
the trial judge’s direction in Nazir:
“Let me turn now to “Rabia Farooq” [the pseudonym of the anonymous
witness]. This was a lady who alleges that she saw Nazir pulling Samaira back
into the house and who gave evidence under a pseudonym, that is to say
anonymously, from behind a screen.
I told you at the time and I repeat that you must not hold it in any way against
the defendants, in particular the defendant Nazir, whom the evidence affects,
that she was permitted to give evidence in this way. Special arrangements for
witnesses in criminal cases are quite commonplace these days. Giving
evidence is not intended to be an ordeal and where the judge concludes that
the quality of a witness' evidence is likely to be improved by such
arrangements, he or she will permit them.
The fact that these arrangements were made for this lady must not be allowed
by you to reflect in any way upon the defendants or either of them but it does
not end there.
You must also bear in mind that Nazir in particular is disadvantaged by the
conditions of anonymity of the witness. It is a pretty fundamental principle that
the person is entitled to know the identity of his or her accuser. If the identity is
known, then the defendant may be able to say, “Oh, well I am not surprised
that X would want to incriminate me or because so and so that happened or
that applies to us” i.e. because of some bad feeling or grudge between the
witness and the defendant.
This is not available to Nazir in the circumstances of this case. However, you
may think that in this case what Nazir is saying and said in interview to the
police is not that Rabia Farooq has lied about it, rather that she is mistaken in
what she says she saw, so that her evidence is not true. So those
circumstances may mitigate the potential unfairness of the situation so far as
Nazir is concerned, but you must have that difficulty well in mind.”
3-9 Interpreters
ARCHBOLD 4-58 – 62; BLACKSTONE’S D16.32
Legal Summary
1. Interpreter for a defendant. Every D has a right to participate fully at their trial. As
was made clear by the Court of Appeal in Begum90
“unless a person fully comprehends the charge which that person faces, the
full implications of it and the ways in which a defence may be raised to it, and
further is able to give full instructions to solicitor and counsel so that the court
can be sure that that person has pleaded with a free and understanding mind,
a proper plea has not been tendered to the court. The effect of what has
happened in such a situation as that is that no proper trial has taken place.
The trial is a nullity” 91
2. Where it is suspected that lack of understanding of the language of the court
would interfere with D’s participation in the trial the judge has a duty to verify the
need for interpretation facilities with the defendant, and to satisfy him/herself as
to the adequacy of the arrangements made; failure to do so is a violation of the
right to a fair trial guaranteed by Art.6(3)(e) of the ECHR. Cuscani v United
Kingdom (2003) 36 EHRR 11, ECtHR92. The right to an interpreter includes a
right to have documents translated.
3. If D’s command of English is such that D needs an interpreter, D cannot waive
that right simply because he/she has legal representation.93 Where D is
represented, evidence should still be translated to D unless D or D’s advocate
requests otherwise and the judge also thinks that is appropriate having regard to
whether D substantially understands the nature of the evidence that is going to
be given against him/her.
4. Where interpreters are used for D in the course of police interviews, PACE Code
C.13 applies. The jury may require some explanation as to why an interpreter
was used in interview, particularly if an interpreter is not then used at trial.
5. Interpreter for a witness: The court has a discretion whether to allow a witness to
have the assistance of an interpreter.94
6. Proceedings in Wales: The Welsh Language Act 1993 sets out the principle that
the Welsh and English languages should, in the administration of justice in
Wales, be treated on a basis or equality. s22(1) stipulates that in legal
proceedings in Wales, the Welsh language may be used by any party, witness
or other person who desires to use it, subject in the case of proceedings in a
court other than a magistrates' court to such prior notice as may be required by
rules of court; and any necessary provision for interpretation must be made
26.10.2010).
93 Lee Kun [1916] 1 KB 337.
94 Sharma [2006] EWCA Crim 16.
Directions
Where an interpreter has been appointed to assist a defendant
7. Where an interpreter has been appointed to assist D it is important to remember
that jurors watch what is going on in the dock and are likely to notice if an
interpreter is or is not interpreting the whole of the evidence.
8. The interpreter should be sworn at the beginning of the hearing in advance of D
being identified i.e. before the jury come into court.
9. On being sworn the interpreter will give his/her name and the language into and
from which the evidence will be translated.
10. Confirm with the interpreter that he/she has spoken with D in conference and
they are able to understand each other.
11. Confirm with the defence advocate that the interpreter has been able to interpret
in conference.
12. Ask the defence advocate whether the interpreter is required for every word/
most of the evidence or occasional assistance with words D may not
understand.
13. Confirm with the defence advocate that it is appropriate that you inform the jury
of the role of the interpreter in the case to avoid prejudice; if for example they
see that not all of the evidence is being translated.
14. When the jury have been sworn and put in charge explain to them as part of the
Introductory words [see Chapter 3-1] the presence and role of the interpreter
sitting alongside D.
Where an interpreter has been appointed to assist a witness
15. Check at the outset of the trial that the interpreter is present and/or is booked to
arrive in good time and that arrangements have been made for the interpreter to
meet the witness.
16. Ask the advocate calling the witness to confirm, in advance of the evidence, the
extent to which the witness will need/use the interpreter.
17. The interpreter is sworn in the presence of the jury and confirms the language to
be interpreted.
18. Confirm in the presence of the jury whether the interpreter is to translate all
questions and answers (without entering into discussions with the witness) or be
available to assist as required.
Legal Summary
1. The jury need to be directed that they are responsible for decisions of fact; the
judge for decisions of law.95 Such a direction is not a mere formality. Without it,
juries might get the impression that any comments made by the judge were
matters to which they were bound to pay heed. It is the duty of the judge to
ensure that the jury understand that responsibility for the verdict is theirs and not
that of the judge.96 In Wang,97 the House of Lords confirmed that there are no
circumstances where a judge is entitled to direct a jury to return a verdict of
guilty.
2. The jury does not have to resolve every issue of fact that has been raised but
only those which are necessary to reach their verdict/s.
3. The jury must not speculate; they must decide the case on the evidence alone.
4. In some instances it will be necessary to direct the jury that if they find certain
facts to be proved (to the relevant standard) then as a matter of law a particular
issue is established. For example, in gross negligence manslaughter, it will be
for the jury to establish whether certain facts were proved which, as a matter of
law meant that a particular duty of care was owed by the defendant. 98
Directions
5. The jury should be directed as follows:
(1) The judge and the jury play different parts in a criminal trial.
(2) The judge alone is responsible for legal matters. When summing up the
judge will tell the jury about the law which is relevant to the case, and the
jury must follow and apply what the judge says about the law.
(3) The jury alone are responsible for weighing up the evidence, deciding what
has or has not been proved, and returning a verdict/verdicts based on their
view of the facts and what the judge has told them about the law.
(4) Where there are different accounts in the evidence about a particular matter
the jury must weigh up the reliability of the witnesses who have given
evidence about the matter, taking into account how far in the jury's view their
evidence is honest and accurate. It is entirely for the jury to decide what
evidence they accept as reliable and what they reject as unreliable.
(5) When D has given and/or called evidence: the jury must apply the same fair
and impartial standards when weighing up the evidence of the witnesses for
the prosecution and the defence.
(6) The jury do not have to resolve every issue that has arisen, but only those
that are necessary for them to reach their verdict(s).
(7) The jury are permitted to draw sensible conclusions from the evidence they
accept as reliable, but they must not engage in speculation or guess-work
about matters which have not been covered by the evidence.
(8) It is important that the jury's verdict(s) should be based only on their own
independent view of the evidence and the facts of the case. Therefore:
(a) Although the jury should consider the points made about the evidence
and the facts by the advocates in their speeches, it is for the jury alone
to decide which of those points are good and which are not.
(b) Should the judge give the impression when summing up the case that
he/she has formed a view about any of the evidence or any of the facts
of the case, the jury are not in any way bound by this, and must form
their own view.
(c) When summing up the case, the judge will summarise the evidence but
will not attempt to remind the jury of all of it. The jury should not think
that evidence which the judge does mention in the summing up must
be important, or that evidence which the judge does not mention must
be unimportant. It is for the jury alone to decide about the importance of
the different parts of the evidence.
(9) If appropriate: the jury must not allow themselves to be influenced by any
emotional reaction to the case and/or any sympathy for anyone involved in
the case and/or by any fixed ideas/preconceptions/prejudices they may
have had. This may be particularly appropriate in the trial of sexual offences
(see Example directions in Chapter 20).
6. In almost all cases the judge should provide the jury with a written route to
verdict.99 “We recognise, of course, the pressure of work on judges and
recorders sitting in the Crown Court and we accept that some cases are so
straightforward that no written materials for the jury are necessary. But such
cases are in a minority…” [31-32] per Holroyde LJ.
99 Atta-Dwanka [2018] EWCA Crim 320 and see also MJ [2018] EWCA Crim 1077
Example
At the start of this case I explained that you and I have different parts to play in this
trial. I am responsible for legal matters, and will tell you about the law which
applies to this case. You must accept and apply what I tell you about the law.
You are responsible for weighing up the evidence and deciding the facts of the
case. It is entirely up to you to decide what evidence is reliable and what evidence
is not.
You do not have to decide every disputed point that has been raised in the trial –
only those that are necessary for you to reach your verdict/s.
Some points are not disputed. The evidence that was {read to you/ given to you in
the form of Admissions or Agreed Facts} is not in dispute.
But on other points you have heard different accounts from different witnesses.
[Briefly give one or two examples.]
Where there is conflicting evidence, you must decide how reliable, honest and
accurate each witness is. When doing this you must apply the same fair standards
to all witnesses, whether they were called for the prosecution or for the defence.
You may draw sensible conclusions from the evidence you have heard, but you
must not guess or speculate about anything that was not covered by the evidence.
It is for you to decide whether any point or points made by the advocates in their
speeches are persuasive or not and also for you to decide how important the
various pieces of evidence are. For this reason if, when I review the evidence, I do
not mention something please do not think you should ignore it. And if I do mention
something please do not think it must be an important point. Also, if you think that I
am expressing any view about any piece of evidence, or about the case, you are
free to agree or to disagree because it is your view, and yours alone, which
counts.
Finally, cases like this sometimes give rise to {emotions/sympathy}. You must not
let such feelings influence you when you are considering your verdict.
[If appropriate
Either: I will also give you a written summary of the law that applies to this case.
This is not separate or different from what I tell you about the law. It is simply to
help you remember what I have said when you are considering your verdict(s).
Or: I will also give you my directions of law in writing, so that you do not have to
rely only on your memory of them when you are considering your verdict(s).]
[If appropriate: I will also give you a written list of questions to follow when you are
considering your verdicts. If you answer these questions in order, you will reach
verdicts which correctly take into account both the law and your conclusions about
the evidence.]
Legal Summary
1. Otherwise than in cases of insanity and exceptions created expressly or
impliedly by statute, the prosecution bears the burden of proving that the
defendant is guilty: Woolmington v DPP100; Hunt.101 The standard of proof is to
the criminal standard: the prosecution proves its case if the jury, having
considered all the evidence relevant to the charge they are considering, are sure
that the defendant is guilty.
2. The summing up must contain an adequate direction as to the burden and
standard of proof whether or not it has been mentioned by any advocate:
Blackburn.102 No particular form of words is essential. The direction is usually
given early in the summing up: Yap Chuan Ching103. What is required is a clear
instruction to the jury that they have to be satisfied so that they are sure before
they can convict.104
3. It is unwise to elaborate on the standard of proof: Ching (supra)105, although if an
advocate has referred to “beyond reasonable doubt”, the jury should be told that
this means the same thing as being sure.
4. Particular care is needed where D raises different defences, some of which
impose burdens on the Crown and some on the defence (e.g. insanity,
automatism, and reasonable excuse for having an article).
5. Where the defence bears an evidential burden to raise a defence (e.g. alibi,
duress or self-defence) the burden of disproving it to the criminal standard is on
the Crown: Williams.106 In cases in which the defence bears the legal burden of
proof, it is to the civil standard: D has to show that it is more likely than not: Carr
Briant.107
6. Any question from the jury during deliberation about the burden and standard of
proof must be shown to the advocates and discussed with them in the absence
of the jury. If the jury ask for clarification of the standard, their question should
be answered as shortly as possible. In the case of Majid108, Moses LJ observed:
“[Any] question from the jury dealing with the standard of proof is the one that
most judges dread. To have to define what is meant by 'reasonable doubt' or
what is meant by 'being sure' requires an answer difficult to articulate and
likely to confuse. No doubt this is why the Judicial Studies Board seeks to
avoid it in the direction they give to judges” (per Moses LJ at [9], referring to
the direction in the Crown Court Bench Book, the precursor to The Crown
Court Compendium).
7. In the case of JL109, the jury asked exactly such a question – specifically whether
the standard of proof was ‘100% certainty’ or ‘beyond reasonable doubt’, and if
the latter, what ‘beyond reasonable doubt’ actually means. With the agreement
of counsel, the trial judge said:
(1) the jury was not required to be 100% certain (relevant only because the
question had been specifically asked),
(2) sure and beyond reasonable doubt meant the same thing; and
(3) a reasonable doubt was the sort of doubt that might affect the jurors’ minds
if they were making decisions in matters of importance in their own affairs,
their own lives.
The Court of Appeal said that each answer was correct and appropriate, given
the specific questions that had been raised by the jury, and the final formulation
as to reasonable doubt was ‘unexceptionable’.
Directions
8. When (as is usual) the burden of proof is on the prosecution, the jury should be
directed as follows:
(1) It is for the prosecution to prove that D is guilty.
(2) To do this, the prosecution must make the jury sure that D is guilty. Nothing
less will do.
(3) It follows that D does not have to prove that he/she is not guilty. If
appropriate: this is so even though D has given/called evidence.
9. In the unusual case when D has the burden of proving an issue, the jury should
be directed as follows.
(1) It is for D to prove {specify}.
(2) To do this, D must show that {specify} is more probable than not to have
been the case; but D does not have to go as far as making the jury sure that
it was the case.
6. THE INDICTMENT
6-1 Separate consideration of counts and/or defendants
ARCHBOLD 4-441; BLACKSTONE’S D18.28
Legal Summary
1. If the indictment contains more than one count, the jury should be directed to
give separate consideration to each one: Lovesey.110 The jury must reach a
verdict on each count separately.
2. If there is more than one count and the evidence on one count is relevant to one
or more other counts (i.e. is cross-admissible) see Chapter 13. If there is more
than one count and no question of cross-admissibility arises, consideration
should be given to whether the jury needs to be directed that they must consider
the evidence on each count separately111.
3. Where the trial involves more than one D the jury should be directed to consider
the case against and for each separately: Smith.112 The jury’s verdicts may be
the same or different in respect of different Ds on different counts.
4. However if the evidence against each D or in relation to each count is the same
or very similar the judge should so advise the jury and indicate that as a matter
of common sense their verdicts are likely to be the same in relation to each D or
count.
Directions
5. If there is more than one defendant and (as is usual) the evidence relating to
each defendant differs in any material respect, the jury must be directed to
consider the case of each separately, and to return separate verdicts on each,
which may or may not be the same on each.
6. Where a defendant faces more than one count, the jury must be directed to
consider each count separately, and to return separate verdicts on each, which
may or may not be the same on each.
7. In a case in which the judge concludes, having discussed the matter with the
advocates in the absence of the jury before closing speeches, that given the
relevant law and/or the evidence the jury could not properly return different
verdicts on two or more different defendants and/or counts, the judge should
direct the jury accordingly, explaining why the cases against these defendants
and/or counts stand or fall together.
8. Where the evidence on one count is likely to affect the evidence and/or verdict of
the jury on another see Chapter 13: Cross Admissibility.
Legal Summary
1. In most cases each count in the indictment will relate to a specific incident of
offending (referred to below as a 'specific incident count'). However, if the
allegations relate to a course of conduct, the prosecution may choose to use one
or more (a) multiple incident counts (CrimPR 10.2(2)) and/or (b) specimen
counts whether or not the indictment also includes any specific incident counts.
See also CrimPD 10A.10.
Multiple incident counts
2. Under CrimPR 10.2(2) “more than one incident of the commission of the offence
may be included in a count if those incidents taken together amount to a course
of conduct having regard to the time, place or purpose of commission”.
Additional guidance is provided in CrimPD 10A.10. The circumstances in which
such a count may be appropriate include: the same victim on each occasion, the
offences involving marked repetition in the method of commission or location, a
clearly defined offending period, the same defence is being advanced. Care
needs to be taken in such cases to ensure that the sentencing powers for the
offence remained the same throughout the period of alleged offending.113
3. As the CrimPD recognises at 10A.13
“Using a multiple incidents count may be an appropriate alternative to using
‘specimen’ counts in some cases where repeated sexual or physical abuse is
alleged. The choice of count will depend on the particular circumstances of
the case and should be determined bearing in mind the implications for
sentencing set out in R v Canavan; R v Kidd; R v Shaw [1998] 1 W.L.R.604,
[1998] 1 Cr. App. R. 79, [1998] 1 Cr. App. R. (S.) 243.”
4. In A114 Fulford LJ acknowledged:
“The problem that this case has highlighted is how does the court deal with a
course of conduct count under the Criminal Procedure Rules 14.2(2) when
the extent, seriousness and timespan of the defendant's offending is unclear
from the jury's verdict. There were no means by which the judge was able to
interpret the jury's decision in this regard.
[47] In our judgment, the central answer to this problem is to be identified in
the purpose underpinning multiple counts: it is to enable the prosecution to
reflect the defendant's alleged criminality when the offences are so similar
and numerous that it is inappropriate to indict each occasion, or a large
number of different occasions, in separate charges. This provision allows the
prosecution to reflect the offending in these circumstances in a single count
rather than a number of specimen counts. However, when the prosecution
fails to specify a sufficient minimum number of occasions within the multiple
incident count or counts, they are not making proper use of this procedure. In
pattern of similar conduct, the question for the jury will be whether they are
sure that the account of the complainant is reliable. There will be no room for
the jury to focus on one incident rather than another because no single
occasion is sufficiently distinct, and it would be meaningless and unhelpful to
tell the jury that they had to be sure in relation to the same incident.” 116
The form of the indictment
8. In cases involving an alleged course of conduct, the judge should ensure that
the indictment accords with the following principles:
(1) Where the evidence discloses one or more sufficiently identifiable single
incidents, it should usually be reflected in one or more specific incident
counts.
(2) Multiple incident and/or specimen counts are suitable to reflect allegations of
a course of conduct (e.g. involving sexual abuse) which are made in general
terms, without reference to specific incidents.117
(3) Where the evidence discloses one or more specific incidents and further
allegations of a more general nature, specific incident together with multiple
incident and/or specimen counts will be appropriate.
(4) The indictment should not include so many counts as to be overloaded.
Judges have a duty to ensure that this rule is complied with: CPD II 10A.3.
(5) The indictment should be framed in such a way as to give the judge
sufficient sentencing powers in the event of conviction. Unless the defence
agree otherwise, a defendant convicted of a multiple incident count, having
denied any wrong-doing, must be sentenced on the basis that the defendant
committed the minimum number of offences sufficient to justify his/her
conviction: for example, two offences if the count alleges 'more than one
occasion', or five offences if the count alleges 'at least five occasions'.
Similarly, unless the defence otherwise agree, a defendant convicted of a
specimen count, having denied any wrong-doing, must be sentenced on the
basis that the defendant committed only one offence.118
(6) It may be sensible for the prosecution to err on the side of caution when
specifying the minimum number of offences alleged in a multiple incident
count, to avoid the risk of the jury being obliged to acquit even though sure
that D has committed offences of the kind alleged, but on fewer occasions
than those alleged in the count.
(7) Though it does not commonly occur in practice, it is permissible for an
indictment to contain a multiple incident count and an alternative specimen
count to provide for the possibility that the jury may not be sure that the
offending occurred on more than one occasion.
(8) It is important that the defendant knows the case he/she has to meet, and
that the jury know what is required of them when returning their verdicts.
Unless the indictment makes it clear, the jury should be provided with a
Directions
9. The directions should make it clear which of the counts are (as the case may be)
specific incident, multiple incident and specimen counts.
10. In relation to any multiple incident count the jury should be directed that:
(1) where the prosecution allege a course of criminal conduct, but are unable to
point to specific incidents or say exactly when or how often offences were
committed, they may bring a charge that reflects more than one offence;
and
(2) before they can convict D they must be sure that D committed the offence
concerned on 'at least' or 'not less than' or 'more than' the specified number
of occasions. This will depend on how the count is expressed; something
that will have been discussed with the advocates no later than the start of
the trial. Otherwise they must find D not guilty, even if they are sure that D
committed the offence on a smaller number of occasions (see Example 1
below).
11. In relation to any specimen count charging an identifiable offence, the direction
to the jury should explain that:
(1) the count is an example of what the prosecution say were many similar
offences committed by D;
(2) the prosecution have chosen an example because the indictment would be
too long if every alleged offence were included; and
(3) before convicting, the jury must be sure that D committed the particular
offence charged, whether or not they are sure that D committed any of the
other similar alleged offences (see Example 2 below).
12. In relation to any specimen count which is an example of a number of offences
not specifically identified but occurring during a course of conduct, the direction
to the jury should explain that:
(1) the count is an example of what the prosecution say were many similar
offences committed by D;
(2) the prosecution have chosen an example because [as appropriate] the
indictment would be too long if every alleged offence were charged and/or
because V is not able to say exactly when or how often the offences
occurred; and
(3) before convicting, the jury must be sure that D committed at least one
offence of the kind charged during the stated period whether or not they are
sure that D also did so on further occasions (see Example 3 below).
13. It may be appropriate to include a multiple incident count with a specimen count
as an alternative, to cover different factual conclusions which the jury might
reach (see Example 3 below).
14. The jury will be much assisted by the use of written directions and/or a route to
verdict (see Route to Verdict below).
Question 2
Are we sure that D sexually assaulted V in the way V alleges on at least one
occasion?
• If yes, return a verdict of 'Guilty' on Count 2.
• If no, return a verdict of 'Not Guilty' on Count 2.
Legal Summary
1. It is highly desirable to include any available alternative as a separate count in
the indictment, if it is legally possible to do so, for the following reasons:
(1) It makes the case easier for the jury to understand and easier to sum up.
(2) It avoids any potential difficulty arising out of section 6(3) of the Criminal
Law Act 1967 whereby the jury can only convict of an alternative offence not
charged in the indictment if they have first found D not guilty of the offence
which is charged.
2. If the lesser alternative cannot legally be charged in the indictment (e.g. careless
driving as an alternative to dangerous driving) it is good practice to provide the
jury with written directions that include a definition of the alternative offence.
Whether or not there is a separate count a written 'route to verdict' will assist the
jury.
Directions
Where the alternative offence is charged in the indictment
3. The two alternative counts should be identified. The constituent elements of the
two offences concerned should be explained. Where one offence is more
serious than another, this should be explained to the jury.
4. The direction should explain that the prosecution say that D is guilty of Count 1,
but if the jury are not sure of that Count 2 is there for them to consider.
5. The jury should be directed to consider Count 1 first. If they find D “Guilty” of
Count 1, they should not consider Count 2, on which they will not be asked to
return a verdict. If they are not sure of D’s guilt on Count 1, they must find D “Not
Guilty” and then go on to consider Count 2. Thus they could find D “Guilty” of
Count 1 or Count 2 but not of both; or they could find D “Not Guilty” of both.
6. It will almost always be appropriate to provide the jury with a written route to
verdict in such cases.
Where the alternative offence is not charged in the indictment
7. The direction to the jury should deal with the following matters:
(1) The count on which the alternative verdict is available should be identified.
(2) The constituent elements of the two offences concerned should be
explained.
(3) The jury should be told why the offence charged (referred to here as 'A') is
more serious than the alternative (referred to here as 'B').
(4) The direction should explain that the prosecution say that D is guilty of 'A',
but if the jury are not sure of that, they should consider ‘B'.
(5) The jury should be directed to consider 'A' first. If they find D “Guilty” of that,
they should not consider 'B', on which they will not be asked to return a
verdict. If they find D “Not Guilty” of 'A' they should consider 'B' on which
they may return a verdict of “Guilty” or “Not guilty”. Thus they could find D
“Guilty” of 'A' or 'B' but not of both; or they could find D “Not Guilty” of both.
(6) It will almost always be appropriate to provide the jury with a written route to
verdict in such cases.
Question 2.
Are we sure that when D unlawfully wounded V, D intended to cause V really
serious injury?
• If yes, return a verdict of 'Guilty' on Count 1 and do not consider Count 2 or
question 3 below.
• If no, return a verdict of 'Not Guilty' on Count 1 and go to question 3.
Question 3.
Are we sure that when D unlawfully wounded V, D realised that he/she might
cause V some injury?
• If yes, return a verdict of 'Guilty' on Count 2.
• If no, return a verdict of 'Not Guilty' on Count 2.
Legal Summary
1. The jury must be agreed that every ingredient necessary to constitute the
offence has been established.119
2. In a small proportion of cases, it will be appropriate to direct the jury that they
can only convict if they are agreed about the factual basis of their verdict.
Examples are:
(1) When more than one statement or act is alleged against D in the same
count.
(2) A case of harassment in which several acts are alleged and the jury must be
sure that at least two of them occurred.
(3) A case in which the jury is asked to consider the offence of manslaughter on
different bases (e.g. 'unlawful act' or loss of control or diminished
responsibility) and the judge informs the jury that if they convict of
manslaughter they will be asked to indicate the basis on which they did so.
Directions
3. The need for and form of any such direction should be discussed with the
advocates in the absence of the jury before closing speeches. In the rare case in
which this is necessary, the jury should be directed that before they can convict
D they must:
(1) all be sure that D committed the offence charged; and
(2) all be agreed about the manner in which D did so.
Question 2.
Are we all sure that D followed V in the street and made an offensive phone call to
V?
• If yes, return a verdict of ‘Guilty’ and disregard question 3.
• If no, go to question 3.
Question 3.
Are we all sure that D assaulted V and made an offensive phone call to V?
• If yes, return a verdict of ‘Guilty’.
• If no, return a verdict of ‘Not Guilty’.
Question 1.
Are we sure that D made representation (1)?
• If yes, go to question 2.
• If no, go to question 3.
Question 2.
Are we sure that when D made representation (1) D
(a) was acting dishonestly and
(b) intended to make a gain for him/herself?
• If yes, return a verdict of 'Guilty' and disregard questions 3 and 4.
• If no, go to question 3.
Question 3.
Are we sure that D made representation (2)?
• If yes, go to question 4.
• If no, return a verdict of 'Not Guilty' and disregard question 4.
Question 4.
Are we sure that when D made representation (2) D
(a) was acting dishonestly and
(b) intended to make a gain for him/herself?
• If yes, return a verdict of 'Guilty'.
• If no, return a verdict of 'Not Guilty'.
7. CRIMINAL LIABILITY
7-1 Child defendants including doli incapax
ARCHBOLD 1-157, 4-86 and 4-159; BLACKSTONE’S A3.73
Legal Summary
1. The presumption that a child of not less than 10 but under 14 years inclusive is
incapable of forming criminal intention (i.e. doli incapax) was abolished by Crime
and Disorder Act 1998 s.34120 but remains relevant for offences alleged to have
been committed before its abolition, i.e. before 30th September 1998. Since 30th
September 1998 all children aged 10 or over are treated as having the same
capacity as adults to commit criminal offences.
2. In cases (most commonly of historic sex) where the date of the alleged the
offence is or may be before 30th September 1998 and the defendant was over
10 years of age but under 14 years of age at the date of the offence the court
will have to direct the jury on the rebuttable presumption of doli incapax i.e. that
D knew that what he/she was doing was seriously wrong as distinct from it being
merely naughty or mischievous. The evidence to prove this knowledge must not
be simply proof of the doing of the act charged or the age/maturity of the alleged
offender.121 There must be ‘stand alone’ evidence sufficient for the jury to be
sure.
3. The irrebuttable presumption that a boy under the age of 14 is incapable of
sexual intercourse was abolished by section 1 of the Sexual Offences Act 1993.
It does not have retrospective effect.
4. The age of a child (whether over or under 14 years) is likely to be a relevant
factor where:
(1) the offence in question requires a specific intent or subjective recklessness
(e.g. dishonesty or foresight of consequences);
(2) a possible defence has a subjective element;
(3) a possible defence requires an assessment of reasonableness (e.g. loss of
control, duress, self-defence);
(4) it is shown that a child is not of normal development for their age (e.g. in a
defence of diminished responsibility).
5. Discussion with counsel will be required to identify relevance in the particular
case.
Directions
6. The need for, and form of, any directions to the jury relating to D's age should be
discussed with the advocates in the absence of the jury before closing
speeches.
7. Should a direction be thought appropriate, its exact terms will have to be tailored
to the circumstances of the individual case. It will have to include an
identification of the issue to which D's age is relevant and a direction that the jury
should consider that issue in the light of what they know of D's age, development
and maturity at the time of the alleged offence.
Example
D was born on 1st January 1983. The indictment alleges that D indecently
assaulted V between 1st January 1996 (when D was 13) and 1st January 1998
(when D was 15). D admits knowing V but says that nothing happened between
them but that in any event D had no contact with V after the end of July 1996.
For the purposes of this case – because until the end of September 1998 it was
the law – the prosecution must prove, so that you are sure, not only that D did the
act alleged with the necessary intent but also that, if D was under the age of 14
when he/she did so, D knew that what he/she was doing was seriously wrong
and not merely naughty or mischievous. The evidence to prove this knowledge
must be distinct from the doing of the alleged act itself.
The prosecution say that you can be sure from the evidence that D was at least 14
when this incident happened, but even if you are not sure of that, you can be sure
that D knew what he/she was doing was seriously wrong because {specify
supporting evidence – outlining that this evidence is not simply the proof of D
doing the act charged}.
The defence say that D did not do the act alleged but even if you are sure that D
did, you cannot be sure that D was 14 at the time or that D knew that what he/she
was doing was seriously wrong because {specify defence argument/s and, though
the presumption is in D’s favour and therefore need not be supported by evidence,
any supporting evidence that there may have been}.
If you are not sure that D indecently assaulted V your verdict will be not guilty.
If you are sure that D did indecently assault V but are not sure that D was 14 at the
time you must go on to decide whether D knew that what he/she was doing was
seriously wrong. If you are not sure about this your verdict will be not guilty.
If you are sure that D did indecently assault V and either
(a) that D was 14 at the time of the offence or
(b) if D was, or may have been, under 14 you are sure that D knew that what
he/she was doing was seriously wrong you will find D guilty.
Route to verdict
Answering the questions below will lead you to your verdict.
Question 1
Are we sure that D indecently assaulted V (as defined)?
• If yes go on to question 2.
• If no your verdict will be one of ‘Not Guilty’.
Question 2
Are we sure that D was 14 or over when D indecently assaulted V?
• If yes your verdict will be one of ‘Guilty’.
• If no go on to question 3.
Question 3
Are we sure that D knew what he/she was doing was seriously wrong as opposed
to merely naughty or mischievous?
• If yes your verdict will be one of ‘Guilty’.
• If no your verdict will be one of ‘Not Guilty’.
Legal Summary
General introduction
1. Legal liability for a criminal offence may arise in the following circumstances in
which D is involved with another or others:
(1) by D’s own conduct and with the necessary fault, D committed the offence
with another (P) [joint principal: see Chapter 7-3 below];
(2) by D’s own conduct and with intent, D assisted another (P) to commit the
offence [assisting: see Chapter 7-4 below];
(3) by D’s conduct and with intent, D encouraged another (P) to commit the
offence [encouraging: see Chapter 7-4 below];
(4) D ‘commanded or commissioned’ (i.e. ordered or suggested) the offence
committed by another (P) and P committed it with the necessary fault
[procuring: see Chapter 7-4 below].
2. Any person who aids, abets, counsels or procures the commission of any
indictable offence, is liable to be tried and punished as a principal offender.122
Secondary participation is a specific intent offence for the purposes of
intoxication: see Chapter 9.
3. It has always been sufficient to prove that D was either the principal or
accessory123: it is not necessary to specify what role D is alleged to have
played.124 The Crown should draw the particulars of the offence ‘in such a way
as to disclose with greater clarity the real nature of the case that the accused
has to answer’125.
4. If all that can be proved is that the principal offence was committed either by D
or by P, both must be acquitted.126 Only if it can be proved that the one who did
not commit the crime as principal must have aided, abetted, counselled or
procured the other to commit it can both be convicted.127
5. In the context of death or injury caused to children or vulnerable adults, see
however the statutory solution offered in Domestic Violence, Crime and Victims
Acts 2004 and 2012.
122 Accessories and Abettors Act 1861, s.8; Jogee [2016] UKSC 8.
123 Fitzgerald [1992] Crim LR 660.
124 Gianetto [1997] I Cr.App.R.1. CA.
125 DPP for Northern Ireland v Maxwell [1978] 1 WLR 1350 at p. 1357D Lord Hailsham of St
Marylebone.
126 Abbott [1955] 2 QB 497; Banfield [2013] EWCA Crim 1394, [2014] Crim LR 147.
127 Lane and Lane (1985) 82 Cr App R 5.
Legal Summary
1. Where there are several participants in a crime, D will be a principal offender if
D’s conduct fulfils the actus reus element of the crime and at the time of
performing the actus reus D had the relevant mens rea.128 The crucial question
in deciding whether D is a joint principal or an accessory is whether D by D’s
own act (as distinct from anything done by P with D’s advice or assistance)
performed the actus reus. There is no need for D and P to act with a common
purpose to commit the crime together although in cases of joint principals they
usually will: they may for example both independently engage in attacking V,
each intentionally causing V GBH by their blows. If each has by their own acts
caused GBH then they are liable as a principal.
Directions
2. If the prosecution put their case on the sole basis that each of two or more Ds
was a principal offender (i.e. that each carried out the actus reus of the offence
concerned with the necessary mens rea) the jury should be directed to consider
each D separately, that their verdict(s) on each may or may not be the same,
and that they should convict the D whose case they are considering only if they
are sure that all the elements of the offence have been proved against him/her:
see Example below.
3. However in almost all cases involving two or more Ds it will be necessary to give
a direction as to the secondary liability of one or more of them: see Chapter 7-4.
4. In almost all cases the prosecution will allege that one or more Ds are guilty
because they must have been either a principal offender or an
accessory/secondary party. In such cases it is not necessary for the jury to be
satisfied whether any one D was a principal or an accessory, provided that they
are satisfied that he/she participated. An example would be where V suffered
injuries in an attack in which several Ds took a physical part, but it is not known
which D caused which injuries if any: see Examples 2 and 4 in Chapter 7-4.
Legal Summary
NOTE: This is a complex area of the law and what follows is no more than a
summary. Whenever an issue of law arises in this area it is essential to refer to the
major textbooks.
1. Following the decision in Jogee129; Ruddock130 the Supreme Court and Privy
Council unanimously re-stated the principles concerning the liability of
secondary parties in a single judgment. The court held that the so called
“parasitic accessory” approach to liability131 is no longer to be applied in English
law. Numbers in square brackets are paragraph numbers of the judgment.
2. D’s liability for criminal offences committed by P is to be based on ordinary
principles of secondary liability [76].
3. D is liable as an accessory (and not as a principal) if D assists or encourages or
causes another person, P to commit the offence and D does not, by D’s own
conduct, perform the actus reus.132 The offence occurs where and when the
principal offence occurs.133 It is not necessary that D’s act of assistance or
encouragement was contemporaneous with the commission of the offence by
P.134 D’s acts must have been performed before P’s crime is completed. There is
no requirement that D and P shared a common purpose or intent.135 It is
immaterial that D joined in the offence without any prior agreement.136 D will not
be liable for P’s offence if D and P have agreed on a particular victim and P
deliberately commits the offence against a different victim.
4. D’s liability for assisting an offence will depend on proof that the offence was
committed even if the principal offender cannot be identified and that:
(1) D’s conduct137 assisted the offender, P, in the commission of the offence.138
(2) D intended that his/her conduct would assist P.139 There need not be a
meeting of minds between D and P.
establish this.
139 Bryce [2004] EWCA Crim 1321; NCB v Gamble [1959] 1 QB 11; Jogee.
(3) D intended that his/her act would assist P in the commission of: either (i) a
type of crime, without knowing it precise details or (ii) one of a limited range
of crimes that were within D’s contemplation.
(4) D had not withdrawn at the time of P’s offence: see Chapter 7-6.
5. D’s liability for encouraging an offence will depend on proof that the offence
was committed, even if the offender cannot be identified, and that:
(1) D’s conduct amounting to encouragement came to the attention of P (it does
not matter that P would have committed the offence anyway)140 but there is
no requirement that D’s conduct has caused P’s conduct.141 Non accidental
presence may suffice if D’s presence did encourage and D intended it to.142
(2) D intended,143 by his/her conduct to encourage P. The prosecution do not
need to establish that D desired that the offence be committed.144 P must
have been aware that he/she had D’s encouragement or approval.
(3) D knew,145 or if the act is preparatory to P’s offence, intended the essential
elements of P’s crime, albeit not of the precise crime or the details of its
commission.146
(4) Where it is alleged that D counselled P to commit the offence, that offence
must have been within the scope of P’s authority i.e. was one which P knew
he/she had been encouraged to commit.147
(5) D had not withdrawn at the time of the offence: see Chapter 7-6.
6. D’s liability for commanding or procuring will depend on proof that D’s conduct
caused P to commit the offence and that D acted with intent to 'to produce by
endeavour' the commission of the offence.
7. It is not necessary to prove that there existed any agreement between D and P
to commit an offence [17].
8. D’s mens rea is satisfied by proof that:
(1) D intended to assist or encourage P
(2) D had done so with knowledge of "any existing facts necessary" for P's
conduct/intended conduct to be criminal [9 and 16]; i.e. D must intend/know
that P will act with the mens rea for the offence;
(3) Intention is what is required. As elsewhere in the criminal law, that is not
limited to cases where D “desires” or has as his/her “purpose” that P
commits the offence. [91] Most importantly, intention is not to be equated
140 A-G v Able [1984] QB 795 at p.812; see also Jogee para. 12.
141 Calhaem [1985] QB 808, followed in Luffman [2008] EWCA Crim 1739.
142 Clarkson [1971] 1 WLR 1402 emphasising that care is needed where D is drunk and might
Directions
NOTE:
(a) In some cases the prosecution may allege that D is guilty because D was either
a principal offender or an accessory/secondary party, though they cannot say
which (see Examples 2 and 4).
(b) The following numbered paragraphs are based on the law as stated in Jogee;
Ruddock v. The Queen.151. As in the Legal Summary above, numbers in square
brackets are paragraph numbers of the judgement.
(c) A direction based on paragraph 16 below will need to be given in every case in
which D is said to be liable as an accessory/secondary party. Directions based
on the subsequent paragraphs should be added only if and as appropriate to the
facts and issues in the particular case. The need for and form of any such
directions should be discussed with the advocates in the absence of the jury
before closing speeches.
150 Church [1965] EWCA Crim 1; Bristow [2013] EWCA Crim 1540.
151 [2016] UKSC 8; [2016] UKPC 7.
28. Where the prosecution allege that there was an agreement between D and P to
commit crime A, in the course of doing which P went on to commit crime B, with
which D is also charged, a direction based on the following will be appropriate: if
D agrees with P to commit crime A, in the course of doing which P also commits
crime B, D will also be guilty of crime B if D shared with P an intention that crime
B, or a crime of that type, should be committed if this became necessary. It is for
the jury to decide whether D shared that intention with P. If the jury were
satisfied that D must have foreseen that, when committing crime A, P might well
commit crime B, or a crime of that type, it would be open to the jury to conclude
that D did intend that crime B should be committed if the occasion arose.
Whether or not the jury think it right to draw that conclusion is a matter entirely
for them [91 – 94]. See also Direction 18 above.
Question 2
Are we sure that when D1 provided P with the tools, D1 intended that they would
be used to commit a burglary of some kind?
• If yes, go to question 3.
• If no, return a verdict of 'Not Guilty' and do not consider question 3.
Question 3
Are we sure that P used one or more of the tools provided by D1 to gain entry to
{address}?
• If yes, return a verdict of 'Guilty'.
• If no, return a verdict of 'Not Guilty'.
D2
Question 4
Are we sure that D2 knew that P had entered the house as a trespasser to steal
property?
• If yes, go to question 5.
• If no, return a verdict of 'Not Guilty' and do not consider question 5.
Question 5
Are we sure that D2 was deliberately helping P to commit the burglary by keeping
a look-out?
• If yes, return a verdict of ‘Guilty'.
• If no, return a verdict of 'Not Guilty'.
Example 5: Murder/manslaughter
will take account of your conclusions about the knife in the context of all the
evidence in the case.
Question 2
Are we sure that P’s act of stabbing V was not an overwhelming supervening act
that nobody in D’s shoes could have contemplated might happen?
• If no then return a verdict of ‘Not Guilty’ on Count 1 [Murder] and Count 2
[Manslaughter].
• If yes, go to question 3.
[Note: this direction will not arise in every case and its potential significance will be
fact specific and should be discussed with the parties. If the issue of some
potential supervening act arises in a case there will need to be some further
explanation provided to the jury in order to put the route to verdict in context.]
Question 3
Are we sure that D intended that V would be killed or caused really serious injury
or that P would intentionally kill or cause really serious injury to V?
• If yes, return a verdict of ‘Guilty’ on Count 1 [Murder] and you need not
consider Count 2 [Manslaughter].
• If no, then return a verdict of ‘Not guilty’ on Count 1 and go to question 4.
Question 4
Are we sure that D participated in the attack on V by intentionally doing acts to
assist P in the attack upon V; and that a sober and reasonable person would
realise the attack carried the risk of some harm to V which was not necessarily
serious, and V’s death resulted from that attack?
• If yes, return a verdict of ‘Guilty’ on Count 2 [Manslaughter].
If no, return a verdict of ‘Not guilty’.
Legal Summary
1. A secondary party may, exceptionally,154 rely on the fact that they have
withdrawn from the criminal venture prior to P’s acts.
2. What constitutes effective withdrawal depends on the circumstances of the case,
particularly the extent of D’s involvement and proximity to the commission of the
offence by P. Compare Grundy,155 (effective withdrawal weeks before burglary)
and Beccara (nothing less than physical intervention to stop P committing the
violent crime they were engaged in).156
3. It is certainly not sufficient that D merely changed their mind about the venture:
D’s conduct must demonstrate unequivocally157 D’s voluntary disengagement
from the criminal enterprise: Bryce.158 In addition, D must communicate to P (or
by communication with the law enforcement agency) D’s withdrawal and do so in
unequivocal terms unless physically impossible in the circumstances:
Robinson.159 This requirement for timely effective unequivocal communication
applies equally to cases of spontaneous violence, unless it is not practicable or
reasonable to communicate the withdrawal: Robinson;160 Mitchell and King.161 In
a case in which the participants have engaged in spontaneous violence, in
practice the issue is not whether there had been communication of withdrawal
but whether a particular defendant clearly disengaged before the relevant injury
or injuries forming the allegation were caused.162 In some instances D throwing
down their weapon and walking away may be enough. Whether D is still a party
to the crime is a question of fact and degree for the jury to determine. Where D
is one of the instigators of the attack, more may be needed to demonstrate
withdrawal: Gallant.163
4. A judge need not direct on withdrawal in every case (e.g. it is unnecessary
where D denies playing any part in the criminal venture: Gallant.164)
5. It is not necessary for D to have taken all reasonable steps to prevent the crime
although clearly it should be a sufficient basis for the defence.
App. R. 31 [2009] Crim. L.R. 287; Campbell [2009] EWCA Crim 50.
163 [2008] EWCA Crim 1111.
164 [2008] EWCA Crim 1111.
Directions
6. Any direction on withdrawal from assisting or encouraging is likely to be highly
fact-specific. The need for and form of any such direction should therefore be
discussed with the advocates in the absence of the jury before closing
speeches.
7. Subject to this, it will usually be appropriate to direct the jury as follows:
(1) The law provides that a person can withdraw from involvement in a crime
only if strict conditions are met.
(2) The person must before the crime has been committed:
(a) conduct him/herself in such a way as to make it completely clear that
he/she has withdrawn; and
(b) if there is a reasonable opportunity to do so, inform one or more of the
others involved in the enterprise / a law enforcement agency (as
appropriate) in clear terms that he/she has withdrawn.
(3) Against that background, it is for the jury to decide whether, in the
circumstances of the case, D did (and said) enough and in sufficient time to
make an effective withdrawal from the enterprise. If D did or may have done
so, the verdict would be “Not Guilty”. If D did not, the verdict would be
“Guilty” if all the elements of the offence were proved against D.
(4) The circumstances to be taken into account would include (as appropriate):
(a) the nature of the proposed joint crime;
(b) D's anticipated role in the proposed crime;
(c) what, if anything, D had already done to further the proposed crime;
(d) the time at which D sought to withdraw;
(e) what D did to indicate withdrawal;
(f) whether D had any reasonable opportunity to inform anyone else that
he/she was withdrawing/; and, if so
(g) how and when D took that opportunity.
(5) Briefly summarise the parties' cases on these issues.
Question 2
At any time did D3 do or say, or may D3 have done or said, anything to suggest
that he/she had withdrawn from the plan to cause really serious injury to V?
• If yes, go on to answer question 3.
• If no, return a verdict of ‘Guilty’ and do not consider questions 3 and 4.
Question 3
Did D3 do or say this, or may D3 have done or said this, before V had suffered
really serious injury?
• If yes, go on to answer question 4.
• If no, return a verdict of ‘Guilty’ and do not consider question 4.
Question 4
Did D3 do or say enough, or may D3 have done or said enough, to make it clear
that he/she had withdrawn from the plan to cause really serious injury to V?
• If yes, return a verdict of 'Not Guilty'.
• If no, return a verdict of 'Guilty'.
7-7 Conspiracy
ARCHBOLD 33-1; BLACKSTONE’S A5.43
Legal Summary
Statutory Conspiracy
1. The offence of conspiracy under Criminal Law Act 1977, s.1 requires proof that
the defendant165 agreed166 with another or others (whether identified or not) that
a course of conduct would be pursued which if carried out in accordance with
their intentions would necessarily involve the commission of any offence167 by
one or more of the parties to the agreement, or would do so but for the fact that
it was an impossible attempt. The mens rea for conspiracy requires proof of that
intention to be a party to an agreement to do an unlawful act168and that D and
one other party knew or intended that the circumstance element(s) of the
intended offence would exist at the time of the offence (even if the substantive
offence can be committed without proof of knowledge).169
2. The offence is complete upon agreement; nothing need be done in pursuit of the
agreement. The conspiracy continues for as long as there are two or more
parties to it intending to carry it out. 170
3. The Court of Appeal has repeatedly noted that:
“the prosecution should always think carefully, before making use of the law
of conspiracy, how to formulate the conspiracy charge or charges and
whether a substantive offence or offences would be more appropriate.” 171
4. Where the agreement relates to multiple offences, particular care is needed to
ensure that the Ds were all parties to the relevant agreement at the relevant
time. The prosecution’s decision as to whether to charge multiple counts or a
single conspiracy requires careful thought. In Ali172 the Court of Appeal held that:
“It is not permissible to put into an indictment an alternative factual basis
which makes no difference to the offence committed whether it is for the
purpose of enabling a jury to decide an issue of fact or for any other purpose.
The judge must resolve the factual issues which are material to sentencing if
the offences are the same; in limited circumstances, the judge may ask the
jury a specific question.”
165 There can be no conspiracy with an intended victim, spouse /civil partner or child under 10.
166 Mere negotiation is insufficient
167 But not merely aiding and abetting an offence: Kenning [2008] EWCA Crim 1534.
168 Anderson [1986] AC 27.,
169 E.g. in conspiracy to rape it is necessary to prove knowledge that V would not be
consenting even though no such proof would be required for the substantive offence of rape:
Saik [2006] UKHL 18, applied in Thomas [2014] EWCA Crim 1958
170 DPP v. Doot [1973] AC 80.
171 Shillam [2013] EWCA Crim 160 at para. 25.
172 [2011] EWCA Crim 1260 at para. 37.
5. Similarly, care is needed when the allegation is that the agreement was to
commit either one or another crime in the alternative.173
6. It is not necessary for each member of the conspiracy to know the other
members. If it is alleged that the parties to the conspiracy is a ‘wheel’ or ‘chain’
conspiracy, each alleged conspirator must each be shown to be party to a
common design, and he/she must be aware that there is a larger scheme to
which he/she is attaching him/herself.174
7. The Court of Appeal has again returned to this recently. In Serious Fraud Office
v Papachristos 175, the Court of Appeal considered the legitimacy of a second
count added late in the trial. Fulford LJ cited Shillam as establishing (at [19])
that:
“The evidence may prove the existence of a conspiracy of narrower scope
and involving fewer people than the prosecution originally alleged, in which
case it is not intrinsically wrong for the jury to return guilty verdicts
accordingly, but it is always necessary that for two or more persons to be
convicted of a single conspiracy each of them must be proved to have shared
a common purpose or design.”
Common law conspiracy
8. At common law offences of conspiracy to defraud and conspiracies to do acts
tending to corrupt public morals or outrage public decency are available. In
practice, conspiracy to defraud is the only common law offence commonly
prosecuted. Conspiracy to defraud is committed if there is
...an agreement by two or more [persons] by dishonesty to deprive a person
of something which is his or to which he is or would be or might be entitled
[or] an agreement by two or more by dishonesty to injure some proprietary
right of his...176
or
an agreement to deceive a person into acting contrary to the duty he owes to
his clients or employers. 177
9. The Attorney-General has issued guidance (January 9, 2007) to prosecuting
authorities as to when it is appropriate to charge a common law conspiracy to
defraud instead of a substantive offence. Care needs to be given to the number
of counts: two or more similar but separate agreements cannot be charged as a
single conspiracy to defraud.178
173 Hussain [2002] EWCA Crim 6; [2002] 2 Cr. App. R. 26; [2002] Crim. L.R. 407.
174 Shillam [2013] EWCA Crim 160.
175 [2014] EWCA Crim 1863.
176 Scott v Metropolitan Police Commissioner [1975] AC 819. See recently the detailed
Evidence
10. On the common law evidential rule admitting hearsay evidence of statements
made in furtherance of a common enterprise: see Chapter 14-14.
11. Evidence admissible against one D to a conspiracy may be inadmissible against
another. Particular care will be needed in directing the jury in such cases.179 An
acquittal of one conspirator will not necessarily mean that the conviction of the
other(s) is impermissible. Directions on circumstantial evidence and inferences
may also be necessary.
Directions
12. The jury should be directed as follows:
(1) A conspiracy is an agreement between two or more people to commit an
intended crime/one or more intended crimes.
(2) A conspiracy or agreement of that kind is itself a crime, separate from the
intended crime(s).
(3) In this case the prosecution say that the intended crime(s) was/were
{specify} and that D was part of a conspiracy or agreement to commit
it/them.
(4) To prove its case, the prosecution must make the jury sure that:
(a) there was a conspiracy or agreement to commit {specify};
(b) D joined in that conspiracy; and
(c) when D joined in D intended that {specify} should be committed by (as
appropriate) him/herself and/or one or more of the other conspirators.
13. Only if and to the extent that it is relevant to the particular case the jury should
also be directed that conspirators may:
(1) join and leave a conspiracy at different times;
(2) play different parts in the conspiracy, be they major or minor;
(3) not necessarily know/meet/communicate with all of the other conspirators;
(4) not necessarily know all the details of the conspiracy.
14. Since the evidence will usually be circumstantial it will usually be necessary to
add a direction based on Chapter 10-1 (Circumstantial evidence) below. It may
also be necessary to add a direction based on Chapter 14-14 (Hearsay –
Statements in furtherance of a common enterprise) below.
Example
Just as it is a criminal offence to steal something, so it is also a criminal offence for
two or more people to agree to steal something. An agreement to commit a crime
is called a conspiracy. The agreement (or conspiracy) is itself a crime.
In this case, D is charged with entering into a conspiracy with X, Y and Z (who are
named in the indictment) to steal a car.
Before you could convict D you must be sure that:
1. there was an agreement to steal a car;
2. that D joined in the agreement with one or more of X, Y and Z; and
3. that, when D did so, D intended that a car should be stolen by one or more of
X, Y and Z.
The prosecution do not have to prove that:
1. D was in the conspiracy from the beginning, because people may join and
leave a conspiracy at different times;
2. D had been in contact with all of the other people in the conspiracy; or
3. D played an active part in putting the conspiracy into effect.
There is no direct evidence of this conspiracy. This is not unusual: you would not
expect people who are planning a crime to put their agreement into writing or to tell
other people about it. So you should consider the evidence of what happened and
of what D and the other people accused of the conspiracy did and said and ask
yourselves whether that makes you sure that there was a conspiracy and that D
was part of it and intended that it would be put into effect.
Legal Summary
1. By section 1(1) Criminal Attempts Act 1981, the actus reus of an attempt to
commit an offence is any act “more than merely preparatory to the commission
of the offence”. Intent is the essence of attempt: the more than merely
preparatory act must be accompanied by an intention to commit the full offence,
even if the full offence is one of strict liability or one in which the full offence
requires only a lesser degree of mens rea than intent (e.g. although for murder
intent to cause GBH is enough, attempted murder requires intent to kill).180
2. In Pace and Rogers,181 the Court of Appeal held that section 1(1) requires intent
to commit all the elements of the full offence.
3. It does not matter that the offence which the defendant intends to commit is
impossible by reason of facts unknown to him: section 1(2); Shivpuri.182
However, where mistake of law is a defence to a charge of committing a specific
offence (e.g. section 2(1)(a) Theft Act 1968), it will also be a defence to a charge
of attempting to commit that offence.
4. It is for the judge to decide whether there is sufficient evidence of an attempt for
the issue to be left to the jury; if so, it is for the jury to decide whether the acts
proved amount to an attempt.183
Directions
5. The offence which D is charged with attempting should be defined.
6. The jury should be told that the prosecution must prove that:
(1) D intended to commit that offence; and
(2) with that intention, D did an act/acts which in the jury's view went beyond
mere preparation to commit the offence.
7. If there is an issue as to whether D's acts did go beyond mere preparation, the
parties' arguments in that regard should be briefly summarised.
8. If it is appropriate in the circumstances of the case, the jury should be told that
the fact that the full offence could not have been committed (e.g. because the
pocket which D was trying to pick was empty) provides no defence.
180 Whybrow (1951) 35 Cr App R 141. The Court of Appeal had previously held, however,
that whilst intent is required as to any specified consequences of D’s conduct, something
less may suffice in respect of any relevant circumstances: Khan [1990] 1 WLR 813
(attempted rape committed where D intended to have intercourse with V and was reckless
as to V’s lack of consent); Pace and Rogers [2014] EWCA Crim 186.
181 [2014] EWCA Crim 186.
182 [1986] UKHL 2.
183 Criminal Attempts Act 1981, s.4(3), (4); Griffin [1993] Crim LR 515.
7-9 Causation
ARCHBOLD 17-66, 19-6 and 19-12; BLACKSTONE’S A1.25, B1.58
Legal Summary
General rule
1. Offences which require proof of a result require proof of causation. The question
of whether D’s act caused the prohibited result is one for the jury; but in
answering this question, they must apply legal principles which should be
explained to them by the judge.184
2. D’s act need not be the sole or the main cause of the result. It is wrong to direct
a jury that D is not liable if D is, for example, less than one-fifth to blame.185
3. D’s contribution to the result must have been more than negligible or minimal.186
D may be held to have caused a result even if D’s conduct was not the only
cause and even if D’s conduct could not by itself have brought about the
result.187 Where there are multiple causes (including where the victim has
contributed to the result), D will remain liable if D’s act is a continuing and
operative cause.
4. Contributory causes from third parties, or victims, will not necessarily absolve
the accused of causal liability unless the contribution from the other party is such
as to break the chain of causation – see below. In Warburton and Hubbersty 188
Hooper LJ, delivering the judgment of the court, emphasised that
"the test for the jury is a simple one: did the acts for which the defendant is
responsible significantly contribute to the victim's death."
Novus actus interveniens and remoteness
5. Most problems of causation concern the application of the principle “novus actus
interveniens” or “new and intervening act”. If there is an intervening event,189
either as a naturally occurring phenomenon or by some human conduct, it may
operate to “break the chain of causation”, relieving D of liability for the ultimate
result (although D may remain liable for an attempt in many cases). Although D’s
original act may remain a factual “but for” cause of the result, the intervening act
may operate so as to supplant it as the legal cause.190
Appeal in L [2010] EWCA Crim 1249 at para. 9 (concerning Road Traffic Act 1988, s.2B).
Hennigan [1971] 3 All ER 133; Cato [1976] 1 WLR 110; Notman [1994] Crim LR 518.
187 Warburton [2006] EWCA Crim 627.
188 [2006] EWCA Crim 627, CA.
189 Which can be an act or omission.
190 e.g., Pagett (1983) 76 Cr App R 279 at p.288 by Robert Goff LJ: “… the Latin term [novus
actus interveniens] has become a term of art which conveys to lawyers the crucial feature
that there has not merely been an intervening act of another person, but that that act was so
independent of the act of the accused that it should be regarded in law as the cause of the
victim’s death, to the exclusion of the act of the accused.”
6. The Court of Appeal has, on more than one occasion, advised against entering
into an exposition of the novus actus interveniens principle when it is plain that
there is more than one cause and the issue is whether D made a more than
minimal contribution to the result.191
(1) An intervening act by D will not break the chain of causation so as to excuse
D where the intervening act is part of the same transaction perpetrated by
D: e.g. D stabs V and then shoots V.
(2) If, despite the intervening events, D’s conduct remains a ‘substantial and
operative cause’ of the result, D will remain responsible, and if the
intervention is by a person, that actor may also become liable in such
circumstances.
(3) D will not be liable if a natural event which is extraordinary or not reasonably
foreseeable supervenes and renders D’s contribution merely part of the
background.
(4) D will not be liable if a third party’s intervening act is one of a free deliberate
and informed nature (whether reasonably foreseeable or not)192 rendering
D’s contribution merely part of the background. Human intervention in the
form of a foreseeable act instinctively done for the purposes of self-
preservation or in the execution of a duty to prevent crime or arrest an
offender will not break the chain of causation: Pagett.193
(5) D will not be liable if a third party’s act which is not a free deliberate
informed act, was not reasonably foreseeable rendering D’s contribution
merely part of the background.
(6) D will not be liable if a medical professional intervenes to treat injuries
inflicted by D and the treatment is so independent of D’s conduct 194and so
potent as to render D’s contribution part of the history and not a substantial
and operating cause of death. The jury must remain focused on whether D
remains liable, not whether the medical professional’s conduct ought to
render him/her criminally liable for his/her part. Even where incorrect
treatment leads to death or more serious injury, it will only break the chain of
causation if it is (a) unforeseeably bad, and (b) the sole significant cause of
the death (or more serious injury) with which D is charged. Malcharek195
confirms that “switching off” a life support system will not break the chain of
causation: such medical intervention will not meet the test of being (1)
unforeseeably bad and (2) the sole significant cause of death.
(7) D will not be liable if the victim’s subsequent conduct in response to D’s act
is not within a range of responses that could be regarded as reasonable in
the circumstances. Was V’s act daft or wholly disproportionate to D’s act? If
so it will break the chain.
(8) D will be liable if V has a pre-existing condition rendering V unusually
vulnerable to physical injury as a result of an existing medical condition or
old age. D must accept liability for any unusually serious consequences
which result: Hayward196; Blaue.197 Caution needs to be exercised with
cases of unlawful act manslaughter.
7. Many of the modern authorities on causation relate to cases of causing death by
dangerous driving. In such cases the bad driving of the defendant and that of
others may be concurrent causes of death. In Hennigan,198 Lord Parker CJ
made clear that the jury is not in such cases concerned with apportionment. It
was enough if the dangerous driving of the defendant was a real cause of death
which was more than minimal. In Skelton,199 Sedley J (as he then was), held that
the defendant’s dangerous driving must have played a part, “not simply in
creating the occasion of the fatal accident but in bringing it about.” In Barnes,200
it was held that it was open to the jury to find that the defendant’s dangerous
driving “played more than a minimal role in bringing about the accident and
death.” Hallett LJ noted that in some circumstances judges might have to give
the jury further assistance in relation to the difference between bringing about
the conditions in which death occurred and “causing” the death.
8. In L,201 Toulson LJ, as he then was, held that Hennigan, Skelton and Barnes
established the following principles:
“first, the defendant’s driving must have played a part not simply in creating
the occasion for the fatal accident, i.e. causation in the “but for” sense, but in
bringing it about; secondly, no particular degree of contribution is required
beyond a negligible one; thirdly, there may be cases in which the judge
should rule that the driving is too remote from the later event to have been the
cause of it, and should accordingly withdraw the case from the jury.”202
He concluded that:
“it is ultimately for the jury to decide whether, considering all the evidence,
they are sure that the defendant should fairly be regarded as having brought
about the death of the victim by his careless driving. That is a question of fact
for them. As in so many areas, this part of the criminal law depends on the
collective good sense and fairness of the jury.”203
9. The Court of Appeal in Girdler204 considered how the trial judge might best
explain to the jury the concept of foreseeability where the defence case was that
a new act had intervened. The defendant in that case had driven into another
vehicle which, when it came to rest, created an obstruction. Some vehicles
avoided the obstruction; one did not and a fatal accident occurred. Hooper LJ
held that:
“We are of the view that the words “reasonably foreseeable” whilst apt to
describe for a lawyer the appropriate test, may need to be reworded to ease
the task of a jury. We suggest that a jury could be told, in circumstances like
the present where the immediate cause of death is a second collision, that if
they were sure that the defendant drove dangerously and were sure that his
dangerous driving was more than a slight or trifling link to the death(s) then:
‘the defendant will have caused the death(s) only if you are sure that it could
sensibly have been anticipated that a fatal collision might occur in the
circumstances in which the second collision did occur.’
The judge should identify the relevant circumstances and remind the jury of
the prosecution and defence cases. If it is thought necessary it should be
made clear that the jury are not concerned with what the defendant
foresaw.”205
10. The Court of Appeal in Wallace206 considered whether the decision of the victim
to undergo voluntary euthanasia in a jurisdiction in which that was permitted,
would necessarily break the chain of causation (in contradistinction to death
arising from circumstances involving, for example, flight from the scene or an
apparent act of suicide closely related in time to the allegedly precipitating event
as in Dear207]). In Wallace, V had been left severely disfigured, permanently
paralysed, and in a state of unbearable physical and psychological suffering as a
result of injuries alleged to have been inflicted by D. He was euthanised in
Belgium by doctors in compliance with Belgian law. The Court of Appeal held
that act of V in taking the decision to be euthanised, and the acts of the doctors
in Belgium in compliance with his wishes, did not necessarily break the chain of
causation. If the jury were sure that D inflicted the injuries, and did so with the
requisite intent, then the jury would further have to be satisfied that the injuries
inflicted by D were a significant and operating cause of V’s death (i.e. more than
a minimal but not necessarily the only cause of V’s death). If so satisfied then the
jury would be entitled to convict so long as V’s act in electing to be euthanised
was (as at the time of the attack) an objectively reasonably foreseeable
response to the injuries inflicted by D, i.e. within the range of responses that
might sensibly have been anticipated from someone in V’s situation. The Court
of Appeal set out the appropriate route to verdict in such circumstances.
Directions
11. No specific direction will be required unless, unusually, a particular issue of
causation arises. If it does, it will usually be one of two kinds.
(1) Where D's conduct was not the only cause of the relevant outcome (e.g.
where negligent medical treatment contributed to the outcome, or vehicles
were driven by D and another person in such a way as to cause a fatal
collision), the jury should be directed that before they can treat D's conduct
as having caused the outcome concerned, they must be satisfied that D’s
conduct contributed to the outcome in a way that was significant, that is
more than trivial.
(2) Where D's conduct set in train a sequence of events leading towards the
outcome concerned, but a new act intervened and became the immediate
cause of the outcome (e.g. where D's unlawful act caused V to react in a
way which caused V’s injuries or death), the jury should be directed that
before they can treat D's conduct as having caused the outcome concerned,
they must be satisfied that:
(a) A reasonable, ordinary, sensible person, in the circumstances which D
knew about at the time of his/her conduct, could sensibly have foreseen
that the new event might follow from his/her conduct; and
(b) D's conduct contributed to the outcome in a way that was significant,
that is more than trivial.
Example
You have heard that after D stabbed V, V was taken to hospital where he/she was
treated negligently. If V had been treated properly, V would have had a 75 per cent
chance of survival.
You have to decide whether by stabbing V, D caused V's death. This does not
need to have been the only cause, but it must have made more than a minimal
contribution to V’s death. If you decide that it made more than a minimal
contribution, and so was a cause of death, you must go on to decide whether the
other elements of the offence of murder have been proved. But if you decide that
the stabbing made only a minimal contribution to V's death, your verdict must be
“Not Guilty”.
The prosecution say that the contribution made by the stabbing was clearly more
than minimal. If D had not stabbed V, V would not have had to go to hospital,
would not have suffered negligent treatment and would not have died. The
defence, on the other hand, say that as V would have had a good chance of
survival if V had been not been treated negligently, the contribution made by the
stabbing should be seen as minimal.
8. STATES OF MIND
8-1 Intention
ARCHBOLD 17-34; BLACKSTONE’S A2.4
Legal Summary
1. Numerous offences are defined so as to require proof of ‘intention’ to cause
specified results. The definition of intention has generated considerable case
law. The “golden rule”208 when directing a jury upon intent it is best to avoid any
elaboration or paraphrase of what is meant by intent. It is an ordinary English
word. It is quite distinct from “motive”.
2. Where some extended explanation is needed, the most basic proposition is that
a person ‘intends’ to cause a result if he/she acts in order to bring it about. In
such circumstances it is immaterial that D’s chances of success are small.
3. In some cases209 it may be necessary to give a further detailed explanation,
sometimes described as ‘oblique’ as distinct from ‘direct’ intention.210 Under this
definition, a court or jury may find that a result is intended, though it is not D’s
purpose to cause it, when:
(1) the result is a virtually certain consequence of that act, and
(2) D knows that it is a virtually certain consequence.
4. It is advisable not to deviate from that formula by use of words such as “high
probability” or “very high probability” instead of “virtual certainty211 In Allen212 the
Court of Appeal emphasised that it ‘is only in an exceptional case that this
extended direction by reference to foresight becomes necessary. It is needed
where D denies his/her purpose, not where e.g. D denies any part in the crime:
Phillips.213
5. The probability of the result is an important matter for the jury to consider when
determining whether D foresaw the result as virtually certain and whether they
infer that D intended it. If the trial judge is convinced that, on the facts, and
having regard to the way the case has been presented, some further explanation
about foresight of consequences is necessary to avoid misunderstanding, then a
specific direction may be given. The trial judge will be best placed to make the
decision on the appropriate direction.
6. Where (in such a rare case) it is necessary to direct the jury on the matter, they
should be directed that they are not entitled to find the necessary intention
unless they are sure that the consequence was a virtual certainty (barring some
unforeseen intervention) as a result of the defendant's actions and that the
defendant appreciated that such was the case”.214
7. The mere fact that the result is virtually certain in fact is not proof of intention –
the inquiry into intention is one involving an assessment of D’s state of mind:
Stringer.215
8. Section 8 of the Criminal Justice Act 1967 provides:
A court or jury, in determining whether a person has committed an offence,
(1) shall not be bound in law to infer that he intended or foresaw a result of
his actions by reason only of its being a natural and probable result of
those actions; but
(2) shall decide whether he did intend or foresee that result
9. For the purposes of voluntary intoxication, if the offence charged has intention
as the predominant mens rea it can for practical purposes be treated as one of
specific intent: see Chapter 9.
Directions
10. A direction about intention will only be needed if the offence charged requires
the prosecution to prove that D intended a particular action and/or result and D
disputes this.
11. Any doubts about the need for, and form of, any direction about intention should
be discussed with the advocates in the absence of the jury before closing
speeches.
12. If a direction is necessary, it will usually be sufficient to direct the jury that:
(1) the prosecution have to prove that D had the required intention at the time of
the alleged offence (but see paragraph 16 below); and
(2) when considering whether the prosecution have done so, the jury should
draw such conclusions as they think right from [as appropriate] D's conduct
and/or words before and/or at the time of and/or after the alleged offence
(see Example 1 below).
13. It will not usually be necessary or desirable to attempt a definition of 'intention',
this being a word in ordinary English usage. If, unusually, some further
explanation is thought necessary, it will usually be sufficient to add only that D
intends a certain result if D acts to bring it about and (if the issue arises) that if D
does so, D’s chances of actually bringing it about are not relevant.
14. However, where D contends that he/she did not act to bring about the result
contended for by the prosecution, and/or acted to bring about a different result, it
may be necessary to add a direction (sometimes referred to as a Nedrick or
Woollin direction) that before the jury could find that D intended the result
contended for by the prosecution, they would have to be sure that it was virtually
certain that D's actions would have that result unless something unexpected
happened, and that D realised that that was so. If the jury were sure of that, it
would be open to them to find that D intended that result, if they thought it right
to do so in the light of all the evidence (see Example 2 below). The jury would be
assisted by a written 'Route to Verdict' (see Route to verdict below).
15. The following directions may also be necessary, depending on the evidence and
issues.
(1) The prosecution do not have to prove that the offence was planned, or that
D's intention was formed in advance. It is sufficient if D had the required
intention at the time D {committed the act / did what is alleged}.
(2) Although the prosecution must prove that D intended the result concerned,
they do not have to prove that D had any particular motive or desire to bring
about that result.
(3) The fact that D may have regretted afterwards what he/she had done does
not negative any intention that D held at the time to do it.
(4) When deciding whether D had the required intention, the jury are entitled to
take into account [as appropriate] D's age/maturity/any relevant learning
difficulty or mental or personality disorder referred to in the evidence.
16. The directions suggested in paragraphs 12 to 14 above will need to be adapted
if D took alcohol/drugs to give him/herself 'Dutch courage' to commit an offence,
because in such a case the prosecution must prove that D had the required
intention when D started drinking/taking drugs rather than at the time of the
alleged offence.
17. For directions about the effect of alcohol/drugs on a defendant's intention see
the relevant sections of Chapter 9.
Question 2
Was it virtually certain that D's pouring paraffin through V's letter box and setting it
alight would, unless something unexpected happened, cause death or really
serious injury to someone inside the house?
• If yes, go to question 3.
• If no, return a verdict of 'Not Guilty' and do not consider questions 3 and 4.
Question 3
Are we sure that D realised that this was virtually certain?
• If yes, go to question 4.
• If no, return a verdict of 'Not Guilty' and do not consider question 4.
Question 4
In the light of our answers to questions 2 and 3, do we think it right, in the light of
all the evidence, to come to the conclusion that we are sure that D did intend to kill
or cause really serious injury to someone inside the house?
• If yes, return a verdict of 'Guilty'.
• If no, return a verdict of 'Not Guilty'.
8-2 Recklessness
ARCHBOLD 17-50; BLACKSTONE’S A2.6
Legal Summary
1. Recklessness features as a mens rea element in a wide range of offences. In
some, it relates to the circumstances (e.g. whether the property belongs to
another) in others, to the consequences (whether damage or injury will result).
2. The leading authority is G,216 where, in the context of criminal damage Lord
Bingham based his definition of recklessness on the Draft Criminal Code, cl
18(c):
A person acts recklessly within the meaning of section 1 of the Criminal
Damage Act 1971 with respect to—
(i) a circumstance when he is aware of a risk that it exists or will exist;
(ii) a result when he is aware of a risk that it will occur;
and it is, in the circumstances known to him, unreasonable to take the risk.
3. It is likely that this subjective definition of recklessness applies for all statutory
offences of recklessness unless Parliament has explicitly provided otherwise.
4. It is a subjective form of mens rea, focused on the defendant’s own perceptions
of the existence of the risk. Whether it is reasonable for D to run the risk is a
question for the jury dependent on all the facts. In directing a jury, there is no
need to qualify the word “risk”.
5. It is well established that where D closes his/her mind to the risk D can be found
reckless within the subjective definition, as where D claims that his/her extreme
anger blocked out of his/her mind the risk involved in D’s action. As Lord Lane
CJ put it: ‘Knowledge or appreciation of a risk of the [proscribed harm] must
have entered the defendant’s mind even though he may have suppressed it or
driven it out.’217
6. For the purposes of voluntary intoxication, it is submitted that where the
predominant mens rea for an offence is recklessness, that offence can be
treated as one of basic intent: see Chapter 9.
Directions
7. A direction to the jury about the meaning of recklessness should be based on
the following definition of Lord Bingham in G218 which is thought to be of general
application albeit provided in the context of an arson case:
“A person acts recklessly....with respect to -
(i) a circumstance when he is aware of a risk that it exists or will exist;
(ii) a result when he is aware of a risk that it will occur; and it is, in the
circumstances known to him, unreasonable to take that risk".
8-3 Malice
ARCHBOLD 17-45; BLACKSTONE’S A2.12
Legal Summary
1. Malice features as a form of mens rea in a number of old offences that are
commonly prosecuted (including OAPA 1861 s.20219). The classic definition is
that provided in Cunningham,220 where the Court of Criminal Appeal observed:
“in any statutory definition of a crime ‘malice’ must be taken not in the old
vague sense of ‘wickedness’ in general, but as requiring either (i) an actual
intention to do the particular kind of harm that in fact was done, or (ii)
recklessness as to whether such harm should occur or not (i.e. the accused
has foreseen that the particular kind of harm might be done, and yet has gone
on to take the risk of it). It is neither limited to, nor does it indeed require, any
ill-will towards the person injured.”
2. In cases requiring ‘malice’ D must actually foresee the risk that harm might occur
and deliberately take it. It is wrong to suggest that it is enough that D “ought to
have” foreseen the risk.
3. The test of recklessness requires that D not only foresaw a risk, but unjustifiably
went on to take it. It seems from Cunningham that that element is not a
requirement for the mens rea of malice. The House of Lords in Parmenter and
Savage have approved the Cunningham formulation when interpreting the word
malice.
4. For the purposes of voluntary intoxication, where the predominant mens rea is
one of malice, the offence is one of basic intent: see Chapter 9.
Directions
5. Except in relation to an offence contrary to s. 20 of the Offences against the
Person Act 1861 a direction to the jury about the meaning of 'malice' or
'maliciously' should be based on Cunningham:221 see paragraph (d) in Example
1 below.
6. In relation to an offence contrary to s. 20 of the 1861 Act, the 'Cunningham'
direction should be adapted in the light of Savage;222 the difference being that in
such a case the intention or recklessness need not relate to the particular kind of
harm that was in fact done. It is sufficient if it relates to any injury however slight:
see paragraph (b) in Example 2 below.
7. If the charge combines 'maliciously' with words requiring a specific intent which
encompasses the legal meaning of 'maliciously', the jury should simply be
directed that the word 'maliciously' adds nothing and can be disregarded. The
example most commonly occurring in practice is unlawfully and maliciously
wounding or causing grievous bodily harm with intent to do grievous bodily
219 In that offence it requires proof only that D foresaw a risk of injury of some type and not
that D foresaw a risk of injury of the level actually caused: Savage [1992] UKHL 1.
220 [1957] 2 QB 396.
221 [1957] 2 QB 396.
222 [1992] 1 AC 699.
harm, contrary to section 18 of the 1861 Act: see the Example in Chapter 8-1
above.
8. In relation to the effect of voluntary intoxication by alcohol/drugs, offences of
'malice' are treated as offences of basic intent: see Chapter 9 below.
Example 1: Causing grievous bodily harm with intent to resist arrest (s.18)
The prosecution must prove the following:
(a) that D deliberately struck PC V;
(b) that D did so unlawfully;
(c) that by striking PC V, D caused PC V to suffer grievous bodily harm (which
means ‘really serious injury’);
(d) that when D struck PC V, D was acting ‘maliciously’. The word ‘maliciously’ has
a particular legal meaning, which is that D either
(i) intended to cause PC V some injury, however slight; or
(ii) was aware of a risk that he/she might cause PC V some injury, however
slight, but took that risk; and
(e) that when D struck PC V, D intended to prevent PC V from lawfully arresting
him/her.
8-4 Wilfulness
ARCHBOLD 17-47; BLACKSTONE’S A2.13
Legal Summary
1. This mens rea term appears in many statutory offences including some which
are commonly prosecuted. To prove that D’s conduct was wilful223 the Crown
must prove either intention or recklessness. In Sheppard,224 Lord Keith held that
“wilfully” is a word which ordinarily carries a pejorative sense:
"It is used here to describe the mental element, which, in addition to the fact
of neglect, must be proved. … The primary meaning of ‘wilful’ is ‘deliberate’.
So a parent who knows that his child needs medical care and deliberately,
that is by conscious decision, refrains from calling a doctor, is guilty under the
subsection. As a matter of general principle, recklessness is to be equipirated
[sic] with deliberation. A parent who fails to provide medical care which his
child needs because he does not care whether it is needed or not is reckless
of his child’s welfare. He too is guilty of an offence. But a parent who has
genuinely failed to appreciate that his child needs medical care, through
personal inadequacy or stupidity or both, is not guilty.”225
2. In JD226 the Court of Appeal confirmed that, when it is alleged that D’s conduct
was ‘wilful’ on the basis that D’s conduct was ‘deliberate’ or ‘intentional’, few if
any problems arise in satisfying the test. When the allegation is that the alleged
‘wilfulness’ is demonstrated by D being reckless, the question is whether D was
reckless in the subjective (G227) sense rather than the objective (Caldwell) sense
of the word. The question is whether D had seen the risk of the proscribed
circumstances or consequences and nevertheless gone on unreasonably to take
that risk; if so D’s conduct can be described as wilful.
3. In Turbill228, the Court of Appeal disapproved of the judge using terms like
“carelessness” or “negligence” when directing on wilful neglect. As Hallett LJ
made clear: “They are not the same. ….The neglect must be "wilful" and that
means something more is required than a duty and what a reasonable person
would regard as a reckless breach of that duty.”
4. When considering the effect of voluntary intoxication on criminal liability, it must
be borne in mind that where the predominant mens rea is one of wilfulness the
offence is to be treated for practical purposes as one of basic intent: see also
Chapter 9.
223 The same test applies whether the element is one requiring proof of an act or omission:
W [2006] EWCA Crim 2723.
224 [1981] AC 394 at p.408 in the context of the offence under the Children and Young Persons
Directions
5. When directing the jury about the meaning of 'wilful' or 'wilfully', reference should
be made to section 8-1 ('Intention') and/or section 8-2 ('Recklessness') above,
depending on the offence charged and whether the prosecution put their case
on the basis of intention and/or recklessness.
6. In relation to the effect of voluntary intoxication by alcohol/drugs, offences of
'wilfulness' are treated as offences of basic intent: see Chapter 9 below.
Legal Summary
Knowledge
1. Knowledge is a mens rea term that arises in a vast number of offences.
Whereas intention is usually descriptive of a state of mind as to consequences
(e.g. D intends to make a gain), knowledge is usually used in relation to
circumstances (e.g. possessing an article knowing it is prohibited). Knowledge is
a stricter form of mens rea than belief or suspicion.
2. In Montila,229 the House accepted that:
“A person cannot know that something is A when in fact it is B. The
proposition that a person knows that something is A is based on the premise
that it is true that it is A. The fact that the property is A provides the starting
point. Then there is the question whether the person knows that the property
is A.”230
3. Subsequently in Saik the House of Lords concluded in the context of a
requirement of knowledge in conspiracy that: “the word ‘know’ should be
interpreted strictly and not watered down. In this context knowledge means true
belief”.231
4. Proof of negligence is not sufficient to satisfy a requirement of knowledge in an
offence: Flintshire County Council v Reynolds232 (a person who has ‘constructive
notice’ may be negligent as to the relevant facts, but is not to be taken to have
knowledge of them).
5. Wilful blindness: Knowledge is interpreted as including “shutting one’s eyes to
an obvious means of knowledge” or “deliberately refraining from making
inquiries the results of which the person does not care to have”.233 The House of
Lords adopted this proposition:
“It is always open to the tribunal of fact, when knowledge on the part of a
defendant is required to be proved, to base a finding of knowledge on
evidence that the defendant had deliberately shut his eyes to the obvious or
refrained from inquiry because he suspected the truth but did not want to
have his suspicion confirmed.”234
Bridge.
6. Similarly, in Sherif 235the court stated that the jury are entitled to conclude, if
satisfied that the defendant deliberately closed their eyes to the obvious
because they did not wish to be told the truth, that this was capable of being
evidence in support of a conclusion that the defendant did indeed either know or
believe the matter in question.
7. Devlin J in Roper v Taylor Garages (Exeter)236 distinguished actual knowledge,
wilful blindness (knowledge in the second degree), and constructive knowledge
(knowledge in the third degree). Actual knowledge was considered above.
8. As for wilful blindness, Devlin J emphasized:
“…a vast distinction between a state of mind which consists of deliberately
refraining from making inquiries, the result of which a person does not care to
have [wilful blindness], and a state of mind which is merely neglecting to
make such inquiries as a reasonable and prudent person would make
[constructive knowledge].”237
9. See also recently Davis LJ in Wheeler ‘wilfully shutting eyes to the obvious may
constitute evidence connoting knowledge or belief; and it need not necessarily
be assumed in all cases that suspicion is all that can safely be inferred from the
relevant facts.’ 238
Belief
10. Belief differs from knowledge because knowledge is limited to true beliefs but
not those which are mistaken.
11. According to the Court of Appeal in Hall:239
“Belief, of course, is something short of knowledge. It may be said to be the
state of mind of a person who says to himself: ‘I cannot say I know for certain
that the circumstance exists] but there can be no other reasonable conclusion
in the light of all the circumstances, in the light of all that I have heard and
seen’.”
12. In Forsyth240 the court said that the judgment in Hall is ‘potentially confusing’. In
Moys241 the court suggested simply that the question whether D knew or
believed that the proscribed circumstance existed is a subjective one and that
suspicion, even coupled with the fact that D shut their eyes to the
circumstances, is not enough.
that knowledge includes wilful blindness Cl.18(1)(a) a person acts knowingly ‘with respect to
a circumstance not only when he is aware that it exists or will exist but also when he avoids
taking steps that might confirm his belief that it exists or will exist’.
238 [2014] EWCA Crim 2706, [10].
239 (1985) 81 Cr App R 260 at p.264.
240 [1997] 2 Cr App R 299. A Hall direction is not necessary in every case: Toor (1987) 85 Cr
App R 116.
241 (1984) 79 Cr App R 72.
13. For the purposes of voluntary intoxication, it is submitted that offences in which
the predominant mens rea is knowledge or belief can for practical purposes be
treated as offences of specific intent: see Chapter 9.
Suspicion
14. This form of mens rea features in a number of cases including those under the
Proceeds of Crime Act and Terrorism Acts. It is important to distinguish between
‘suspicion’ itself, which is a low form of mens rea, and ‘reasonable cause to
suspect’, which is an objective test and does not generally require proof of actual
suspicion242 . Note, however that different considerations will apply to conspiracy
to commit an offence: see para 19 below.
15. In Da Silva,243 ‘suspicion’ was held to impose a subjective test: D’s suspicion
need not be based on ‘reasonable grounds’. Suspicion is an ordinary English
word. This dictionary definition is consistent with the previous judicial
interpretations of the concept of suspicion in the related field of criminal
procedure. One of the most famous statements is that of Lord Devlin in Hussien
v Chong Fook Kam:244
“Suspicion in its ordinary meaning is a state of conjecture or surmise where
proof is lacking: ‘I suspect but I cannot prove’. Suspicion arises at or near the
starting point of an investigation of which the obtaining of prima facie proof is
the end.”
16. The court in Da Silva added held that:
“the defendant must think that there is a possibility, which is more than
fanciful, that the relevant facts exist. A vague feeling of unease would not
suffice. But the statute does not require the suspicion to be ‘clear’ or ‘firmly
grounded and targeted on specific facts’ or based on ‘reasonable grounds”.245
17. The court stated that using words such as ‘inkling’ or ‘fleeting thought’ is liable to
mislead. This implies that juries ought to be encouraged to look for some
foundation for the defendant’s alleged suspicion.
18. For the purposes of voluntary intoxication, offences where the predominant
mens rea is one of suspicion can for practical purposes be treated as offences of
basic intent: see Chapter 9.
19. Note that ‘having reasonable grounds to suspect’ money is criminal property is
sufficient mens rea for the substantive offence of money laundering, but the
mental element required in conspiracy to commit such an offence requires actual
knowledge or intention that the property is criminal. In such a case the enhanced
242 See the Scottish case of Menni v HM Advocate [2013] HCJAC 158; 2014 SCL 191,
construing s17 Terrorism Act 2000. Menni was followed at the Court of Appeal stage of Lane
and another UKSC 2017/0080, (sub nom AB and CD (unreported)) but note that the
Supreme Court has granted permission to appeal the following proposition: “does the phrase
in s.17(b) of the Terrorism Act 2000 "has reasonable cause to suspect" have the same
meaning as "has a reasonable suspicion"?”
243 [2006] EWCA Crim 1654. See also Shah v HSBC [2010] EWCA Civ 31.
244 [1969] UKPC 26 at p.3.
245 [2006] EWCA Crim 1654 at para. 16. Applied in Afolabi [2009] EWCA Crim 2879.
mental element required in conspiracy subsumes the lesser element required for
the substantive offence.246
Directions
20. It should be made clear to the jury that the prosecution must prove that D had
the required knowledge/belief/suspicion at the time of the alleged offence.
21. It will usually be unnecessary to give the jury any direction about the meaning of
'knowledge', 'belief' or 'suspicion', these being ordinary words in common usage.
22. If, however, any elaboration is thought necessary, the jury should be directed to
the following effect, as appropriate to the particular case.
(1) To show that D knew 'X', the prosecution must prove that 'X' was in fact the
case, and that D was sure that 'X' was the case.
(2) To show that D believed 'X', the prosecution must prove that because of the
circumstances and/or what D had seen and/or heard, D realised that the
only reasonable explanation was that 'X' was the case.
(3) To show that D suspected 'X', the prosecution must prove that D thought
that there was a real possibility that 'X' was the case, even though D could
not prove / be sure about it.
23. In a case in which the prosecution contend that D believed or suspected 'X', the
prosecution may contend (usually because of the definition of the offence
concerned):
(1) that 'X' was in fact the case; and/or
(2) that the belief or suspicion was unreasonable.
24. If so, the jury should be directed that the prosecution must prove as much. If not,
the jury should be directed, as appropriate, that the prosecution do not have to
prove that 'X' was in fact the case and/or that the belief or suspicion was
unreasonable.
25. Though the direction to the jury should be kept as simple as possible, it may be
necessary in some cases based on knowledge to explain that belief or suspicion
are not enough, and in some cases based on belief that suspicion is not enough,
by reference to paragraph 21 above.
26. It may also be appropriate to add that if the jury concluded that D closed his/her
eyes to 'X' being the case, and asked no questions to avoid being told that 'X'
was the case, they could treat that as evidence that D knew / believed /
suspected 'X', if they thought it right to do so.
27. In relation to the effect of voluntary intoxication by alcohol/drugs, offences based
on 'knowledge' and 'belief' are treated as offences of specific intent, and
offences based on 'suspicion' are treated as offences of basic intent: see
Chapter 9.
8-6 Dishonesty
ARCHBOLD 21-5; BLACKSTONE’S B4.51
Legal Summary
1. Following the unanimous Supreme Court decision in Ivey v Genting Casinos
[2017] UKSC 67, confirmed as it has been in DPP v Patterson [2017] EWHC
Admin 2820 (per President QBD), the two-limb test of dishonesty set out in
Ghosh247 no longer represents the law. Directions based on Ghosh should no
longer be given. The test of dishonesty is the objective test as set out in Barlow
Clowes248.
“Although a dishonest state of mind is a subjective mental state, the standard
by which the law determines whether it is dishonest is objective. If by ordinary
standards a defendant’s mental state would be characterised as dishonest, it
is irrelevant that the defendant judges by different standards”
2. Judges will want to consider the guidance given at para 74 of Ivey, which sets
out an alternative two-stage test with subjective and objective elements.
“When dishonesty is in question the fact-finding tribunal must first ascertain
(subjectively) the actual state of the individual’s knowledge or belief as to the
facts. The reasonableness or otherwise of his belief is a matter of evidence
(often in practice determinative) going to whether he held the belief, but it is
not an additional requirement that his belief must be reasonable; the question
is whether it is genuinely held. […]
“(O)nce his actual state of mind as to knowledge or belief as to facts is
established, the question whether his conduct was honest or dishonest is to
be determined by the fact-finder by applying the (objective) standards of
ordinary decent people. There is no requirement that the defendant must
appreciate that what he has done is, by those standards, dishonest.”
3. Note that the subjective enquiry is not as to whether D believed his/her conduct
was honest, but more precisely, what D knew or believed to be the factual
circumstances in which that conduct occurred. The court gave the example of a
person travelling on a train without a ticket having just arrived in Britain from a
country in which public transport was always free. The first stage is to establish
what D knew or believed to be the factual situation and the second stage is to
assess the honesty of D’s conduct objectively in the light of any relevant
knowledge or beliefs D may have held as to the facts.
4. The test unifies the law in relation to dishonesty in criminal and civil contexts.
Within crime it will apply to any offence requiring proof of dishonesty: those in the
Theft Act 1968 (handling, false accounting) and Fraud Act 2006, but also other
statutory offences and common law offences such as conspiracy to defraud.
5. In Hayes249, a pre-Ivey case, the defence called evidence about the culture and
ethos of the LIBOR market. The Court of Appeal approved the trial judge’s
emphatic direction that in considering the objective test the jury should consider
the standards of reasonable and honest people, and not the standards, if
different, of those operating within the LIBOR market or even of those regulating
it. The approach in Hayes will continue to be useful in some cases where, for
example, D claims reliance on supposed ‘industry standard’ advice from a
broker as to what to declare on a mortgage application form, as well as other
cases where D relies on wider claims of ‘accepted practice’ in a given market.
Theft
6. In cases of theft, s.2 Theft Act 1968 specifies three situations which are not
dishonest:
(1) if D appropriates the property in the belief that he has in law the right to
deprive the other of it, on behalf of himself or of a third person; or
(2) if D appropriates the property in the belief that he would have the other’s
consent if the other knew of the appropriation and the circumstances of it;
or
(3) (except where the property came to him as trustee or personal
representative) if D appropriates the property in the belief that the person to
whom the property belongs cannot be discovered by taking reasonable
steps.
7. If the defendant’s state of mind may have been within one of the situations
provided for in s.2 he is not dishonest. In a case of theft the jury must be
reminded of the s.2 provisions whenever they are raised by the evidence.250
Directions
8. Despite the very significant clarification of the law in Ivey it remains the case that
it will rarely be necessary to give a direction about dishonesty beyond referring to
it as a requirement of the offence concerned.
9. However it may, depending on the circumstances of the case, be necessary to
add that:
(1) “dishonesty” is a word in common use, and has no special legal meaning;
and/or
(2) the prosecution must prove that D was dishonest at the time of the alleged
offence; and/or
(3) when considering whether the prosecution have proved that D was
dishonest, the jury should draw such conclusions as they think right from
D's conduct and/or words before and/or at the time of and/or after the
alleged offence.
10. Where an Ivey direction is required the jury should be given a direction to the
effect that the question of dishonesty is an objective one. D’s own view of the
matter, if the jury accept it, is not determinative since there is no requirement for
the prosecution to show that D personally recognised that the conduct was
dishonest. The approach to take is first to ascertain the circumstances in which
250 Falconer Atlee [1973] 58 Cr App R 348; Wootton and Peake [1990] Crim LR 201.
D acted, including any relevant belief or knowledge that the D may have held
about the factual circumstances. The jury must then consider whether, in the
context of what D knew or genuinely believed as to the factual situation, D’s
actions were dishonest by the standards of ordinary decent people.
11. Where the question of dishonesty has been addressed by reference to ‘industry
standards’ in a particular market context it may be necessary to go on to give a
Hayes-style direction reminding the jury that the standard to be applied is that of
ordinary decent people, and not those, if different, of operators or even
regulators of that market sector.
Example
The only issue in this case is whether D was acting dishonestly. D admits that
he/she walked out of the shop with the radio intending not to pay for it and that
he/she intended to keep it. But D says that it was only a cheap radio, he/she was
penniless, and that he/she was living a miserable life on the streets and needed
some source of entertainment. In these circumstances D says that he/she did not
think that it was dishonest to take the radio, and neither, D says, would anyone
else. The prosecution say that it was obviously dishonest, that D knew it, and that
D is now putting forward a devious argument to avoid being convicted.
You must first consider all the circumstances in which the behaviour occurred,
including what D him/herself knew or believed to be the factual situation. Have that
in mind when you ask yourselves whether, in light of any understanding of the
situation D had (or may have had), you are sure that D's behaviour was dishonest
by the standards of ordinary decent people.
If you are sure it was, the prosecution will have proved that D acted dishonestly
and your verdict will therefore be ‘Guilty’, whether or not D personally thought
his/her behaviour was dishonest.
But if you are not sure that D's behaviour was dishonest by those standards, the
prosecution will not have proved that D acted dishonestly, and your verdict will
therefore be ‘Not Guilty’.
Route to Verdict
Having taken into account D’s state of knowledge and belief about the factual
circumstances in which D acted, are we sure that D's conduct in taking the radio
from the shop without intending to pay for it was dishonest by the ordinary
standards of ordinary decent people?
• If yes, return a verdict of ‘Guilty’.
• If no, return a verdict of ‘Not Guilty’.
Example
The following extended direction is adapted from the ‘market dishonesty’ case of
Hayes.
In order for you to be sure of D’s guilt, you need to be sure that D was acting
dishonestly. You will consider the evidence about the culture and ethos of the
market together with all other evidence, including that from D him/herself, which
may have a bearing on what D knew or believed to be the factual situation in which
he/she acted.
Taking account of D’s understanding of the factual situation in which the behaviour
occurred, you must ask yourselves this question: Was what D agreed to do with
others dishonest by the ordinary standards of reasonable and honest people? I will
say that again: Was what D agreed to do with others dishonest by the ordinary
standards of reasonable and honest people? Not by the standards of the market in
which D operated, if different. Not by the standards of D’s employers or
colleagues, if different. Not by the standards of bankers or brokers in that market, if
different, even if many, or even all regarded it as acceptable; nor by the standards
of the various market Regulators, but by the standards of reasonable, honest
members of society.
There are no different standards [of honesty] which apply to any particular group of
society, whether as a result of market ethos or practice. You must form your
judgment as to what those standards are in the light of the arguments that have
been put before you.
8-7 Mistake
ARCHBOLD 17-10 and 17-22; BLACKSTONE’S A2.35, A3.2 and A3.60
Legal Summary
Mistake of criminal law
1. Ignorance or mistake of law is no defence to a criminal charge;251 mens rea does
not involve knowledge on the part of D that his/her behaviour was against the
criminal law.252
Mistake of civil law
2. Where the mens rea of an offence turns on proof of an element of civil law, D’s
mistake of civil law will excuse him/her whether or not D’s mistake was a
reasonable one. For example, where D is charged with criminal damage it must
be proved that the damaged property ‘belonged to another’. If D has made, or
may have made, a mistake in thinking the property is his/her own, D is not guilty
of that offence because D has not intended or been reckless as to damaging
property belonging to another.253
Mistake of fact
3. Where D has made a mistake of fact this provides an excuse in all crimes of
mens rea where it prevents D from possessing the relevant fault element which
the law requires for the crime with which D is charged.254 It is not a question of
defence, but of denial of mens rea.
4. In crimes where the mens rea element is subjective (intention, recklessness,
malice, wilfulness, knowledge and belief) the mistake need not be a reasonable
one, but reasonableness of D’s conduct will be important in evidential terms. The
jury may infer from D’s conduct and the unreasonable nature of the mistake in
the particular circumstances that D had the relevant mens rea; but the onus of
proof remains throughout on the Crown and, technically, D does not bear even
an evidential burden.
5. The same approach applies where D makes a mistake about an element of a
defence that calls for D to have a genuine (though not necessarily reasonable)
belief in certain facts. For example, in self-defence, D must believe that there is
a need for the use of force. D will not be denied the defence of self-defence if D
made, or may have made, a sober mistake as to the need for the use of force,
even if D’s mistake was unreasonable.255 In such a case D would not intend to
use unlawful force; see Self defence Chapter 18-1.
6. In crimes of negligence D’s mistake of fact will only excuse if the mistake is a
reasonable one. Similarly, where a defence requires D to hold a reasonable
belief in a fact,256 only if the mistake was a reasonable one to make in the
circumstances will the defence still be available to D.
7. Mistake of fact, however reasonable, does not afford a defence to crimes of
strict liability.
Directions
8. Where D claims to have been ignorant of or mistaken about the criminal law, the
jury should be directed that this provides D with no defence.
9. Where D claims to have made a mistake about the civil law which would affect
his/her criminal liability, the jury should be directed as follows:
(1) If the jury find that D really did make the mistake concerned, or may really
have done so, their verdict should be 'Not Guilty'.
(2) This is so whether the jury regard the mistake as a reasonable or
unreasonable one to have made in the circumstances of the case.
(3) Nevertheless, when deciding whether D really did make or may have made
the mistake D claims, the jury may, if they find it helpful, consider D's
conduct, and whether or not the mistake was reasonable. They could take
the view, if they thought it right, that the less reasonable the mistake D
claims to have made, the less likely it is that D really made it.
(4) If the jury were sure that D did not make the mistake at all, it could not
provide D with a defence.
10. Where D claims to have made a mistake of fact which would affect his/her
criminal liability whether it was reasonable or not, the jury should be directed as
indicated in paragraph 9 above.
11. Where D claims to have made a mistake which would affect his/her criminal
liability only if it was reasonable, the jury should be directed as follows:
(1) If the jury find that D really did make the mistake concerned, or may really
have done so, and consider that it was a reasonable one to have made in
the circumstances of the case, their verdict should be 'Not Guilty'.
(2) If the jury find that D really did make the mistake concerned, or may really
have done so, but consider that it was not a reasonable one to have made
in the circumstances of the case, it would not provide D with a defence.
(3) [If the point arises:] A mistake resulting entirely from D's voluntary
intoxication by alcohol and/or drugs cannot be regarded as reasonable.
(4) If the jury are sure that D did not really make the mistake at all, it could not
provide D with a defence.
256E.g. duress where D must genuinely and reasonably believe there is a threat of death or
serious injury: Hasan [2005] UKHL 22.
9. INTOXICATION
ARCHBOLD 17-102, 104 and 105; BLACKSTONE’S A3.15 – 22
Legal Summary
1. The effect of a defendant’s intoxicated state on their criminal liability turns upon
whether it was self-induced, the type of offence charged and the level of
intoxication. The same principles apply whether the alleged intoxication is
induced through alcohol or through drugs.257
Voluntary Intoxication
2. Cases of voluntary intoxication include those where the defendant has taken
drink or drugs or any other intoxicating substance although the defendant was
unaware of its strength.258
3. Voluntary intoxication may be relevant to particular defences: for example see
Chapter 18-1 Self-defence; Chapter 18-3 Duress. Particular statutory defences
may make special provision. See e.g. Criminal Damage Act 1971, s. 5(2).259
Note in particular that an honest belief in the need to act in self-defence which
results from an intoxicated mistake may not be relied upon. 260
4. If the level of voluntary intoxication is such that D did not know the nature of their
act or that what he/she was doing wrong that is not a plea of insanity.261 If the
voluntary intoxication has resulted in a disease of the mind and the defendant
claims that the disease caused him/her to lack awareness of the nature and
quality or wrongfulness of the act, the plea is one of insanity262: see Chapter 18-
5 M’Naghten insanity including insane automatism.
5. Specific intent offence:
(1) An offence is one of specific intent if the predominant mens rea is one of
intention (e.g. murder).263 If the offence charged is one of specific intent the
Crown must prove that the defendant had the relevant mens rea for the
offence despite being intoxicated.264 The defendant’s intoxication can
provide evidence that he/she did not form the mens rea. The quantity of
intoxicant taken is just one of the circumstances to be considered.
(2) If the defendant did form the mens rea, intoxication provides no excuse: an
intention formed in drink or under the influence of drugs remains an
intention. If the mens rea was formed, it is no excuse for the defendant to
261, D.C.
260 See the Criminal Justice and Immigration Act 2008 s 76(4), (5).
261 Coley [2013] EWCA Crim 223.
262 Coley [2013] EWCA Crim 223.
263 Heard [2007] EWCA Crim 125 suggesting that the test is whether the mens rea goes to
some ulterior matter beyond the actus reus (eg on this view reckless criminal damage being
reckless whether life is endangered is specific intent).
264 Majewski [1976] UKHL 2.
say that they would not have formed it but for the intoxication. In Sheehan
and Moore, Lane LJ stated:
“in cases where drunkenness and its possible effect on the defendant's
mens rea is an issue, we think that the proper direction to a jury is, first,
to warn them that the mere fact that the defendant's mind was affected
by drink so that he acted in a way in which he would not have done had
he been sober does not assist him at all, provided that the necessary
intention was there. A drunken intent is nevertheless an intent.”
Secondly, and subject to this, the jury should merely be instructed to
have regard to all the evidence, including that relating to drink, to draw
such inferences as they think proper from the evidence, and on that
basis to ask themselves whether they feel sure that at the material time
the defendant had the requisite intent.”
(3) If the defendant has voluntarily intoxicated him/herself in order to commit/or
in anticipation of committing a crime (“Dutch Courage” intoxication) that
intoxication does not provide an excuse even though, because of the
voluntary intoxication, at the time of committing the offence the defendant
did not form the mens rea.265
6. Basic intent offence:
(1) A basic intent offence encompasses, inter alia, crimes of recklessness,
malice, wilfulness, suspicion, negligence and strict liability.
(2) Intoxication by dangerous drug: Where the offence charged is a basic intent
offence, the defendant’s claim of lack of mens rea on the basis of voluntary
intoxication will not afford a defence.266 The jury should be told to ignore the
evidence of the voluntary intoxication and ask whether the defendant would
have had the relevant mens rea if sober.267
(3) Intoxication by non-dangerous drug: When the voluntary intoxication arises
as a result of the defendant taking an intoxicating substance that is not
commonly known to create states of unpredictability or aggression (e.g.
valium), the jury need to be sure that the defendant was, in taking that drug,
subjectively reckless as to becoming aggressive or unpredictable in his/her
behaviour.268 If they are sure of that recklessness having regard to all the
circumstances including the drug and its quantity and the defendant’s
knowledge and experience of it, then the state of the defendant’s
intoxication at the time of the offence can provide no defence.
Involuntary intoxication
7. Where the intoxication is involuntary (e.g. spiked drinks, unforeseen adverse
reactions to bona fide medical prescription drugs) the defendant is entitled to be
acquitted unless the Crown prove that he/she had the relevant mens rea for the
offence despite being intoxicated. If it is proved that the necessary mens rea
Directions
9. A direction about the effect of intoxication by alcohol and/or drugs on D's state of
mind will be necessary only if:
(1) D claims not to have formed the required state of mind (mens rea) because
he/she was intoxicated by such substances; and
(2) there is evidence that D may have consumed such substances in such a
quantity that D may not have formed that state of mind.
10. The need for and form of any such direction should be discussed with the
advocates in the absence of the jury before closing speeches.
11. In relation to an offence of specific intent where D was voluntarily intoxicated by
alcohol and/or drugs, the jury should normally be directed as follows:
(1) It is possible for a person to be so intoxicated by alcohol/drugs that he/she is
not able to form an intention.
(2) However, a person intoxicated by alcohol/drugs may nevertheless still be
perfectly capable of forming an intention; and if he/she does so, it is no
defence for him/her to say that he/she would not have formed a particular
intention or acted in a particular way had he/she not been affected by
alcohol/drugs.
(3) The jury should therefore consider whether, despite being intoxicated, D had
formed the required intention at the time of the alleged offence.
(4) If they were sure that D had, D’s intoxication would not provide him/her with
any defence.
(5) If they were not sure, D would be not guilty.
(6) See also paragraphs 15 and 17 below.
12. In relation to an offence of basic intent where recklessness is sufficient and D
was voluntarily intoxicated by alcohol and/or a dangerous drug, the jury should
normally be directed as follows:
(1) They should consider whether they are sure that D would have had the
required state of mind had he/she not been intoxicated i.e. D would have
recognised the risk had he/she been sober.
(2) If they are sure of this, D’s intoxication would not provide him/her with any
defence.
(3) If they are not sure, D will be not guilty.
(4) See also paragraphs 15 and 17 below.
13. In relation to an offence of basic intent where D was voluntarily intoxicated by a
non-dangerous drug, (i.e. one which does not usually lead to unpredictable or
aggressive behaviour, such as Valium or insulin, but is said to have done so in
D's case), the jury should normally be directed as follows:
(1) They should consider whether, when D took the drug, D was aware of the
risk that it might lead to such behaviour in his/her case, but went on to take
the risk when it was unreasonable to do so in the circumstances known to
him/her.
(2) If they were sure of this, D’s intoxication would not provide him/her with any
defence.
(3) If they were not sure, D would be not guilty.
(4) See also paragraphs 15 and 17 below.
14. In relation to any offence (other than one of strict liability) where D claims to
have been intoxicated involuntarily (e.g. because his/her drink had been spiked)
the jury should normally be directed as follows:
(1) They must first decide whether or not D's claim is true.
(2) If they were sure it was untrue, they should obviously disregard it.
(3) If they thought that it was or might be true, they should consider whether,
despite being involuntarily intoxicated, D had formed the required state of
mind at the time of the alleged offence.
(4) If they were sure of this, D’s intoxication would not provide him/her with any
defence, even though it was involuntary.
(5) If they were not sure, D would be not guilty.
(6) See also paragraphs 15 and 17 below.
15. If D claims not to remember what happened because of the alcohol/drugs
he/she had taken, the jury should be directed as follows:
(1) They must first decide whether or not D's claim is true.
(2) If they were sure that it was untrue, they should obviously disregard it.
(3) If they thought that it was or might be true, they should take it into account
when deciding whether the prosecution have proved that D had the required
state of mind. They should bear in mind, however, that D might have had
the required state of mind at the time of the alleged offence even if D did
lose or may have lost his/her memory at some later stage.
16. The jury should also be directed that when they are considering all these matters
they should take into account (as relevant in the particular case) any evidence
about the quantity of alcohol and/or the nature and quantity of the drugs that D
had taken; when D had done so; the circumstances in which D had done so; D's
knowledge and/or experience of alcohol and/or the drug concerned; any expert
evidence; and any relevant evidence of D's condition, and/or of what D did
and/or said, before and/or at the time of and/or /after the alleged offence.
17. The directions suggested above will need to be adapted if D took alcohol/drugs
to give him/herself 'Dutch courage' to commit an offence, because in such a
case the prosecution must prove that D had the required state of mind when
he/she started drinking/taking the drugs rather than when the offence was
committed.
Legal summary
1. Most criminal prosecutions rely on some circumstantial evidence. Others depend
entirely or almost entirely on circumstantial evidence and it is in this category
that most controversy is generated and specific directions will be required.
2. A circumstantial case is one which depends for its cogency on the unlikelihood
of coincidence: circumstantial evidence “works by cumulatively, in geometrical
progression, eliminating other possibilities” (DPP v Kilbourne272 per Lord Simon).
The prosecution seeks to prove separate events and circumstances which can
be explained rationally only by the guilt of the defendant. Those circumstances
can include opportunity, proximity to the critical events, communications
between participants, scientific evidence and motive. The subsequent conduct of
the defendant may also furnish evidence of guilt, for example evidence of flight,
fabrication or suppression of evidence, telling lies or unexplained possession of
recently stolen property.
3. At the conclusion of the prosecution case the question for the judge is whether,
looked at critically and in the round, the jury could safely convict.273 The question
for the jury is whether the facts as they find them to be drive them to the
conclusion, so that they are sure, that the defendant is guilty.274
4. The cases of Hunt275 and Awais276 underline that the judge is required to
analyse the evidence so as to identify whether it could legitimately permit a jury
not just to identify the existence of a conspiracy but also the nature of the crime
the agreement is intended to bring about.
5. Pitchford LJ in Masih277 says that the correct question is “Could a reasonable
jury, properly directed, exclude all realistic possibilities consistent with the
defendant's innocence?”
6. It has been held that circumstantial evidence must always be
“narrowly examined, if only because evidence of this kind may be fabricated to
cast suspicion on another. …It is also necessary before drawing the inference
of the accused’s guilt from circumstantial evidence to be sure that there are no
other co-existing circumstances which would weaken or destroy the
inference”: Teper.278
There is no requirement, however, that the judge direct the jury to acquit unless
they are sure that the facts proved are not only consistent with guilt but also
inconsistent with any other reasonable conclusion.279 On this topic see also
Lewis280.
7. Teper and McGreevy were considered in Kelly281 in which Pitchford LJ said:
“39. The risk of injustice that a circumstantial evidence direction is designed to
confront is that (1) speculation might become a substitute for the drawing of a
sure inference of guilt and (2) the jury will neglect to take account of evidence
that, if accepted, tends to diminish or even to exclude the inference of guilt
(see Teper v R). However, as the House of Lords explained in McGreevy,
circumstantial evidence does not fall into any special category that requires a
special direction as to the burden and standard of proof. The ultimate
question for the jury is the same whether the evidence is direct or indirect:
Has the prosecution proved upon all the evidence so that the jury is sure that
the defendant is guilty? It is the task of the trial judge to consider how best to
assist the jury to reach a true verdict according to the evidence.”
Directions
8. In a case in which there is both direct and circumstantial evidence, the jury
should be directed as follows:
(1) Some of the evidence on which the prosecution rely is direct evidence.
Briefly summarise the direct evidence.
(2) The prosecution also rely on what is sometimes described as circumstantial
evidence. That means different strands of evidence no one of which proves
that D is guilty but which, the prosecution say, when taken together and with
other evidence prove the case against D. Briefly summarise the
circumstantial evidence, and the conclusions which the prosecution say are
to be drawn from it.
(3) See also paragraph 9 below.
9. In a case in which the only evidence is circumstantial, the jury should be directed
as follows:
(1) In some cases there is direct evidence that a defendant is guilty, for
example evidence from an eye-witness who saw the defendant committing
the crime, or a confession from the defendant that he/she committed it.
(2) In other cases however, including this one, there is no direct evidence and
the prosecution rely on (what is sometimes referred to as) circumstantial
evidence. That means different strands of evidence which do not directly
prove that D is guilty but which do, say the prosecution, leave no doubt that
D is guilty when they are drawn together.
(3) Briefly summarise the circumstantial evidence and the conclusions which
the prosecution say are to be drawn from it.
Example
NOTE: although an example is provided judges should bear in mind the words of
Pitchford LJ in Kelly282:
“It is not unusual for the trial judge to point out to the jury the difference
between proof by direct evidence and proof by circumstances leading to a
compelling inference of guilt. However, there is no rule of law that requires the
trial judge to give such an explanation or any requirement to use any particular
form of words. It depends upon the nature of the case and the evidence.”
Where all the prosecution evidence is circumstantial
There is no direct evidence that D committed the crime with which he/she is
charged, such as evidence from an eye-witness who saw D committing it, or
evidence that D confessed to committing it.
The prosecution therefore rely on what is sometimes referred to as circumstantial
evidence: that is pieces of evidence relating to different circumstances, none of
which on their own directly proves that D is guilty but which, say the prosecution,
when taken together leave no doubt that D is guilty.
[Summarise the pieces of evidence on which the prosecution rely and the
conclusions they say should be drawn from them.]
The defence say that you should not accept [some of] these pieces of evidence.
[Identify the pieces of evidence concerned, and summarise the defence arguments
about them.]
The defence also say that the evidence on which the prosecution rely does not in
fact prove D's guilt at all. They say that there are too many gaps and too many
unanswered questions.
[Summarise the defence arguments about this.]
You must decide which, if any, of these pieces of evidence you think are reliable
and which, if any, you do not. You must then decide what conclusions you can
fairly and reasonably draw from any pieces of evidence that you do accept, taking
these pieces of evidence together. You must not however engage in guess-work
or speculation about matters which have not been proved by any evidence. Finally
you must weigh up all the evidence and decide whether the prosecution have
made you sure that D is guilty.
Legal Summary
1. Corroborative evidence is relevant, admissible,283 and credible284 evidence
independent of the source requiring corroboration,285 and which has the effect of
implicating the accused.
2. Historically there were specific categories of case where, because of the nature
of the allegation or the type of witness, a direction was required that the jury
should look for corroboration of the evidence in question: evidence of an
accomplice, a complainant in the trial of a sexual offence and evidence of a
child, but corroboration is now required by statute only in cases of treason,286
perjury,287 speeding288 and attempts to commit such offences.289
3. Although corroboration in the strict sense is now no longer required in support of
the categories outlined above, circumstances may nevertheless require the
judge, as a matter of discretion in summing up, to give a warning to the jury
about the need for caution in the absence of supporting evidence.
4. In Makanjuola,290 Lord Taylor CJ gave the following guidance:
“To summarise:
(1) Section 32(1) abrogates the requirement to give a corroboration direction
in respect of an alleged accomplice or a complainant of a sexual offence,
simply because a witness falls into one of those categories.
(2) It is a matter for the judge’s discretion what, if any warning, he considers
appropriate in respect of such a witness as indeed in respect of any other
witness in whatever type of case. Whether he chooses to give a warning and
in what terms will depend on the circumstances of the case, the issues raised
and the content and quality of the witness’s evidence.
(3) In some cases, it may be appropriate for the judge to warn the jury to
exercise caution before acting upon the unsupported evidence of a witness.
This will not be so simply because the witness is a complainant of a
sexual offence nor will it necessarily be so because a witness is alleged
to be an accomplice. There will need to be an evidential basis for
suggesting that the evidence of the witness may be unreliable. An
evidential basis does not include mere suggestions by cross-examining
counsel.
(4) If any question arises as to whether the judge should give a special
warning in respect of a witness, it is desirable that the question be resolved by
discussion with counsel in the absence of the jury before final speeches.
(5) Where the judge does decide to give some warning in respect of a
witness, it will be appropriate to do so as part of the judge’s review of
the evidence and his comments as to how the jury should evaluate it
rather than as a set-piece legal direction.
(6) Where some warning is required, it will be for the judge to decide the
strength and terms of the warning. It does not have to be invested with the
whole florid regime of the old corroboration rules.
(7) ..........
(8) Finally, this Court will be disinclined to interfere with a trial judge’s exercise
of his discretion save in a case where that exercise is unreasonable in the
Wednesbury sense.” [emphasis added]
5. The need to consider giving a discretionary warning of the type described in
Makanjuola arises whenever the need for special caution before acting on the
evidence of certain types of witness, if unsupported, is apparent. The following
types of witnesses/categories of case are worth consideration:
(1) Co-defendants: An accused may have a purpose of their own to serve by
giving evidence which implicates a co-defendant.291 In Jones,292 in which
each of the defendants in part placed blame on the other, Auld LJ
commended counsel’s suggestion that in such cases the jury should be
directed:
(a) to consider the cases of each defendant separately;
(b) the evidence of each defendant was relevant to the case of the other;
(c) when considering the co-defendant’s evidence, the jury should bear in
mind that the interest may have an interest to serve; and
(d) the evidence of a co-defendant should otherwise be assessed in the
same way as the evidence of any other witness.
(2) Witnesses tainted by improper motive.293
(3) Witnesses of bad character.294
(4) Evidence from a witness received after section 73 SOCPA 2005
agreement295
(5) Children: Whether to give a direction will depend on the circumstances of
the case, including the intelligence of the child and, in the case of unsworn
291 Cheema [1994] 1 WLR 147; Muncaster [1998] EWCA Crim 296; Jones [2003] EWCA
Crim 1966.
292 Jones [2003] EWCA Crim 1966 at para.47.
293 Beck [1982] 1 WLR 461 at p.467E (defence making allegations of impropriety against
witnesses for the prosecution); Chan Wai-Keung [1995] 1 WLR 251 (prisoner awaiting
sentence giving evidence in unrelated case); Ashgar [1995] 1 Cr App R 223 (defence
allegation that prosecution witnesses were protecting one of their number); Pringle [2003]
UKPC 9 and Benedetto [2003] UKPC 27 (cell confession); Spencer [1987] UKHL 2 (patients
in a secure hospital).
294 Spencer [1987] UKHL 2; Cairns, Zaidi and Chaudhary [2002] EWCA Crim 2838.
295 Daniels and Others [2010] EWCA Crim 2740.
evidence, the extent to which the child understands the duty of speaking the
truth. In MH,296 a case involving a three year old complainant, the Court of
Appeal rejected the suggestion that the judge should have directed the jury
that children may imagine, fantasise or misunderstand a situation, may
easily be coached, may say what they think their mother wants to hear, or
may merely repeat by rote that which has been said on a previous occasion;
and that the judge should have warned the jury not to be beguiled by the
attractiveness of the child and to bear in mind the child’s extreme youth. It
would have been wrong for the judge to engage in such generalisations
remote from the facts of the case.
(6) Unexplained infant deaths: Such cases may give rise to serious and
respectable disagreement between experts as to the conclusions which can
be drawn from post mortem findings. Supporting evidence independent of
expert opinion may be required.297
(7) Inherently unreliable witnesses: for example if it has become clear that a
witness has made a false complaint, otherwise lied or given substantially
different accounts in the past.
6. Whether a warning is given and the terms of any warning given are matters of
judicial discretion.298 In Stone299 the Court of Appeal reiterated the need to
examine the particular circumstances of the case before reaching a judgment as
to the terms in which the requirement for caution should be expressed.300 A
possible starting point, drawing on Turnbull301 [see Chapter 15-1] is to warn the
jury of the special need for caution before acting on the disputed evidence, and
to explain the reason why such caution is required. Where the jury is advised to
look for supporting evidence, the judge should identify the evidence which is
capable of supporting that of the witness;302 if there is none, the jury should be
directed to that effect.
Directions
7. In some cases, for example those listed in paragraph 5 above, it may be
appropriate for the judge to direct the jury to approach the evidence of a
particular witness with caution. The need for and terms of any such direction
should be discussed with the advocates in the absence of the jury before closing
speeches.
evidence, the issues and the nature of the particular taint on the evidence of the impugned
witness: Muncaster [1998] EWCA Crim 296; L [1999] Crim LR 489.
301 [1977] QB 224.
302 B (MT) [2000] Crim LR 181.
8. It is usually a matter for the judge's discretion whether to give any direction, and
if so in what terms. However, if one defendant or suspect in relation to an
offence gives evidence against another a cautionary direction will almost always
be necessary, as to which see also the final bullet point below.
9. Any such direction is best given as part of the review of the evidence rather than
as a set-piece legal direction during the first part of the summing up.
10. The strength and terms of any such direction will depend on the circumstances
of the individual case. No set formula is available. The following is offered only
by way of general guidance, and is not intended to cover every situation that
might arise:
(1) The witness concerned ('W') should be identified and the reason(s) for the
need for caution should be explained.
(2) Sometimes it will be sufficient simply to direct the jury to approach the
evidence of W with caution. If so, the jury should also be directed that they
may nevertheless rely on that evidence if, having taken into account the
need for caution, they are sure that W is telling the truth.
(3) Where there is no independent supportive evidence, it may be appropriate
to remind the jury of that fact, and possibly to suggest that the jury may have
wished for such evidence. In that event the jury should also be directed that
they may nevertheless rely on the evidence of W if, having taken into
account the need for caution and the absence of any independent
supportive evidence, they are sure that W is telling the truth.
(4) In cases where there is potentially independent supportive evidence, that
evidence must be identified, adding that it is for the jury to decide whether
they accept that evidence and if so whether they regard it as supportive. If
they conclude that there is independent supportive evidence they may take
this into account when assessing W's evidence, but it does not mean that W
is bound to be telling the truth. On the other hand, even if the jury conclude
that there is no independent supportive evidence, they may still rely on the
evidence of W if, having taken into account the need for caution and the
absence of any independent supportive evidence they are sure that W is
telling the truth.
(5) Where co-defendants give evidence against each other, the need for
caution needs to be conveyed without unnecessarily diminishing the
evidence of either defendant. This can usually be achieved by incorporating
directions that the jury should consider the case of each defendant
separately; should examine that part of each defendant's evidence which
implicates the other with caution, since each may have his / her own
purpose to serve; but otherwise should assess each defendant's evidence in
the same way as that of any other witness. This approach can be adapted to
cover a case in which one co-defendant gives evidence against another, but
not vice versa.
Example 1: co-defendant303
When considering the evidence of D1 and D2 you should bear these points in
mind:
1. First, as I have already explained to you, you must consider the case against
and for each D separately.
2. Secondly, you should decide the case in relation to each D on all of the
evidence, which includes the evidence given by each of the Ds.
3. Thirdly, you should assess the evidence given by each of the Ds in the same
way as you assess the evidence of any other witness in the case.
4. Finally, when the evidence of one D bears upon the case of the other, you
should have in mind that the D whose evidence you are considering may have
an interest of his/her own to serve and may have tailored their evidence
accordingly. Whether either D has in fact done this is entirely for you to decide.
303 This example is based on Jones and Jenkins [2003] EWCA Crim 1966.
304 Serious Organised Crime and Police Act 2005, s.73.
Legal Summary
1. In considering the admissibility of expert opinion evidence a judge should have
regard to the factors listed in CPD 19A.
2. Expert evidence is admitted only on matters that lie beyond the common
experience and understanding of the jury: Turner.305 The purpose of the expert’s
opinion evidence is to provide the jury with evidence of findings and the
conclusions that may be drawn from those findings. Particular care is needed to
avoid expert opinion as to the credibility, reliability or truthfulness of a witness or
confession: Pora v The Queen306 Lord Kerr explained
“It is the duty of an expert witness to provide material on which a court can
form its own conclusions on relevant issues. On occasions that may involve
the witness expressing an opinion about whether, for instance, an individual
suffered from a particular condition or vulnerability. The expert witness should
be careful to recognise, however, the need to avoid supplanting the court’s
role as the ultimate decision-maker on matters that are central to the outcome
of the case.”
See also H.307
3. The expert must be duly qualified and should only provide evidence on matters
within his or her expertise: Atkins308 at [27]; Clarke,309 Pabon.310
4. Unlike lay witnesses, experts may give evidence of opinion. Where the expert
has given evidence of opinion, the jury remains the ultimate arbiter of the
matters about which the expert has testified. The jury are not bound to accept
the expert’s opinion if there is a proper basis for rejecting it. But “where there
simply is no rational or proper basis for departing from uncontradicted and
unchallenged expert evidence, juries may not do so”: see Brennan.311 The jury
must be warned not to substitute their own opinions for those of the experts e.g.
by undertaking their own examination of handwriting or a fingerprint. A jury is
entitled to rely on an expert opinion which falls short of scientific certainty:
Gian.312
5. If an expert expresses their conclusions in relative terms (e.g. “no support,
limited support, moderate support, support, strong support, powerful support”) it
may help the jury to explain that these terms are no more than labels which the
witness has applied to their opinion of the significance of his findings and that
because such opinion is entirely subjective different experts may not attach the
same label to the same degree of comparability: Atkins.313
6. The fact that a prosecution expert cannot rule out, as a matter of science, a
proposition consistent with D being not guilty does not mean that the case
should be withdrawn: Vaid.314
7. In deciding what weight, if any, to attach to the expert’s evidence the jury may
take into account the expert’s qualifications, experience, credibility, and whether
the opinion is based on established facts or assumptions.
8. Sciences and techniques in their infancy need to be approached with caution but
that does not necessarily mean the expert opinion based on such techniques
should not be adduced: Ferdinand and others.315
9. If the expert testifies as to primary facts (e.g. that there was no blood on D’s
boots) the jury cannot reject that and form their own opinion on the matter.
Anderson.316
10. If the expert is someone involved in the investigation of the offence, the jury will
need to be aware of that when considering the weight to give to the expert’s
evidence: Gokal.317
11. In an extreme case where the outcome of the trial depends exclusively or almost
exclusively on a serious disagreement between reputable experts it may be
unwise to leave the case to the jury: Cannings;318 cf. Hookway.319 The content of
a summing-up in such cases will require considerable care: see Henderson for
guidance.320
12. There are two publications by the Royal Society that have been specifically
designed to assist the court in making use of expert evidence – one in relation to
DNA321 and another in respect of gait analysis322 and both are worthy of
consideration where those issues arise in a trial.
Directions
13. There is no invariable rule as to when a direction on expert evidence should be
given. It is often best included in the legal directions at the beginning of the
summing up; but if, for example, there has been evidence from only one expert,
or the expert evidence taken together is brief, it may be preferable to give the
direction immediately before the expert evidence is summarised.
forensic-dna-analysis-primer-for-courts.pdf
322 https://royalsociety.org/~/media/about-us/programmes/science-and-law/royal-society-
forensic-gait-analysis-primer-for-courts.pdf
appropriate if, for example, a prosecution expert witness has been challenged in
cross-examination, but no defence expert has been called. Before giving any
direction about expert evidence discuss it with the advocates in the absence of
the jury before closing speeches.
10-4 Delay
ARCHBOLD 4-465; BLACKSTONE’S D3.73
Legal Summary
1. A defendant has the right to a fair trial within a reasonable time. In exceptional
cases delay will lead to a stay of proceedings as an abuse of process.323 That
involves a separate question from whether (applying the principles in
Galbraith324 there is a case to answer.
2. A prolonged delay between the commission of the alleged offence and the
complaint leading to trial is capable of leading to forensic disadvantages.
3. In cases in which there has been a significant delay, the jury need to be directed
on the relevance of that delay325 including the impact on the preparation and
conduct of the defence and the relationship with the burden of proof. Such a
direction is only required where the potential difficulty arising from delay is
significant and becomes apparent in the course of the trial or where it is
necessary to be even handed between the accused and complainant. Whether a
direction on delay is to be given and the way in which it is formulated will depend
on the facts of the case.326
4. Particular care will be needed in sexual cases where the issue of delay may be
perceived as having an effect on the credibility of a complainant327: see Chapter
20-1 and 20-2.
5. Note in particular PS:328
“37 Although viewed globally the judge's direction contained all of the
essential elements he needed to include when directing the jury on this issue
(set out at paragraph 35 above), we do not consider it was necessarily
structured in the most appropriate way, given the circumstances of this case.
As with the direction on the burden and standard of proof, the direction
regarding delay – as it affects the defendant – is designed to ensure his
criminal trial is fair. The courts have decided that even very considerable
delays in bringing prosecutions can, save exceptionally, be managed in the
trial process. But this is often (although not necessarily always) best
addressed by a short, self-contained direction that focuses on the defendant
rather than amalgamating it with other aspects of the relevance of delay, for
instance as regards the victim or victims. The risk of combining and
interweaving the potential consequences of delay for the accused with the
other delay-related considerations (“putting the other side of the coin”) is that
323 A-G's Reference (No 1 of 1990) [1992] QB 630 at pp.643–4; A-G’s Ref (No. 2 of 2001)
[2003] UKHL 68; Burns v HM Advocate (A-G for Scotland intervening) [2008] UKPC 63. F(S)
[2011] EWCA Crim 1844.
324 [1981] 1 WLR 1039.
325 The principles were reviewed in H (Henry [1998] 2 Cr App R 161, at pp.164-168, per
Potter LJ. Reviewed in PS [2013] EWCA Crim 992. Also E [2009] EWCA Crim 1370; E(T)
[2004] EWCA Crim 1441.
326 M (Brian) [2000] 1 Cr App R 49; PS [2013] EWCA Crim 992 at para.25.
327 Doody [2008] EWCA Crim 2557.
328 [2013] EWCA Crim 992.
Directions
Delay in Making a Complaint
6. Note that the complaint(s) which led to the criminal proceedings and any earlier
complaint(s) are now admissible in evidence. (See CJA 2003, section 120(4), (7)
and (8) and Chapter 14-12 below.)
7. Where there has been a substantial delay between the alleged offence(s) and
the making of the complaint that led to the current criminal proceedings, the jury
should be directed as follows:
(1) The jury should consider the length of and the reasons for the delay in
making the complaint and ask whether or not the delay makes the evidence
in court of V more difficult to believe.
(2) In a sexual case: the courts have found that victims of sexual offences can
react in different ways. Some may complain immediately. Others may feel,
for example, afraid, shocked, ashamed, confused or even guilty and may
not speak out until some time has passed. There is no typical reaction.
Every case is different. [See also Chapters 20-1 and 20-2 in relation to
sexual cases.]
(3) The jury should not assume that a late complaint is bound to be false, any
more than an immediate complaint would definitely be truthful. The jury
should consider the circumstances of the particular case.
(4) The matters to be considered are (depending on the evidence and issues in
the case):
(a) Any reason(s) given by V for not having complained earlier.
(b) Any reasons why V may have been put off from speaking out earlier
(about which V did not give evidence) such as:
(i) V felt afraid of D;
(ii) V was shocked and/or ashamed and/or confused;
(iii) V blamed him/herself;
(iv) V had mixed feelings for D;
(v) V was worried that no-one would believe him/her;
(vi) V was worried about what would happen to him/her/D/the family if
V spoke out.
(c) Whether or not D is said to have put pressure on V to keep quiet and if
so, how
(d) What triggered the eventual making of the complaint.
(e) The age and degree of maturity and understanding of V at the time/s it
is said that the offence/s was/were committed.
(f) The difference in age and the relationship (if any) between V and D.
(g) The physical and/or emotional situation in which V was living at the
time.
(h) Whether V had made earlier complaints that did not lead to criminal
proceedings and if so when and, briefly, if relevant why they were not
proceeded with.
(i) Any reasons for the delay suggested by or on behalf of D.
(5) It is for the jury alone to weigh up all these matters when deciding whether
they are sure that V has given truthful and reliable evidence.
Delay: the effect on the trial
8. Where there has been a substantial delay between the alleged offence(s) and
the current criminal proceedings, it will probably be necessary to direct the jury
as suggested below. However, the length of the delay, the cogency of the
evidence and the circumstances of the case may all affect the need for or the
content of such a direction, which may well need to be discussed with the
advocates in the absence of the jury before closing speeches. Thus what follows
should not be regarded as a blue-print.
(1) The passage of time is bound to have affected the memories of the
witnesses.
(2) A person describing events long ago will be less able to remember exactly
when they happened, the order in which they happened or the details of
what happened than they would if the events had occurred more recently.
(3) A person's memory may play tricks, leading them genuinely to believe that
something happened (to him/her) long ago when it did not. This will only
arise in the rare case where it is suggested V suffers from Recovered
Memory Syndrome, and expert evidence must always be called on this
point.
(4) The jury must therefore consider carefully whether the passage of time has
made the evidence about the important events given by any of the
witnesses concerned less reliable than it might otherwise have been
because (depending on the evidence in the particular case) they cannot now
remember particular details / they claim to remember events in unlikely
detail/their memories appear to have improved with time.
(5) The passage of time may also have put D at a serious disadvantage. For
example (again depending on the evidence in the particular case):
(a) D may not now be able to remember details which could have helped
his/her defence.
(b) Because, after all this time, V has not been able to state exactly when
and / or where D committed the crimes of which D is accused, D has
not been able to put forward defences, such as showing that he/she
could not have been present at particular places at particular times,
which D may have been able to put forward but for the delay.
(c) D has not been able to call witnesses who could have helped his/her
defence because they have died / cannot now be traced / cannot now
remember what happened.
(d) D has not been able to produce documents which could have helped
his/her defence because they have been lost / destroyed / cannot be
traced.
Example
NOTE: Any direction dealing with delay is bound to be fact-specific, as is the
example below. In a case involving sexual allegations see also Chapter 20-1
below.
You know that V first complained that D had repeatedly beaten and injured him/her
at the care home about 20 years after V had left the home. You should take this
into account in three ways.
First, the defence say that if V had really been beaten, V would have complained
much earlier. However, when V was asked about the delay, V said that he/she was
terrified of D while at the home and that, even after he/she left, it took V a long
time to pluck up the courage to go to the police. V did so only when he/she was
appalled to read a newspaper article describing D as a wonderful caring person.
Take all this into account when considering whether V's complaints are true.
Someone who delays making a complaint is not necessarily lying. Equally,
someone who makes a prompt complaint is not necessarily telling the truth.
Secondly, bear in mind that the passage of time is likely to have affected the
memory of each of the witnesses about exactly what happened all those years
ago. It may even have played tricks on their memories, leading them genuinely to
believe that things happened when they did not.
Thirdly, be aware that the passage of time may have put D at a serious
disadvantage. D may not able to remember details now that could have helped
him/her, and D has told you that two workers at the care home, who D says would
have supported his/her case, have since died.
[Where D is of good character]: Fourthly, the fact that no similar allegations have
been made in the 20 years since the date of the alleged events which you are
considering means that D is entitled to ask you to give significant weight to his/her
good character when deciding whether the prosecution has satisfied you of his/her
guilt.
You should take the long delay into account in D’s favour each of these ways
when you are deciding whether or not the prosecution have proved that D is guilty,
so that you are sure of it.
Legal Summary
1. Special Measures and Intermediaries are dealt with in Chapter 3-6 and Chapter
3-7.
2. The approach to receiving the evidence of children has altered dramatically over
recent years.
3. The competence of a child to testify is dealt with in s.53 YJCEA. The Court of
Appeal in Barker329 noted that the witness need not understand every single
question or give a readily understood answer to every question. Dealing with the
matter broadly and fairly, provided the witness can understand the questions
put to them and can also provide understandable answers, he or she is
competent.330
4. The approach to cross examination of children and vulnerable witnesses331 is
markedly different from that in relation to adults. Ensuring that advocates adapt
the style of cross examination requires effective case management from the
outset. The Court of Appeal has repeatedly emphasised that the judge has a
clear obligation to control cross-examination of children and vulnerable
witnesses.332 In Barker333 the Lord Chief Justice considered the circumstances
in which very small children might give evidence in criminal trials. The Court
acknowledged that whilst the right of the defendant to a fair trial must not be
undiminished, the trial process must cater for the needs of child witnesses and
that the forensic techniques had to be adapted to enable the child to give the
best evidence of which he or she is capable.
Case Management
5. The CrimPR334 and CrimPDs335 describe the way in which judges should deal
with children and vulnerable witnesses: see in particular CrimPR Part 3, CrimPD
1 General matters 3D: Vulnerable People in the Courts and CrimPD 1 General
matters 3E: Ground Rules Hearings to Plan the Questioning of a Vulnerable
Witness or Defendant. See also the Judicial College's Young Witness Bench
Checklist 2012.
6. Central to the effective management of a case involving child witnesses will be
the ‘ground rules hearing’ which should, amongst other things, establish the
style limits and duration of questioning child witnesses, and seek to guard
336 [2014] EWCA Crim 2064. See also Jonas [2015] EWCA Crim 562.
337 [2017] EWCA Crim 1206.
338 CACD 8th March 2018.
339 [2014] EWCA Crim 1730.
340 Pipe [2014] EWCA Crim 2570; Stretton and McCallion (1988) 86 Cr App R 7; PM [2008]
Sexual Abuse,344 the publication of the 2013 Protocol and Good Practice Model:
Disclosure of Information in Cases of Alleged Child Abuse and Linked Criminal
and Directions Hearings.345 Judges should also bear in mind the guidance in the
Equal Treatment Bench Book 2018346 when dealing with vulnerable witnesses.
Procedure:
Ground Rules Hearings
NOTE: This section is included because the Ground Rules Hearing and the orders
made at it are so important to, and will inform, the directions to be given to the jury at
the outset of the trial, before the child or vulnerable witness gives evidence and in
summing up.
12. A Ground Rules Hearing (GRH) should be held in every case where there is a
young or vulnerable witness.
13. Before the GRH the defence advocate must serve on the court and on the
Prosecution a copy of the list of proposed questions to be put to the young or
vulnerable witness, together with a copy of the Defence Statement.
14. The GRH must, save in very exceptional circumstances, be held before the day
of trial, with the trial advocates and any intermediary in open court (other than in
exceptional circumstances). An intermediary is not a witness and should not be
sworn.
15. The GRH should address the following topics:
(1) How the advocates and judge, and any intermediary are going to interact
with W/D, and with each other, including how each will be addressed.
(2) The length of time after which a break/breaks must be taken.
(3) The “ground rules” for asking questions of W/D.
(4) Any additional questions to be asked by the prosecution in examination in
chief (if appropriate).
(5) The overall length of cross examination.
(6) In a multi-handed case, who will conduct the cross examination.
(7) The language to be used in any questions put to W/D, including the type
and length of questions.
(8) The aids to communication, if any, to be used.
(9) The questions/topics submitted by the advocates which may be put to W/D.
(10) What the jury are to be told about the limitations imposed.
(11) Whether, where W is to give evidence in chief by way of a pre-recorded
interview, W should see the recording at the same time as the jury on the
344 CPS Guidelines on Prosecuting Cases of Child Sexual Abuse (Crown Prosecution
Service October 2013).
345 CPS Protocol and Good Practice Model.
346 https://www.judiciary.gov.uk/wp-content/uploads/2018/02/equal-treatment-bench-book-
february-v6-2018.pdf
day of the trial or (almost always preferably) on the day before W is cross
examined, so that W need not come to court until shortly before he/she is
due to be cross examined.
Directions at trial
16. Any special measures, including the use of an intermediary, should be
explained: see Chapter 3-6 Special Measures and Chapter 3-7 Intermediaries.
17. Depending on the age of the child or the vulnerability of W, it may help the jury
to explain how W’s level of understanding, regardless of intelligence, may be
limited. This may be done before W gives evidence.
18. It may also help the jury and fair to all parties to explain to the jury, before such a
witness is cross examined, that the cross examination will not be conducted in
the same way as it would have been if the witness had been an adult/non-
vulnerable adult: see Example 4 below.
19. Any particular difficulties which have arisen in the course of the case should be
addressed in a manner which is fair to both/all parties.
20. Where offences are said to have occurred within the home, the jury should be
alerted to the potential difficulties which a child may have perceived in reporting
matters: see Example 2 below.
21. Where grooming is alleged to have occurred, the concept of grooming and the
potential difficulties of a witness’ realisation and/or recollection of innocent
attention becoming sexual should be explained: see Chapter 20-3 Grooming of
children.
Legal Summary
1. For centuries it has been accepted that evidence of the accused’s good
character is admissible in criminal trials. In the modern era the courts have
accepted that good character evidence may admissible (i) to bolster the
accused’s credibility and (ii) as relevant to the likelihood of guilt. This has been
repeatedly accepted by the Court of Appeal, most prominently in Vye347 and by
the House of Lords in Aziz348 and by the 5 member Court of Appeal in Hunter.349
2. The words of Lord Steyn in Aziz should always be borne in mind: judges “should
never be compelled to give meaningless or absurd directions.” No direction
should be given if it is “an insult to common sense” or misleading.
3. Whenever a direction is given the judge must adopt an appropriate form of
words to convey the significance of the evidence of good character (for
examples of inappropriate word choice see Neumann350 and Green351).
4. In Hunter the Court states the principles derived from Vye 352and Aziz 353 by
which it remains bound.
“a) The general rule is that a direction as to the relevance of good character to
a defendant's credibility is to be given where a defendant has a good
character and has testified or made pre-trial statements [‘credibility limb’].
b) The general rule is that a direction as to the relevance of a good character
to the likelihood of a defendant's having committed the offence charged is to
be given where a defendant has a good character whether or not he has
testified or made pre-trial answers or statements. [‘propensity limb’]
c) Where defendant A, of good character, is tried jointly with B who does not
have a good character, a) and b) still apply.
d) There are exceptions to the general rule for example where a defendant
has no previous convictions but has admitted other reprehensible conduct
and the judge considers it would be an insult to common sense to give
directions in accordance with Vye. The judge then has a residual discretion to
decline to give a good character direction.
e) A jury must not be misled.
f) A judge is not obliged to give absurd or meaningless directions.” [68]
5. It is also important to note what Vye and Aziz did not decide:
“a) that a defendant with no previous convictions is always entitled to a full
good character direction whatever his character;
b) that a defendant with previous convictions is entitled to good character
directions;
c) that a defendant with previous convictions is entitled to the propensity limb
of the good character directions on the basis he has no convictions similar or
relevant to those charged;
d) that a defendant with previous convictions is entitled to a good character
direction where the prosecution do not seek to rely upon the previous
convictions as probative of guilt.
e) that the failure to give a good character direction will almost invariably lead
to a quashing of the conviction;” [69]
6. The Court offered guidance as to the approach to be adopted, identifying 5
categories relating to good character: see paragraph 10 below.
7. If defence advocates do not take a point on the character directions at trial and
or if they agree with the judge's proposed directions which are then given, these
are good indications that nothing was amiss. [98]
8. The Court noted, per curiam:
“as a matter of good practice, if not a rule, defendants should put the court on
notice as early as possible that character and character directions are an
issue that may need to be resolved. The judge can then decide whether a
good character direction would be given and if so the precise terms. This
discussion should take place before the evidence is adduced. This has
advantages for the court and for the parties: the defence will be better
informed before the decision is made whether to adduce the evidence, the
Crown can conduct any necessary checks and the judge will have the fullest
possible information upon which to rule. The judge should then ensure that
the directions given accord precisely with their ruling.”[101]
9. The above is now reflected in the CrimPR, Rule 21.4(8). This rule states that a
defendant who wants to introduce evidence of his or her own bad character
must give notice in writing or orally as soon as reasonably practicable but before
the evidence is introduced. Further, the defendant is required at the same time
to give notice in writing or orally of any direction about the defendant’s character
that the defendant wants the court to give to the jury under Rule 25.14.
10. Where there are co-Ds whose character may warrant a different direction from
that of the accused, two situations arise:
(1) If D1 merits a good character direction and D2 has a bad character (whether
the jury have heard about it or not) it is incumbent on the judge to direct the
jury about D1’s good character: Cain.354
(2) If D1 merits a good character direction and D2 does not qualify for a good
character direction (but nor has his bad character been revealed). There is a
Directions
11. All directions on this topic must be crafted in accordance with the law as set out
in the case of Hunter.355 Hallett LJ VP gave the judgment of the Court. In
paragraphs 76 to 88, from which the italicised passages below are citations, she
set out the need or potential need for directions as to good character in the
following five categories. The italicised passages in the paragraphs below are
quotations from the judgment in Hunter:
(1) Absolute good character: This category applies where "a defendant ... has
no previous convictions or cautions ... and no other reprehensible conduct
alleged, admitted or proven", whether or not the defendant has adduced
evidence of positive good character.
It is only in this category that there is a requirement upon the trial Judge to
give a full good character direction i.e. one containing both the "credibility
limb" (if D has given evidence or made an out of court statement on which D
relies) and the "propensity limb" (see paragraph 2(b) below). "The judge
must tailor the terms of the direction to the case before him/her, but in the
name of consistency, we commend the Judicial College standard direction
in the Crown Court Bench Book356 as a basis".
See Examples 1 and 2 below. Example 1 replicates this standard direction
verbatim. Example 2 and the subsequent examples use it as a basis.
(2) Effective good character: Where "a defendant has previous convictions or
cautions recorded which are old, minor and have no relevance to the
charge, the judge must make a judgment as to whether or not to treat the
defendant as a person of effective good character ... It is for the judge to
make a judgment, by assessing all the circumstances of the offence/s and
the offender, to the extent known, and then deciding what fairness to all
dictates... If the judge decides to treat a defendant as a person of effective
good character ...he/she must give both limbs of the direction, modified as
necessary to reflect the other matters and thereby ensure that the jury is not
misled”. See Example 3 below.
(3) Previous convictions/cautions adduced under [section 101(1)(b) CJA 2003]
by the defence:
"Defendants frequently adduce previous convictions or cautions ... which are
not in the same category as the offence alleged, in the hope of obtaining a
good character direction on propensity from the judge."
357See Bailey [2017] EWCA Crim 35 as to the continuing entitlement to a good character
direction in context of a bind over.
358
[2017] EWCA Crim 1774
359
[2017] EWCA Crim 1533. In this case the trial judge expressed that even the Krays once
had good character.
Example 3 [category (2) above]. D has spent convictions but the judge has
decided that D should be treated as someone of "effective good character".
You know / it is agreed that the defendant has two convictions for {specify}. These
offences, which are relatively minor, were committed more than 25 years ago
when D was still a teenager.
Because of their nature and age D is to be regarded as if he/she were a person of
previous good character.
This does not mean that D could not have committed the offence/s with which
he/she is charged but it should be taken into account in D’s favour in two ways:
First: D gave evidence and the fact that D is to be treated as someone of good
character is something that you should take into account when you are deciding
whether you believe D’s evidence.
Secondly: the fact that D is now {specify} years old and has not committed any
offence for over 25 years [if appropriate and has never committed any offence of
{specify}] may mean that it is less likely that D would have committed the offence/s
with which he/she is charged.
You should take the fact that D is to be regarded as a person of good character
into account in D’s favour in the two ways I have just explained. It is for you to
decide what importance you attach to it.
Example 4 [category (3) above]: D has introduced his/her previous
convictions because they are dissimilar to the charges which he/she faces at
trial. The judge decides to give a good character direction limited to the
propensity limb.
You know / it is agreed that D has convictions for offences of {specify}. D
introduced this evidence because D wanted you to know that he/she has never
been convicted of any offence involving {specify}.
How should you approach the fact that D has no previous convictions for any
offence similar to the charge he/she now faces? This is obviously not a defence to
the charge but it may make it less likely that D has committed an offence of
{specify}.
You should take this into account in D’s favour. It is for you to decide what
importance you attach to it.
Example 5: D is of good character; D has not given evidence but made an
out of court statement on which he/she relies; direction on credibility and
propensity limbs.
You know / it is agreed that the defendant has no cautions or convictions for any
criminal offence. The defendant is a man of previous good character.
This does not mean that the defendant could not have committed the offence/s
with which he/she is charged but the defendant’s good character is something you
should take into account in his/her favour in two ways.
First, although the defendant did not give evidence, the defendant did give an
account to the police when he/she was interviewed and the defendant relies on
that account in this case. You should take the defendant’s good character into
account when you are deciding whether you accept what he/she said in that
interview. Bear in mind however that this account was not given under oath or
affirmation and was not tested in cross-examination.
Secondly: the fact that D has not committed any previous offence may mean that it
is less likely that D would have committed the offence/s of {specify}.
You should take D’s good character in his/her favour in the two ways I have just
explained. It is for you to decide what importance you attach to it.
NOTE: It will be necessary to give the jury a direction at some stage of the
summing up about the inferences that may, or must not, be drawn from the
defendant's not having given evidence - see Chapter 17-5 below.
depending on the particular facts, be relevant not only to credibility but also to
propensity to commit offences of the kind with which the defendant is
charged.”
7. In every case the judge, when identifying the purpose for which evidence may
be used, should also identify any potential misuse of such evidence arising e.g.
from prejudice, and warn against such use.
8. Where the apparent weight of evidence admitted under these provisions comes
to be diminished in the light of other evidence, careful directions must be given
to the jury to assist them in assessing weight and deciding whether or not there
is real significance to the evidence.
9. Where evidence of D’s previous conviction/caution or sentence has been blurted
out in error, so not admitted under any of the “gateways” in s.101, it will be
usual, if the jury is not discharged, after considering the matter with the
advocates to direct the jury that it has no relevance to the issues before them
and to ignore it.
10. The Supreme Court in the case of Mitchell363 has addressed the issues for a jury
when they are considering disputed evidence of bad character going to the issue
of propensity: see Chapter 12-6 below.
Directions
1. In the case of disputed bad character evidence the jury must be reminded of the
evidence on both sides (whether it be prosecution and defendant or one
defendant and a co-defendant). The jury must also be carefully directed about
how to approach disputed evidence in relation to propensity: see Mitchell364 and
Chapter 12-6 below.
2. Where D has disputed that he/she is guilty of an offence of which D has been
previously convicted, where the conviction has been proved, it is to be presumed
that D committed that offence unless the contrary has been proved on the
balance of probabilities. See PACE s.74(3); C.365
3. In many cases evidence of bad character will have been admitted through more
than one gateway or have become relevant to more than one issue; in such
cases directions must be given in respect of all relevant matters in relation to
each gateway.
4. The issues to which the evidence is potentially relevant must be identified in
detail and the jury directed about the limited purpose(s) for which the evidence
may be used (explanatory of other evidence, relevant to an issue including
propensity or “hallmark”, rebutting a defence, credibility, correcting a false
impression etc.).
5. It is of equal importance to identify any purpose/s for which the evidence may
not be used.
6. The jury must be directed to decide the extent to which, if at all, the evidence
establishes that for which the party relying upon it contends (e.g. propensity/
credibility).
7. Depending on the nature and extent of the convictions or other evidence of bad
character, consideration should be given to a direction on the effect of the bad
character evidence on the credibility of D.
NOTES:
1. Examples of directions on the use to which evidence of bad character may and
may not be put are set out in further sections of this Chapter relating to specific
gateways.
2. In addition to directing the jury in the summing up, it may help them at the time
that the evidence is presented to tell them, in short form, of its relevance and the
purposes for which they may, and may not, use it.
Legal Summary
1. See the General Introduction at 12-1.
2. S101(1)(a) allows for evidence of bad character of a defendant to be admitted by
agreement between all the parties. Agreement can be tacit.366
3. Caution is required in admitting evidence under s.101(1)(a). Even in cases in
which the evidence is agreed, it is wise for the judge to seek clarification from
the advocates as to what is agreed, and for what purpose, so that the judge can
consider how best to direct the jury in summing up. In a multi-defendant case all
parties must agree to the admission of the evidence.367
4. Where the Crown invites D1 to agree his/her convictions under s.101(1)(a), D2
may be put in an awkward position.368 It is expected that advocates will draw to
the judge’s attention any agreed bad character.369 The matter of the uses to
which that can be put by the jury and how they are to be directed can then be
ventilated with advocates.
5. In some cases where bad character evidence has been admitted by agreement,
it will be capable of being used as “propensity evidence”. There must be a
careful direction by the judge on the possible uses to which the bad character
evidence can be put by the jury. Whether bad character evidence can be used to
show propensity will depend on the nature of the evidence, the nature of the
charge, the similarity of the bad character evidence with the nature of the
offence charged, and all the other relevant circumstances of the case.
Directions
6. Identify the evidence of bad character.
7. Whenever the court is told that bad character is to be admitted by agreement
there should be an enquiry before the evidence goes before the jury as to its
relevance. This will ensure the parties have considered all its implications and
enable the judge to have in mind all relevant aspects of the evidence for
summing up.
8. While evidence may be admitted by agreement the court retains duties of case
management: i.e. ensuring that any evidence that goes before the jury is
relevant to the issues and presented in the shortest and clearest way (preferably
in the form of Agreed Facts).
9. Agreed evidence of bad character will usually be evidence that would have been
admitted, if contested, through another gateway and the jury must be directed
accordingly: see the further sections of this Chapter.
10. Depending on the nature and extent of the convictions or other evidence of bad
character that have gone before the jury a direction as to the effect of the
evidence on D’s credibility may be required.
11. Where the evidence is relevant only to credibility, a direction should make it
clear that it would be wrong and illogical to consider that the fact that D has been
convicted or has behaved badly in the past means it is more likely that D did so
on this occasion.
12. It is also essential to review any directions by reference to Chapter 12-2:
Directions applicable to all CJA s.101(1) “gateways”.
Example
You have heard about D’s convictions/cautions/behaviour. This is/these are set out
in {paragraph no. of} the Agreed Facts and the Prosecution and Defence agree
that this is relevant evidence. There are certain ways in which you may use – and
others in which you must not use – this evidence.
[Here give appropriate directions, depending on the issues to which the evidence
is relevant: see other sections in this Chapter.]
Legal Summary
1. See the General Introduction at 12-1. A defendant who wants to introduce
evidence of his or her own bad character is required to give notice of that fact.370
2. Where the bad character evidence is admitted under s.101(1)(b) it may be used
by the jury for any purpose for which it is relevant.371
“In our judgment it would be inappropriate in a gateway (b) situation for a
defendant to have carte blanche to make such points as he wishes about his
previous record, without facing the possibility that his record does him no
favours where credibility is concerned”: Speed.372
3. When summing up, the judge’s task is to explain to the jury for what purpose the
evidence may, and may not, be used.373 The jury need careful direction on the
uses to which evidence of previous convictions admitted under s.101(1)(b) might
be put.374
4. In some instances, it may be inappropriate for the jury to use the evidence as
evidence going to credibility: Tollady.375 The guidance to the jury may need to
include: warning against the danger of placing undue reliance on the bad
character, that the evidence of bad character must not be used to bolster a weak
case, and that the jury must ignore the bad character if they thought the case
against D is a weak one. The jury should also be told that they should not
assume that D is guilty simply because of his/her bad character.
5. A D may choose to adduce evidence of his/her bad character irrespective of
whether or not a co-accused agrees.
6. Where evidence of bad character is not intentionally adduced by D (for example
it is blurted out in error) the jury must be directed to ignore the evidence unless it
is admissible under one or more of the other gateways.
Directions
7. Identify the evidence of bad character.
8. If D elects to adduce evidence of his/her own bad character that would otherwise
have been admissible through one of the other gateways of s.101(1) the jury
must be given directions on the use(s) to which the evidence may and may not
be put.
9. If D elects to adduce evidence of relatively minor bad character, for fear that the
jury might speculate that it was something worse, the jury must be directed that
they know about D’s convictions only so that they know about of the whole
background and, if appropriate, that the character evidence does not make it
more or less likely that D committed the offence.
10. If the evidence of bad character is minor and relates to matters of a completely
different character from that with which D is being tried, the judge has a
discretion, after consideration with the advocates, to give D the benefit of the
“propensity limb” of the good character direction: see Chapter 11.
11. Depending on the nature and extent of the convictions or other evidence of bad
character a direction as to the effect of the evidence upon D’s credibility may be
required.
12. Where the evidence is relevant only to credibility, a direction should make it
clear that it would be wrong and illogical to consider that the fact that D has been
convicted or has behaved badly in the past means it is more likely that D did so
on this occasion.
13. It is also essential to review any directions by reference to Chapter 12-2:
Directions applicable to all CJA s.101(1) “gateways”.
Example
D has told you of his/her convictions for {specify}. There are certain ways in which
you may use – and others in which you must not use – this evidence.
[Here give appropriate directions, depending on the issues to which the evidence
is relevant: see other sections in this Chapter.]
Legal Summary
1. See the General Introduction at 12-1.
2. Section 101(1)(c) allows for the bad character evidence of D to be adduced by
either the Crown or a co-accused where it is important explanatory evidence.
There is no requirement for the prosecution to satisfy the interests of justice test
under s.101(1)(3).
3. The gateway is a narrow one.376 S.102 provides that
“Evidence is important explanatory evidence if
(a) without it, the court or jury would find it impossible or difficult properly to
understand the other evidence in the case, and
(b) its value for understanding the evidence as a whole is substantial.” 377
Care is needed to avoid too readily admitting evidence under s.101(1)(c) that
ought to be admitted if at all under s.101(1)(d); “Gateway C is, we emphasise,
not a substitute for gateway D. It is not possible to dress up a failed case of
gateway D as gateway C.”378 The case of Leatham and Mallett379 provides a
helpful analysis of the correct approach when considering the admission of
evidence via this gateway. Care is also needed to avoid satellite litigation,
particularly since it may often be necessary for a jury to receive evidence
describing, perhaps in some detail, the context and circumstances.380
4. The overlap with s 98 of the Act (allowing evidence to do with the facts of the
alleged offence) should also be borne in mind.381 See also MckIntosh382 and
Lovell.383
5. This section is capable of applying to adduce evidence of previous gang feuds:
Okokono.384
6. The jury need more than simply a narration of the evidence. It is helpful to
address with advocates, as soon as the admissibility of the evidence is raised,
the question of how it is proposed that the bad character evidence is to be used
and how the jury is to be directed. Having an agreed account is helpful where
376 Gillespie [2011] EWCA Crim 3152; Lee [2012] EWCA Crim 316.
377 Emphasis added.
378 See D,P,U [2012] EWCA Crim [22] per Hughes LJ. “There is an inevitable tension
between admitting previous convictions of a defendant as important explanatory
evidence and not for propensity”: Frain [2007] EWCA Crim 397; D [2008] EWCA Crim
1156; Saint [2010] EWCA Crim 1924; See also Sheikh [2012] EWCA Crim 907
379 [2017] EWCA Crim 42
380 Sawoniuk [2000] 2 Cr App R 220.
381 See Lunkulu [2015] EWCA Crim 1350; Sullivan [2015] EWCA Crim 1565.
382 [2006] EWCA Crim 193.
383 [2018] EWCA Crim 19.
384 [2014] EWCA Crim 2521.
possible. Evidence admitted under gateway (c) is capable of being used by the
jury for any other purpose, and in some cases it will be necessary to give a
specific warning as to the ways in which the evidence might assist the
prosecution case.385
Directions
7. Identify the evidence of bad character.
8. Explain why the evidence is put before them e.g. how the defendant came to be
in prison or had contact with the complainant.
9. Explain any further purpose/s for which the conviction/s or reprehensible
behaviour may be used.
10. Depending on the nature and extent of the convictions or other evidence of bad
character a direction as to the effect of the evidence upon the defendant’s
credibility may be required.
11. It is also essential to review any directions by reference to Chapter 12-2:
Directions applicable to all CJA s.101(1) “gateways”.
Legal Summary
1. See the General Introduction at 12-1.
2. S.101(1)(d) allows for evidence of D’s bad character to be admitted where it is
relevant to an important matter in issue between D and the prosecution. One
way in which a matter can be an important matter in issue between them is
when the prosecution seeks to rely on the evidence of bad character to
demonstrate a propensity to commit the offence. But s.101(1)(d) is not restricted
to the admissibility of propensity evidence. Evidence of bad character may for
example be relevant to prove D’s presence or identity or to rebut coincidence,
without engaging propensity.
3. Where evidence is admitted as propensity evidence there are four sub-gateways
within s.101(1)(d):
(1) If it shows D has a propensity to commit “offences of the kind with which he
is charged”: s.103(1)(a).
(2) The prosecution may use s.103(1)(a) to show that the defendant has a
propensity to commit offences of the kind with which he/she is charged by
showing the defendant has previously committed an offence “of the same
description” as this offence.
(3) The prosecution may use s.103(1)(a) to show that the defendant has a
propensity to commit offences of the kind with which he/she is charged by
showing the defendant has previously committed an offence “of the same
category”
(4) S.103(2)-(5): Evidence of the defendant’s bad character is admissible if it
“shows he has a propensity to be untruthful”: s.103(1)(b).
4. In Hanson386 the Court of Appeal offered general guidance on the questions to
be addressed where propensity was sought to be established by previous
convictions:
(1) Does the history of conviction(s) establish a propensity to commit offences
of the kind charged?
(2) Does that propensity make it more likely that the defendant committed the
offence charged?
(3) Is it unjust to rely on the conviction(s) of the same description or category;
and, in any event, will the proceedings be unfair if they are admitted?
5. In Mitchell387, where propensity was sought to be established by disputed
evidence, the Supreme Court decided as follows [43]:
“The proper issue for the jury on the question of propensity in a case such as
Ngyuen and the present appeal is whether they are sure that the propensity
has been proved. In Ngyuen the only way in which they could be sure was by
being convinced that the sole incident said to show propensity had been
proved to the criminal standard. That does not mean that in cases where
there are several instances of misconduct, all tending to show a propensity,
the jury has to be convinced of the truth and accuracy of all aspects of each of
those. The jury is entitled to - and should - consider the evidence about
propensity in the round. There are two interrelated reasons for this. First the
improbability of a number of similar incidents alleged against a defendant
being false is a consideration which should naturally inform a jury’s
deliberations on whether propensity has been proved. Secondly, obvious
similarities in various incidents may constitute mutual corroboration of those
incidents. Each incident may thus inform another. The question impelled by
the Order is whether, overall, propensity has been proved.”
6. Other evidence of bad character, e.g. coincidence was not considered in
Mitchell. The fact of and/or extent of coincidence remains to be considered by
the jury as set out in Chapter 13 paragraph 4(1) below.
7. Section 101(1)(d) is not limited to propensity: Richardson388 Cambridge389
8. Bad character ought not to be adduced under s 101(1)(d) to bolster a weak
case: Darnley390 McDonald,391
9. The sentence for the earlier conviction is not usually helpful in determining
admissibility: Nelson.392
10. There is no minimum number of events necessary to demonstrate a propensity:
Hanson; Brown,393 Burdess,394 cf Bennabou.395
11. Large numbers of convictions can be admitted under this gateway provided they
are relevant to a matter in issue and the judge has considered the potential
unfairness: Blake.396
12. Particular care is needed with hazardous evidence such as identification
evidence: Dossett,397 Eastlake,398 Ngando,399 Howe400
13. Incidents which have occurred since the incident which is currently the matter of
trial may be admitted under s 101(1)(d): Adenusi;401; Imiela;402 A 403
14. Particular care is needed in cases where bad character evidence of indecent
image possession is relied on as evidence in sexual contact offences: D,P,U
[2012] 1 Cr App R 8, where Hughes LJ stated:
“... Possession of child pornography may, depending on the facts of the case,
demonstrate a sexual interest in children which can be admissible through
gateway D upon trial for offences of sexual abuse of children. It will not
always be so. There may be a sufficient difference between what is viewed
and what is alleged to have been done for there to be no plausible link." The
Court of Appeal accepted that it would have been preferable if the details of
the offences had been available, but concluded that since V was an immature
teenager known to L since he was aged 9, L would have regarded him as a
child. The images showed L’s sexual interest in children and they were
potentially relevant under 101(1)(d).”
Directions
15. Identify the evidence of bad character.
16. If there has been an explanation of it by the defence so that the conclusions to
be drawn from it are disputed, identify the differences and their consequences.
17. Identify in detail the issue/s to which the evidence is and is not potentially
relevant e.g. propensity, credibility, identity.
18. Direct the jury that it is for them to decide to what extent, if any, the evidence
helps them to decide the issue/s to which it is potentially relevant.
19. Depending on the nature and extent of the convictions or other evidence of bad
character that have gone before the jury a direction as to the effect of the
evidence upon D’s credibility may be required.
20. If the evidence is exclusively within the limits of s.101(1)(d) the jury should be
warned against prejudice against D or over reliance on evidence of bad
character and that they must not convict D wholly or mainly on the basis of
previous convictions or bad behaviour. If the evidence is in reality “hallmark”
evidence and directly relevant to the issue in the case a warning not to convict
wholly or mainly in reliance upon it would be inappropriate.
21. On a multi-count indictment, the issue of cross admissibility should be
considered: see Chapter 13.
22. It is also essential to review any directions by reference to Chapter 12-2:
Directions applicable to all CJA s.101(1) “gateways”.
to the charge which D faces, when deciding whether you are sure W was
assaulted on {specify day of charge}.
You must not convict D wholly or mainly on the evidence of what, if anything, you
find D has done in the past. The fact that someone has behaved this way in the
past does not prove he/she did so on this occasion but you may use it as some
support for the prosecution case.
view of (a) how much of a coincidence it is that the person identified as the burglar
in this case has {e.g. committed burglaries on the same street in the past} and (b)
the defence point about the number of other people who have {e.g. committed
burglaries on this street}.
D’s previous convictions may only be used as some support for the prosecution
case. You must not convict D wholly or mainly because of them.
Legal Summary
1. See the General Introduction at 12-1.
2. CJA 2003, s.101(1)(e) allows one defendant (hereafter D1) to adduce evidence
of the bad character of another defendant (hereafter D2) if that evidence has
“substantial probative value in relation to an important matter in issue between”
them. This will usually arise when the defendants are engaged in “cut-throat”
defences. The approach to admissibility is set out clearly in Phillips.404 The test
for admissibility is quite different from that under s.101(1)(d), and there is no
discretion to exclude the evidence if the conditions of s.101(1)(e) and s.104 are
satisfied.
3. Evidence that can be adduced under s.101(1)(e) is not limited to evidence
directly suggesting that D2 is more likely to be the offender (e.g. evidence of
D2’s previous convictions for similar behaviour). It can include evidence that
undermines D2’s credibility where that is an important matter in issue,405 even
though the bad character evidence against D2 does not establish a propensity
for untruthfulness.
4. Where the sole purpose of the evidence is to balance D2’s attempt to undermine
D1’s case the direction can be given quite shortly.406 In Phillips Pitchford LJ
explained:
“The judge has a responsibility to explain to the jury the issues upon which the
evidence was relevant and the need for a sequential approach to it: (i) Is it
true? (ii) Does it establish the propensity claimed? (iii) Does it assist in
resolving the issues between the defendants? (iv) Does a resolution of the
issue between the defendants assist the jury to reach their decision as to guilt
of one or other or both of them. It does not seem to us that the admission of
the pre-indictment evidence would have resulted in unfairness to the co-
accused”
5. In Passos-Carr407 the Court of Appeal accepted that:
“in an appropriate case, evidence of propensity to be violent can be evidence
of substantial probative value as to issues between two defendants in a cut
throat case where two defendants blame each other.” However considerable
care will be needed not to confuse the jury.408
404 [2011] EWCA Crim 2935. See also Daly [2014] EWCA Crim 2117.
405 Lawson [2006] EWCA Crim 2572; Rosato [2008] EWCA Crim 1243.
406 Rosato [2008] EWCA Crim 1243 at para.26.
407 [2009] EWCA Crim 2018.
408 Najib [2013] EWCA Crim 86.
Directions
7. Identify the evidence of D2's bad character.
8. If the evidence is relied on by the prosecution as part of their case against D2
the jury must be sure that it establishes the matter contended for: see Chapter
12-6 above.
9. In the case of D1:
(1) it is for the jury to decide to what extent if at all the evidence demonstrates
that it is more likely than not that the matter in issue is true (e.g. whether D2
has a propensity to commit offences of the type charged or to be untruthful);
(2) the jury should be warned against prejudice against D2 arising from the
evidence and against over-reliance on it; and directed that they must not
convict D2 on the basis of it; and
(3) depending on the nature and extent of the evidence, there may have to be a
direction as to the effect of the evidence on D2's credibility.
10. The direction is likely to be complex, should be discussed with the advocates
before it is given, and should be provided to the jury in writing.
11. It is also essential to review any directions by reference to Chapter 12-2:
Directions applicable to all CJA s.101(1) “gateways”.
When considering D1’s case you will have to decide whether the evidence of past
assaults by D2, when taken in the round, establishes that D1 has or may have a
tendency to use unlawful violence. If you find that D2 has, or may have such a
tendency you may use this as support for D1's case that the offence was
committed by D2 alone and that D1 was not involved.
When considering the case against D2 the position is different. In D2’s case you
must decide whether you are sure that the evidence of past assaults, when taken
in the round, proves that D2 has a tendency to use unlawful violence. If you are
sure that it does show that D2 has such a tendency, you may use it as support for
the case against D2.
The amount of support provided by any such tendency is for you to decide. You
must remember that such a tendency would only form part of the evidence. You
must not convict D2 wholly or mainly because of it or allow it to prejudice you
against him/her.
Finally, if you are not sure that D1 has a tendency to use unlawful violence then
this is of no relevance and you must ignore it.
NOTE: If D1 is otherwise of good character see also Chapter 11 Good Character:
Directions paragraph 14 and Example 7.
Legal Summary
1. See also the General Introduction at 12-1 above.
2. CJA 2003, s.101(1)(f) governs the admissibility of bad character evidence by the
prosecution against D to correct a false impression D has sought to create in
interview, under caution, or in evidence by D him/herself or by another at the
invitation of the defence.410 Merely denying the offence will not trigger
s.101(1)(f). Section 101(f) only applies if D has given a false impression:
Rahim.411
3. For the purposes of s.101(1)(f) the question whether the defendant has given a
“false impression” about him/herself, and whether there is evidence which may
properly serve to correct such a false impression within s.105(1)(a) and (b) is
fact-specific.
4. Section412 105(3) allows D to avoid being deemed responsible for a relevant
assertion “if, or to the extent that, he withdraws it or disassociates himself from
it,” but merely by conceding in cross-examination that he/she had lied, a
defendant did not dissociate him/herself.413
5. Particular care will be needed if the admission of evidence under s.101(1)(f)
might impact on a co-accused.414
6. Recent examples include Verdol;415 Garrett;416 Ovba.417
Directions
7. Identify the evidence of bad character.
8. If there has been an explanation of it by the defence so that the conclusions to
be drawn from it are disputed, identify the differences and their consequences.
9. Identify in detail the issue(s) to which the evidence is and is not potentially
relevant. Since the evidence has been admitted to correct a false impression this
is likely to include a direction as to the effect upon credibility.
10. It is also essential to review any directions by reference to Chapter 12-2:
Directions applicable to all CJA s.101(1) “gateways”.
410 CJA 2003, s.105. see e.g. Verdol [2015] EWCA Crim 502.
411 [2013] EWCA Crim 2064.
412 Renda [2005] EWCA Crim 2826 para.19.
413 Renda [2005] EWCA Crim 2826.
414 Hickinbottom [2012] EWCA Crim 783.
415 [2015] EWCA Crim 502.
416 [2015] EWCA Crim 757.
417 [2015] EWCA Crim 725.
Legal Summary
1. See also the General Introduction at 12-1 above.
2. CJA 2003, s.101(1)(g) allows for the Crown to adduce evidence of a defendant’s
bad character where the defendant has attacked the character of another person
whether by statements made in interview or by asking questions in cross-
examination intended or likely to elicit such evidence or by giving evidence.
Admissibility is subject to the discretion in s.103. If the attack made by D
(particularly if made in interview) is on the character of a non-witness who was
also a non-victim it would be unusual for evidence of D’s bad character to be
admitted.418
3. It may be that evidence is admitted under gateway (g) which the Crown had
initially unsuccessfully sought to adduce under gateway (d), but which becomes
admissible because of the way the defence is run. Once the evidence is
admitted, it might, depending on the particular facts, be relevant not only to
credibility but also to propensity to commit offences of the kind with which the
defendant was charged.419 The jury will need careful direction on the uses to
which it may be put.
4. If the evidence is relevant only to credibility, that needs to be made clear. If the
evidence is relevant to a matter in issue between the Crown and defence other
than credibility (e.g. propensity) the jury will need to be directed accordingly. In
Lafayette420 the Court of Appeal explained:
“In many cases at least some of the bad character evidence admitted under
gateway (g) will also be admissible under gateway (d) and thus entitle the
judge to give a propensity direction (see Highton [2005] EWCA Crim 1985).
What is the position to-day if the evidence which is admissible under gateway
(g) is not admissible under gateway (d) to show propensity? For example,
what should the judge say if the evidence under gateway (g) showed only
previous convictions for offences of dishonesty and/or drugs offences and/or
offences of violence, from any of which the jury would not be entitled to
conclude that they showed on the part of the defendant a propensity to
commit the kind of offences with which he is charged? We think that the better
course is for the direction to be so fashioned in a “gateway (g) only case” that
the jury understand that the relevance of these kinds of previous convictions
goes to credit and they should not consider that it shows a propensity to
commit the offence they are considering, at least if there is a risk that they
might do so. That is not to say that the words “credit” and “propensity” should
be or need to be used.”
Directions
5. Identify the evidence of bad character.
6. If there has been an explanation of it by the defence so that the conclusions to
be drawn from it are disputed, identify the differences and their consequences.
7. Direct the jury that where a defendant makes an attack upon another person’s
character the jury are entitled to know of the character of the person making the
attack so that they can have all the information about that person and the
defendant when deciding where the truth lies.
8. It is also essential to review any directions by reference to Chapter 12-2:
Directions applicable to all CJA s.101(1) “gateways”.
Legal Summary
1. The admissibility of evidence of a non-defendant is governed by CJA 2003,
ss.98 and 100.
2. Where evidence of the non-defendant’s behaviour is to do with the facts of the
alleged offence or misconduct in the investigation, it can be admitted under s.98
even if the behaviour amounts to bad character. Otherwise evidence of bad
character of a non- defendant is admissible only under s.100. There are 3
gateways:
(1) by agreement between the parties;421
(2) where the bad character evidence is important explanatory evidence; 422
(3) where the bad character is of substantial probative value in relation to
matter which
(a) is a matter in issue in the proceedings and
(b) is of substantial importance in the context of the case as a whole423
having regard to s.100(3).
3. This final gateway allows for evidence to be adduced which goes to the issue
(e.g. D accused of ABH claims he/she was acting in self-defence against V’s
aggression and adduces V’s record for violence) or where it goes to the non-
defendant’s credibility alone.424 The types of evidence adduced as bad character
ought to be strictly monitored. Rarely will mere allegations as opposed to
convictions or cautions be admitted.425 That is not to say that such material will
never be admissible. It is of course vital to assess to what issue the bad
character is relevant: Luckett.426
4. In determining whether allegations of bad character against a non-defendant are
sufficiently probative to be admitted regard should be had to the likely difficulty
the jury would face in understanding the remainder of the evidence if such
allegations against a non-defendant were adduced.427
421 Such agreements should be drawn to the attention of the judge: Johnson [2010] EWCA
Crim 385.
422 This is a narrow gateway when read in conjunction with s.100(2). S.100(2) “without it...the
jury would find it impossible or difficult properly to understand other evidence in the case,
and its value for understanding the case as a whole is substantial.
423 Garnham [2008] EWCA Crim 266.
424 The test to be applied in such cases is set out in Brewster [2010] EWCA Crim 1194. See
Directions
7. Identify the evidence of bad character.
8. Identify the issue/s to which the evidence is potentially relevant.
9. The jury should be directed that it is for them to decide the extent to which, if
any, the evidence of bad character of the non-defendant assists them in
resolving the potential issue/s.
10. Depending on the nature and extent of the convictions or other evidence of bad
character, there may need to be a direction as to the effect on the credibility of
the person if he/she was a witness.
Example
You have heard that W has convictions for offences of violence namely {specify}.
You heard about W’s convictions because D claims that it was W who started this
incident and says that W’s convictions support this.
The fact that W has these convictions does not mean that W must have used
unlawful force on this occasion but it is something that you may take into account
when you are deciding whether or not the prosecution have made you sure that it
was D, and not W, who started the violence and that D’s use of force was unlawful.
428 Important changes have been made to the CrimPD and CrimPR which require a judge to
hold a GRH in any case where a s.41 application is made. CrimPD V Evidence 22A provides
detailed guidance as to the correct approach and the revised CrimPR 22 identifies the
timescale in which applications must be made.
429 Cited in Campbell [2007] EWCA Crim 1472 para. 20; Kelly [2008] EWCA Crim 1456.
Legal Summary
1. If the indictment against D comprises more than one count the issue may arise
as to whether the evidence relating to one count is “cross admissible” in relation
to another, and if so to what uses it may legitimately be put by the jury.
2. Cross admissibility is not an appropriate term to describe the admissibility of
evidence from a previous incident that does not form part of the indictment.430
3. CJA 2003 s.112(2) provides: “Where a defendant is charged with two or more
offences in the same criminal proceedings, this Chapter (except s.101(3)) has
effect as if each offence were charged in separate proceedings; and references
to the offence with which the defendant is charged are to be read
accordingly.”431
4. The leading authority is Freeman and Crawford432 which confirms that evidence
may be cross admissible in one or both of the following ways433
(1) “(1) The evidence may be relevant to more than one count because it rebuts
coincidence, as for example, where the prosecution asserts the unlikelihood
of a coincidence that separate and independent complainants have made
similar but untrue allegations against the defendant. The jury may be
permitted to consider the improbability that those complaints are the product
of mere coincidence or malice (i.e. a complainant's evidence in support of
one count is relevant to the credibility of another complainant's evidence on
another count-an important matter in issue: s.101(1)(d))”; and/or
(2) “The jury may be sure of the accused's guilt upon one count and if, but only
if, they are also sure that guilt of that offence establishes the accused's
propensity to commit that kind of offence, the jury may proceed to consider
whether the accused's propensity makes it more likely that he committed an
offence of a similar type alleged in another count in the same indictment
(evidence of propensity: s.101(1)(d) and s.103(1)(a)).”
5. In both categories the evidence which is being adduced is evidence of bad
character against the defendant under CJA 2003, s.101434 : see Chapter 13.
6. Whichever approach is employed, the jury must reach separate verdicts on each
count and for each defendant.
Directions
11. The terms 'coincidence approach' and 'propensity approach' are used here in
the sense explained in the Legal Summary above.
12. In any case in which a cross-admissibility direction is contemplated, it is
essential to discuss with the advocates in the absence of the jury and before
closing speeches the need for and form of any such direction. While the
Examples in this chapter are expressed as oral directions, the jury will inevitably
be assisted by some form of written direction.
13. In a 'coincidence approach' case, the jury should be directed as follows:
(1) They must consider each count separately.
(2) However, the prosecution rely on similarities between the evidence of the
complainants [identify the similarities].
(3) If the complainants have or may have concocted false accusations against
D, any such similarities would count for nothing, and the jury should reject
each complainant’s evidence.
(4) If there was no concoction but a complainant had or may have learned what
the other/s had said or were going to say about D, and had or may have
been influenced by this, consciously or unconsciously, when making his/her
own accusations, any such similarities would count for nothing, and the jury
should take this matter into account when deciding how far they accept the
evidence of the complainant concerned.
(5) If the jury are sure that there has been no such concoction/influence they
should consider how likely it is that two (or more) people would,
independently of each other, make similar accusations and yet both/all be
lying / mistaken. If the jury thought this unlikely they could, if they thought it
444See the case of R v Gunning [2018] EWCA Crim 677. The Court of Appeal confirmed
that R v M(H) (supra.) did not positively forbid the giving of both limbs in an appropriate case
but that it would be a rare case where both limbs would be given. In Gunning, it was
appropriate for both limbs to be left because the evidence on one count was considerably
stronger than the other.
only part of the evidence against D on that count, and you must not convict D
wholly or mainly on the strength of it.
The second way in which the evidence on one count might support the
prosecution's case on the other is this. The prosecution also rely on similarities
between the allegations made by V1 and V2, [Set out the similarities e.g. in
relation to the nature, circumstances, periods of time and locations of the alleged
offences.]
D claims that the allegations are similar because V1 and V2 have got together to
make up false accusations against him/her. If you decide that this has or may have
happened, the similarities would obviously count for nothing, and you would reject
the evidence of both V1 and V2.
Even if you are sure that V1 and V2 have not made up false allegations together,
you should consider whether either V1 or V2 might have learned what the other
was saying about D and have been influenced, knowingly or unknowingly, when
making his/her own allegations. If you decide that this has or may have happened,
the similarities between that complainant's evidence and the evidence of the other
complainant would not take the prosecution's case any further, and you would
have to take any influence of that kind into account when deciding how far you
accepted that complainant's evidence.
However, if you are sure that there has been no such concoction or influence, you
should consider how likely it is that two people, independently of each other, would
make allegations that were similar but untrue. If you decide that this is unlikely,
then you could, if you think it right, use V1's evidence as support for the evidence
of V2. For the same reason, if you had not already reached a conclusion on count
1 on the basis of the evidence of V1 and V1’s foster carer, you could use the
evidence of V2 as support for their evidence.
When deciding how far, if at all, the evidence of each complainant supports the
other, you should take into account how similar in your opinion their allegations
are. This is because you could take the view that the more similar independent
allegations are, the more likely they are to be true.
14. HEARSAY
14-1 Hearsay – General
ARCHBOLD 11-1; BLACKSTONE’S F16.1 and F17.1
Legal Summary
1. A hearsay statement does not have to be verified from an independent source in
order to be admissible. The task of the judge is therefore not to look for
independent verification that it is reliable. The task of the trial judge in examining
the appropriate statutory route to admissibility is to consider whether there is
enough evidence on which a jury could be satisfied that the hearsay is reliable.
Although it is permissible to rule a hearsay statement admissible and give
reasons later in the trial, the detailed ruling should be given before counsel make
their speeches so that they can tailor their submissions accordingly.445
2. The task of the jury is to assess the probative value (weight) and reliability of
evidence admitted as hearsay. The Court of Appeal has on several occasions
reminded judges of the need for care in crafting directions in order to ensure that
hearsay evidence is considered fairly and that the jury are warned about the
limitations of such evidence. The strength of the warning depends on the facts of
the case and the significance of the hearsay evidence in the context of the case
as whole. In general a warning should be given prior to the hearsay evidence
being adduced as to what have been described as the three key limitations of
such evidence namely: the inability of the jury to assess the demeanour of the
witness; the fact that the statement was not made on oath and the lack of any
opportunity for the evidence to be tested on oath. The warning should be
repeated in the summing up.446
3. When summing up the judge should not refer to the statutory provisions under
which hearsay came to be admitted; and whereas in many cases it is possible
for the jury to know the reason for admitting the evidence (e.g. a witness has
died) or the reason why a witness could not be expected to remember the
information recorded, in some cases (e.g. fear) generally this cannot be done.
4. Any consideration of hearsay should encompass the learning to be found in the
judgment in Riat & Ors447 which is essential reading in this field.
Directions
5. Directions should include the following:
(1) Whether the evidence is agreed or disputed and, if disputed, the extent of
the dispute.
(2) The source of the evidence should be identified (e.g. a deceased witness or
business records) and the jury reminded of any evidence about the maker of
the statement so that they may be assisted in judging whether the witness
Legal Summary
1. Section 116 governs admissibility of first hand hearsay statements (i.e. those
which the absent witness could have made if testifying) from identified witnesses
who do not testify for one of the specified reasons: the witness (a) is dead, (b) is
unfit to be a witness, (c) is outside the UK and it is not reasonably practicable to
secure attendance, (d) cannot be found after reasonable steps have been taken
or (e) it is in the interests of justice to admit the statement from a witness who,
through fear, has either not testified at all or not testified on the matter in his/her
or statement. The witness must have been competent at the time of making the
statement: s 123
2. Admissibility in such cases is also dependent on other safeguards including
checks on the likely reliability of the evidence and the means by which the jury
can assess its reliability.449 S.114(2) provides a checklist for the judge to use
when (a) considering the admissibility of the evidence and (b) if it is admitted,
identifying factors to the jury for their consideration in their determination of the
reliability of the evidence and the weight it deserves (although, when addressing
the jury, reference to the section is not desirable). The provision of the reasons
for a ruling as to admissibility should be undertaken prior to speeches in order
that the parties can understand how the jury may be directed as to their
approach to the evidence in advance of that stage450.
3. Some recent examples of the application of the relevant principles can be found
in Sylvester451 (fact that W attends voire dire to explain why they were too
frightened to give evidence did not mean the judge was wrong to admit the
account as hearsay under s.116(2)(e)); Jurecka452 (proper exercise of discretion
to admit evidence under s.116(2)(b) of witness too ill to attend court where judge
reached the decision by reference to the s.114 factors).
4. The section does not permit evidence from unidentified witnesses. Nor does
s.116 provide for the admissibility of multiple hearsay.
5. Care is needed to ensure that prejudice does not arise from any assumption that
the defendant is the cause of the absence of the witness. This may be especially
true of cases in which the witness cannot be found or is in fear. It will not be
appropriate to disclose the reason for the absence of the witness unless the
defendant has introduced that in evidence.453 S.116 applies in cases of
frightened witnesses who do not testify at all and in cases of witnesses who do
not, through fear, testify in connection with the subject matter of the statement.
In the latter case, particular care is needed to avoid prejudice. In exceptional
1988.
454Hamberger [2017] EWCA Crim 273: Subject to the limitation in s 128(20) that nothing in
the Act allows for confession evidence to be admitted otherwise than under s.128(1).
Legal Summary
1. CJA 2003 provides several exceptions by which hearsay statements can be
admitted when a witness does not testify. The statute provides the relevant
criteria for admissibility in such cases.
2. Section 117 governs the admissibility of documentary statements created or
received in the course of a trade or business.
3. In many cases there will be no need for a statutory reason for the absence of the
witness; it is sufficient that the statement was created/received in the trade or
business. “Business records are made admissible . . . because, in the ordinary
way, they are compiled by people who are disinterested and, in the ordinary
course of events, such statements are likely to be accurate; they are therefore
admissible as evidence because prima facie they are reliable”: Horncastle.455
4. In other cases (where the document was prepared for the purpose of pending or
contemplated proceedings other than evidence obtained from overseas) the
witness must be absent for one of the statutory reasons specified in s.116(2)
[see above] or the witness cannot reasonably be expected to have any
recollection of the matters dealt with having regard to the time since the
statement was made. The section does not specify that the source of the
statement needs to be identified (cf. s.116).
5. Admissibility in such cases is also governed by other safeguards including a
requirement that the maker of the statement was competent at the time it was
made (s.123(2)); checks on the likely reliability of the evidence 456and the means
by which the jury can assess its reliability.457
6. S.117 may lead to statements being admitted which involve multiple hearsay,
provided each person through whom the information was supplied received it in
the course of a trade or business (s.117(2)(c))458. In such a case the jury will
need a warning regarding the special care appropriate to such statements. The
jury may need to be reminded of the different status of the s.117 statements
from other non-hearsay documentary evidence they have received.
Directions
7. The judge should identify for the jury:
(1) whether the evidence is agreed or disputed and, if disputed, the extent of
the dispute;
(2) the source of the evidence should be identified and the jury should be
reminded of any evidence about the maker of the statement so that they
may be assisted in judging whether the witness was independent or may
have had a purpose of his/her own or another to serve;
(3) any other evidence which may assist the jury to judge the reliability of the
evidence e.g. any mistakes that had been found elsewhere in the business
records or information as to the circumstances in which the statement was
made;
(4) the difficulties, if any, which the other side may have in challenging or
rebutting the evidence.
Legal Summary
1. Hearsay evidence can be admitted by agreement between the parties under
CJA 2003 section 114(1)(c).
2. The jury needs to be directed as to the approach they should take and the use
they can make of the evidence.459 Brown:460
3. In many cases under s.114(1)(c) it will be possible for the jury to know the
reason for the non-availability of a witness or the reason why a witness could not
be expected to remember the information recorded.
Legal Summary
1. Section 114(1)(d) allows for any hearsay statement to be admitted where it is in
the interests of justice. In ruling on admissibility regard should be had to461 the
factors listed in s. 114(2) and any other relevant circumstances. Those factors
will also be useful when identifying factors for the jury to consider in their
determination of the reliability of the evidence and the weight it deserves
(although reference to the sections is not desirable).
2. The breadth of the subsection means that it has the potential to apply in a very
diverse range of circumstances. In some the witness will be absent. In such a
case the jury will need to be warned against speculating as to the reason for
absence.
3. In other cases the witness may be present and testifying, but the hearsay
adduced under s.114(1)(d) is supplementing that account.462
4. S.114(1)(d) may, in an appropriate case, lead to statements being admitted of
accusation by one defendant against another, see Burns and Brierly463.
Particular care will be needed in directing the jury in such cases.464
5. S.114(1)(d) does not permit anonymous hearsay to be adduced.465
6. If multiple hearsay is involved, see Chapter 14-16.
Legal Summary
1. Under CJA 2003 previous inconsistent statements may be admissible, not only
to show inconsistency but to prove the truth of the facts stated.
2. Under s.119(1)(a) if “a person gives oral evidence and – (a) he admits making a
previous inconsistent statement, … the statement is admissible as evidence of
any matter stated of which oral evidence by him would be admissible.” W must
give some evidence, and secondly, W must admit the inconsistency (though not
necessarily accepting the truth of the earlier account). If W claims simply to have
“forgotten”, but refuses to admit the making of the earlier statement, s.119(1)(a)
is not applicable. Although in such circumstances W might have satisfied the
common law test of hostility, the terms of s.119(1)(a) are not met.
3. The Court of Appeal has repeatedly stated that if evidence is admitted under s.
119, the jury must be given a proper warning as to how to approach this
material: Bennett and another.466
4. Under CJA 2003, a statement retracted by a witness, even a hostile witness [see
Chapter 15-7 below], could be evidence of its truth: s.119. It is for the jury to
determine whether its contents and the circumstances in which it was made
were such that it could safely be relied upon, notwithstanding its retraction.
5. In a rare case where the jury retire with the documentary evidence of the earlier
statement, they should be directed not to place undue weight on that by
comparison with the other evidence. 467
Directions
6. The inconsistency and W’s final position (either agreement or disagreement with
the statement) should be identified in the course of the review of the evidence.
7. The jury should consider whether a particular inconsistency is significant. If they
find that it is not significant they should ignore it.
8. If they find that it is significant, they should consider whether they accept the
explanation (if any) which the witness gave for the inconsistency. If they accept
the explanation, then the inconsistency is unlikely to affect their view of the
reliability of W’s evidence (as a whole or on this point, depending on the nature
and extent of the inconsistency).
9. If they do not accept any explanation given by W, then they should consider
what effect this has on their view of the evidence of W (as a whole or on this
point, depending on the nature and extent of the inconsistency).
10. It is entirely for the jury to decide the extent to which any inconsistency in W’s
evidence affects their judgement of his/her reliability.
11. Those parts of the statement which were introduced in the course of W’s
evidence form part of the evidence in the case. The jury do not have to accept
either the account given by the witness in the witness box or the account given
in the statement but if they find that what W said in the statement is [or if relied
on by the defence, may be] true/accurate and what W said in the witness box is
not they are entitled to rely on what W said in the statement rather than what W
said in the witness box – and vice versa.
12. It is helpful to explain to the jury that they do not have the statement (subject to
the provisions of s.122 CJA) and the reason for that: namely that if they have
that part of the evidence in writing it may, albeit unwittingly, be given undue
prominence.
Example
What W said about {specify} (a) when W was in the witness box and (b) in the
witness statement about which W was cross-examined is all evidence. But it is
obvious that these things are different.
It is for you to decide how different they are and whether or not this is important. If
you decide that the differences are not important, then you should ignore them.
But if you think that the differences are important you should consider the reason
W gave for his/her inconsistency, namely {specify e.g. his/her memory was fresher
at the time he/she made the statement and it is the statement which is correct and
true}.
If you are sure that the explanation W gave for his/her inconsistency is valid, you
may accept what W said in {specify either the evidence given in the witness box or
the witness statement, depending on the circumstances}. But if you reject W’s
explanation or you are not sure that it is true you should treat both what W said in
his/her statement and what W said in the witness box with caution. If, having done
so, you are sure that one of these two versions of events is accurate, then you
may take it into account when you are deciding whether {specify e.g. D is guilty, D
did/said …}. If you are not sure whether either version is accurate, then you should
not take either into account.
You do not have a copy of W’s witness statement. This is because you do not
have a copy any other witness’s statement, and it is important not to single out W’s
evidence by having W’s statement.
[If the jury have a/part of W’s witness statement (as an exhibit): The fact that you
have W’s evidence/part of W’s evidence in writing does not make it any more or
less important than any other evidence in the case.]
Legal Summary
1. Under CJA 2003, s.119, a previous statement made by a hostile witness is
admissible as evidence of its truth.
2. The section is only triggered if: the witness gives oral evidence, is proved to be
hostile (applying the common law test of hostility in Gibbons468) and has
previously made a statement which is now proved to be inconsistent (under the
Criminal Procedure Act 1865)469.
3. For s.119(1)(b) to apply to a witness who has “forgotten” W must be (i) adjudged
to be hostile and (ii) the party calling W must be able to show an inconsistent
statement.
4. Where a witness has given evidence in examination in chief, his/her earlier
inconsistent statement(s) may be put in cross examination. If W declines to
answer questions in cross examination, s.119(1)(b) applies and the previous
inconsistent statement can be put to the witness under ss.4 or 5 of the 1865
Act.
5. The judge retains a discretion to exclude any s.119 statement relied on by the
Crown (PACE, s.78) and by the defence (CJA 2003, s.126).
6. The importance of judicial guidance to the jury as to the use to which any
previous inconsistent statement/s may be put was also emphasised in Croft470
and Coates.471 The burden of proof must be reflected in the direction. Billingham
and Billingham,472
7. In a rare case where the jury retire with the documentary evidence of the earlier
statement, they should be directed not to place undue weight on that by
comparison with the other evidence. 473
Directions
8. The jury should be reminded of any particular features of the way in which W
came to give his/her second account in the witness box {e.g. obvious
unwillingness to answer questions}.
9. They should be directed that they heard about the (first) statement that the
witness made {e.g. to the police/defence solicitor} because although the witness
was called by one party on the basis of what he/she said in that statement the
evidence which the witness gave did not support their case but effectively
supported the case of the other/another party. By saying one thing in the
statement and another/the opposite in the witness box the witness effectively
changed sides.
10. Both what the witness said in the witness box and what the witness said in the
statement are evidence for the jury to consider and it is for them to decide what,
if anything, of that witness’ evidence they accept.
11. They should take account of the witness’ change of account and any explanation
the witness gave for it when considering his/her reliability as a witness. It is for
them to judge the extent and importance of any change and what the
significance of that is although, in reality, for a witness to have been turned
hostile the change must have been significant.
12. They jury are entitled, depending on what they make of the witness’ change and
any reason the witness gave for it, not to rely on any of the witness’ evidence at
all, but if after careful consideration they are sure that what the witness said,
either in the statement or when he/she was in the witness box, was (or in the
case of a defence witness, was or may have been) true, they may take account
of it in reaching their verdict/s.
13. It is good practice to explain to the jury that they do not have the statement
(subject to the provisions of s.122 CJA) and the reason for that: namely that if
they have that part of the evidence in writing it may, albeit unwittingly, be given
undue prominence.
Example
Although the {prosecution/defence} called W to give evidence, the evidence W
gave did not support their case. Because of this the {prosecution/defence) were
allowed to cross-examine W to show that W had previously said something that
was different from what W said in court. In effect, W has changed sides.
You should look at everything that W said when he/she gave evidence and
remember how W reacted when W was reminded of what he/she had said
originally and the reason/s W gave for changing his/her story.
Because W has given two different versions, you must look at all that W said with
caution.
If you are sure that one of the versions W gave is true, you can act on it. But if you
are not sure which, if either, version is true, you should not take account of
anything that W has said, either originally or in court.
[If the jury have a/part of W’s witness statement (as an exhibit pursuant to s.122
CJA): The fact that you have W’s evidence/part of W’s evidence in writing does not
make it any more or less important than any other evidence in the case.]
Legal Summary
1. A witness is entitled to refresh their memory from an earlier document or
recording before testifying.474 If mention of this is made in the course of the
evidence the jury should be directed that this is normal practice.
2. A witness may be permitted to refresh their memory from an earlier document or
recording made or verified by him/her at an earlier time if:475
(1) the witness states in his/her oral evidence that the document records his/her
recollection of the matter at that earlier time, and
(2) the witness’ recollection of the matter is likely to have been significantly
better at that time than it is at the time of his/her oral evidence.
3. The judge retains a discretion as to whether a witness should be permitted to
refresh his/her memory.476 It is not necessary for the witness to have faltered
before he/she is permitted to do so.477
4. If the witness refreshes his/her memory during the course of, or in a break in,
testifying the earlier document may, in some circumstances become admissible
as evidence of the truth of its contents independently of the testimony. The
statement will only be admissible if:
(1) the witness has succeeded in refreshing his/her memory from an earlier
document or recording, and
(2) the witness has been cross examined about the contents of the document
from which he/she has refreshed memory, and
(3) the content has therefore been received in evidence. 478
5. The jury may inspect a memory-refreshing document if necessary.479
6. If the jury will find it difficult to follow the cross-examination of the witness who
has refreshed his/her memory without having the record, this may be provided to
them.480
7. A document exhibited under s.120(3) should not accompany the jury when they
retire, other than in exceptional circumstances (e.g. it would help following
translated text). 481 If the jury do retire with the document they need to be
warned not to attach disproportionate weight to it.482
8. The relevant legal principles relating to s.139 and what remains of the ‘best
evidence’ rule were reviewed in detail in Sugden.483
Directions
9. Sometimes a witness may refresh his/her memory from his/her witness
statement before giving any evidence about a particular topic. In this event if the
witness adopts what he/she said in his/her statement (assuming that the
statement/part of the statement is read out in court) that is the witness’s
unequivocal evidence. It will rarely be necessary to give any direction about this.
For this reason no Example is given below.
10. On other occasions a witness gives some evidence about a topic, then refreshes
his/her memory from the statement and, in the light of the statement, changes
his/her account. In this event a direction should follow the Example in 14-6.
483 [2018] EWHC 544 (Admin). No reference was made to s.133 of the Act.
Legal Summary
1. Under CJA 2003, s.120(2) “If a previous statement by the witness is admitted as
evidence to rebut a suggestion that his oral evidence has been fabricated, that
statement is admissible as evidence of any matter stated of which oral evidence
by the witness would be admissible.” The previous statement will commonly
have been made orally.
2. If the witness has made a previous statement consistent with the account given
at trial and the earlier account was provided reasonably recently after the
events, the previous consistent statement may be admitted as evidence of its
truth.
3. Unless it is obvious to the jury that the earlier statement lacks independence,
this should be drawn to their attention.484
4. If the s.120(2) criteria are not capable of being met, the evidence may
nevertheless be admissible under other statutory gateways, Gilloley.485
Directions
5. It should be explained to the jury that the reason that they heard about W’s
previous statement was because it was suggested to W that he/she had
invented his/her evidence and it is relevant to the question whether W has in fact
done so and whether W’s evidence is true or false. It is implicit that the
statement will have been made before the point at which the witness is alleged
to have invented the evidence.
6. It is for the jury to decide, depending on what they make of the statement
whether it rebuts the suggestion that W’s evidence is invented.
7. The jury should be directed that the statement, or that part of it which has been
used for this purpose, is evidence of the matter/s stated in it and they are
entitled to use it to decide whether or not W has been consistent and, if they are
satisfied that W has been, that is something they may keep in mind when
deciding whether or not W’s evidence is truthful.
Example
When W was cross-examined it was suggested to W that he/she had made up
his/her account of the incident. Because of that suggestion, which W rejected,
{advocate for the party by whom W was called} asked W about the statement that
W made on {date}, in which W gave the same/a similar account to the one W has
given today.
The reason you heard about W’s statement is to help you decide whether W has
made up what he/she said in the witness box or whether it is true. Both what W
said in the statement and what W said in the witness box are evidence of {specify}
for you to consider when you are deciding (a) whether W has been consistent in
what he/she has said about the incident; (b) whether W’s statement shows that the
suggestion that W made up what he/she said when he/she gave evidence in the
witness box is wrong and (c) whether W’s evidence is true.
You do not have a copy of X’s witness statement. This is because you do not have
a copy of any other witness statement and it is important not to single X’s evidence
out by having a copy of it.
Legal Summary
1. Under CJA 2003, s.120(4) and (5), where a witness is testifying at trial, and
confirms that they made an earlier statement and that to the best of their belief it
was true and in the earlier statement the witness identified a person, object or
place, that earlier statement is admissible as evidence of its truth.
2. What constitutes an identification of a person, object or place is to be broadly
construed so as to admit, as evidence of its truth, contents of the document
other than the evidence of a bare identification of “a person, object or place”:
Chinn.486
Directions
3. The situations in which a specific direction about such evidence will be
necessary are likely to be rare and very fact specific. Any direction must be
tailored to the facts of the case and discussed with the advocates before
speeches.
4. It should be explained to the jury that the statement (or part of it) was put into
evidence because W said that, to the best of his/her belief, he/she made the
statement and, to the best of his/her belief, it is true.
5. The jury should be directed that if they accept W’s evidence that he/she made
the statement (which is unlikely to be in issue) and W’s evidence about his/her
state of mind (which may be in issue) then the statement is evidence about the
person/object/place which they may take into account.
6. If the jury do take the statement into account they should judge the accuracy and
reliability of W’s recollection at the time W made the statement rather than at the
time W was asked to recall matters in court.
Example 1
You have heard evidence that {specify person/object/place and
circumstances/significance}. This evidence came from W’s witness statement
which, when W gave evidence, W said he/she made on {date} and to the best of
his/her belief is true.
[If the evidence is adduced in the prosecution case: The defence do not dispute
that W made the statement, but they do not agree that what W said in it is true. So
the first thing to decide is whether or not what W said in his/her statement is true. If
you are not sure that it is true, you must ignore it. But if you are sure that it is true,
it is evidence of {person/object/place}.]
[If the evidence is admitted in the defence case: The prosecution do not dispute
that W made the statement, but they do not agree that what W said in it is true. So
the first thing to decide is whether or not what W said in his/her statement is true. If
you think it is more likely than not that the statement is not true, you must ignore it.
But if you think it is more likely than not that it is true, it is evidence of
{person/object/place}.]
When deciding whether or not W’s statement is true, you should bear in mind that
this was W’s recollection when he/she made the statement on {date} and not when
W was asked about this in court.
You do not have a copy of W’s witness statement. This is because you do not
have a copy of any other witness statement and it is important not to single W’s
evidence out by having a copy of his/her.
[Where this evidence is confirmed by another witness: Another witness, X stated
that on {date} W told X that {specify}. You can take account of X’s evidence when
you are deciding whether what W said about {specify} is true, but you will
appreciate that X’s evidence is not independent because it is only evidence of
what W told X. X has no personal knowledge about {specify}. The reason you
heard about what W said to X is so that you can consider it when you are deciding
whether or not W’s statement about this was true.]
Example 2
Following a robbery, W made a 999 call in which he/she gave the registration
number of the getaway car. When giving evidence W said that he/she had done
this but could not remember the number which he/she saw. The recording of the
999 call was put in evidence.
The Prosecution/Defence do not agree that, when W made the 999 call, W
correctly relayed the registration number of the car. It would be unreasonable to
expect W to recall the number now {x months} after the event. A trial should not
be a memory test for witnesses. You should assess the accuracy of W’s
observation of the number and W’s relaying of it in the 999 call at the time of the
incident.
[Here summarise any arguments made by the parties]
[If adduced in the Prosecution case: If you think that W’s observation and report
were or might have been inaccurate then you will ignore this evidence. If you are
sure that W’s observation and report were accurate then you will take what W said
in the 999 call into account as evidence in the Prosecution’s case.]
[If adduced in the Defence case: If you think that W’s observation and report were
or may have been accurate then you will take what W said in the 999 call into
account in support of the Defence case. If you are sure that W’s observation and
report were inaccurate then you will ignore this evidence.]
Legal Summary
1. Under CJA 2003, s.120(4) and (6), where W is testifying at trial and confirms
that he/she made an earlier statement when matters were fresh in his/her
memory, and that to the best of his/her belief it is true but that he/she cannot
now recall the contents, that earlier statement may be admissible as evidence of
its truth.
2. If there is an issue about whether W can reasonably be expected to recall
events, it may be necessary to hold a voir dire. If W cannot reasonably be
expected to recall, the statement is admissible as evidence of its truth.
“In such a case when the judge sums up he will explain shortly why the jury
can consider the written material, stating why, in the case of this matter and
this witness, she could not reasonably be expected to remember that matter
well enough to give oral evidence in the proceedings. No reference to hearsay
evidence or the statute itself need be necessary. The judge will also, of
course, direct the jury to consider the reliability of the witness' earlier
recollection of the subject matter of the statement that has been admitted and
emphasise that it is for the jury to decide on the weight that they attribute to
the evidence in the previous statement.”487
Directions
3. The situations in which a specific direction about such evidence will be
necessary are likely to be rare and very fact specific. Any direction must be
tailored to the facts of the case and discussed with the advocates before
speeches.
4. It should be explained to the jury that the statement (or part of it) was put into
evidence because W said that, to the best of his/her belief, he/she made the
statement and it is true, that it was made when matters were fresh in his/her
memory and that he/she can no longer remember them.
5. The jury should be directed that if they accept W’s evidence about the statement
and W’s state of mind (which usually will not be in issue) then the statement is
evidence which they may take into account.
6. If the jury do take the statement into account they should judge the accuracy and
reliability of W’s recollection at the time W made the statement rather than at the
time W was asked to recall matters in court.
Example
You have heard evidence that {specify}. This evidence came from a witness
statement that W made on {date}. When W gave evidence W said that, although
he/she cannot remember these things now, when he/she made the statement they
were fresh in his/her mind and, as far as he/she knows and believes, the
statement is true.
[If the evidence is adduced in the prosecution case: The defence do not dispute
that W made the statement or that W could not be expected to remember now
things that happened on/in {date}, but they do not agree that what W said in the
statement is true. So the first thing to decide is whether or not what W said in
his/her statement is true. If you are not sure that it is true, you must ignore it. But if
you are sure that it is true, it is evidence of {specify }.]
[If the if the evidence is admitted in the defence case: The prosecution do not
dispute that W made the statement or that W could not be expected to remember
now things that happened on/in {date}, but they do not agree that what W said in
the statement is true. So the first thing to decide is whether or not what W said in
his/her statement is true. If you think that it was or may have been true it is
evidence of {specify}. But if you are sure that it is untrue, you must ignore it.]
When deciding whether or not W’s statement is true, you can bear in mind that this
was W’s recollection on {date}, which was much closer to the time of the incident
than now.
You do not have a copy of W’s witness statement. This is because you do not
have a copy of any other witness statement and it is important not to single W’s
evidence out by having a copy of his/hers.
Legal Summary
1. Under CJA 2003. s.120(4), (7) and (8), where the complainant gives evidence in
connection with the alleged offence and confirms that he/she made an earlier
statement amounting to a complaint of the offence alleged and that to the best of
his/her belief that statement is true, that earlier statement is admissible as
evidence of its truth provided it was not made as a result of a threat or promise.
Directions
2. It should be explained to the jury that the statement (or part of it) was put into
evidence because V said that, to the best of his/her belief, he/she made the
statement and it is true and that the jury are entitled to hear evidence about a
complaint which a person made before proceedings started.
3. The jury must be directed about the following:
(1) The complaint itself falls to be judged as part of the evidence of V;
(2) Evidence of V’s complaint is evidence about what V has said on another
occasion and so originates from V him/herself. Consequently it does not
provide any independent support for V’s evidence.
4. The jury should also be directed about the following, as appropriate:
(1) The context in which the complaint was made;
(2) The length of time which elapsed between the subject matter of the
complaint (the event/s complained of) and the making of the complaint;
(3) The explanation for any delay in making the complaint. For a direction on
delay see Chapter 10-4;
(4) The consistency/inconsistency of the complaint with V’s evidence (and
sometimes any other complaint made by the same witness). Points of
consistency and/or inconsistency should be specified. The jury are entitled
to consider this/these when they are deciding whether or not the witness is
accurate, reliable and truthful.
5. If it has been suggested that a complaint has been made up, evidence of a
complaint made to another person nearer the time of the alleged event may be
used as evidence to rebut that suggestion and the jury should be so directed:
see Chapter 14-9.
6. Evidence of a statement of complaint may also be given by a witness to whom
the statement, whether oral or written, was made. This often applies in cases in
which a complainant has made an oral complaint to a friend or relative.
Legal Summary
1. CJA 2003, s.118, provides for the admissibility of hearsay statements which fall
within the common law hearsay res gestae exception. The basis for admissibility
under this exception is that hearsay can be regarded as more likely to be reliable
if the statement was made spontaneously. To be admissible such a statement
must:
(1) have been made by a person “so emotionally overpowered” by an event that
the possibility of concoction or distortion can be disregarded; or
(2) have accompanied an act which can be properly evaluated as evidence only
if considered in conjunction with the statement; or
(3) relate to a physical sensation or mental state such as intention or emotion.
2. The law governing admissibility is stated in Andrews.488 It is not always
necessary to give a specific direction about the risks in mistaken identification if
the speaker was dying at the time of making the statement: Mills v The
Queen.489
3. In some circumstances a res gestae statement can be adduced under s 118
when a witness is available but not called: Barnaby v DPP. 490 See also A-G’s
Ref (No. 1 of 2003).491
Directions
4. Depending on the reason for the statement having been admitted in evidence
the jury should be reminded of the evidence about the statement, in the context
of the situation in which it was made.
5. The jury should be directed that:
(1) before they may rely on the statement they must be sure:
(a) that the statement has been reported accurately;
(b) that the statement was spontaneous and genuine and not the result of
{insert as appropriate: deliberation, invention, distortion, rehearsal,
malice or ill-will};
(c) that, if sure that it was genuine and spontaneous, it was not made as a
the result of a mistake as to the circumstances in/about which it was
made;
(d) and if they cannot be sure about these things they must ignore the
statement completely;
(2) if, having considered these factors, they are sure that they can rely on the
statement, they must decide what weight/significance they should attach to
it, bearing in mind any limitations revealed by the evidence e.g. that the
maker of the statement is unidentified or is dead and so has not given
evidence in relation to the subject matter of the statement or been tested by
cross-examination.
Legal Summary
1. The common law exception admitting hearsay statements made in furtherance
of a common enterprise is preserved by the Criminal Justice Act 2003, s.118(1).
In short, the acts and declarations of a person engaged in a joint enterprise and
made in pursuance of that enterprise may be admissible against another party to
the enterprise, but only where the evidence shows the complicity of that other in
a common offence or series of offences. 492
2. Once admitted, the evidence may be considered by the jury when deciding upon
the existence of the conspiracy, its objects and purpose, and when deciding
whether the defendant was a conspirator.
3. The jury will need direction on several matters:
(1) It is for them to decide whether the acts and declarations were made by a
conspirator.493 The hearsay evidence may be used when considering
whether there was a conspiracy and whether the actor/speaker was a
conspirator.
(2) The jury must not convict D solely on the basis of this evidence: they may
only convict D if there is other evidence which implicates him/her and they
are sure on all of the evidence that D is guilty.
4. The jury will also need careful direction to guard against the risk that they will
treat the statement as primary evidence of D’s involvement without regard to the
limitations of the hearsay evidence.494 These include for example that D was not
present when the statement was made and so was not in a position to respond,
challenge or disagree with it at the time that it was made; the statement may be
ambiguous or incomplete; D will not have had any opportunity to test the
evidence in cross examination where the maker was unknown or was not a
witness (or a co-defendant) who gave evidence.
Directions
5. A statement, whether made orally or in writing, by one party to a common
enterprise may, if a reasonable interpretation is that it was made in furtherance
of the common enterprise, be put in evidence to prove that a D who was not
party to the statement participated in the common enterprise; provided that there
is some other evidence of D’s involvement. Such evidence commonly arises out
of telephone communication (text or speech) between alleged co-conspirators.
6. The purpose for which the evidence was adduced must be explained to the jury.
492 Gray [1995] 2 Cr App R 100; Murray [1997] 2 Cr App R 136; Williams [2002] EWCA Crim
2208.
493 King [2012] EWCA Crim 805; Smart and Beard [2002] EWCA Crim 772 at [30].
494 Jones [1997] 2 Cr App R 119; Williams [2002] EWCA Crim 2208.
Example
You have heard evidence from W that {D1} said {specify evidence of what was
said by alleged conspirator}.
This evidence is disputed and so the first question for you to answer is whether or
not this evidence is true. If you are not sure that it is true, you must ignore it. But if
you are sure that it is true you can use this evidence when you are deciding:
(a) whether the alleged conspiracy actually existed; and
(b) whether any particular defendant was involved in any such conspiracy.
On the question of whether the alleged conspiracy actually existed, you should
look at exactly what was said and decide whether it must have been said in order
to carry out the alleged conspiracy or whether it could have been said for some
other reason. If you are not sure that it was said in order to carry out the alleged
conspiracy, you must ignore it.
[In the case of an incomplete sentence or message: Also, the sentence/message
is obviously incomplete and you must not guess or make assumptions about what
might have been said in the rest of the sentence/message.]
If you are sure that it was said, that may provide some evidence that the
conspiracy existed but on its own what was said cannot prove that there was a
conspiracy. Your conclusion about whether or not there was a conspiracy depends
on what you make of all of the evidence, not just what was said.
If you are sure, on all of the evidence, that there was a conspiracy, you can take
account of the evidence of what was said when you are deciding whether or not a
particular defendant was involved in it.
In the case of D1, you will have to decide whether or not D1 is the person who said
{specify what was said}. When you are deciding this, you must consider [here give
a direction about identification by voice: see Chapter 15-7 below]. If you are sure
that D1 was the person W heard, you can take account of what D1 said, along with
the other evidence, when you are deciding whether D1 is guilty of the conspiracy
with which D1 is charged.
In the cases of D2 and D3, although the person speaking referred to both of them
by name, you must be cautious about it and aware that this evidence has a
number of limitations. In particular, there is no evidence that either D2 or D3 was
present when the person said what he/she did, so neither was there to respond,
whether to agree or to disagree with what was said.
Although D1 gave evidence, D1 said that he/she was not the person speaking and
so cannot provide any explanation of what was said; and if you think that the
person speaking was someone other than D1, it follows that D2 and D3 have not
had any opportunity to challenge what was said by having the speaker cross-
examined
[If applicable, having regard to the evidence: You should also consider whether, if
you are sure that {specify what was said} was said by someone involved in the
conspiracy (whoever that was) it may have been said falsely and maliciously in
order to implicate others who were not involved in it.]
Finally you must not convict D2 or D3 just because of this evidence. You can only
convict either one of these defendants if there is other evidence that implicates
him/her and you are sure, on all of the evidence, that he/she is guilty.
Legal Summary
1. The normal direction is that what one D says out of court is evidence in D’s case
only and not in that of any other D.
2. “The conventional direction ... that has historically been given to juries [is] that
what defendant A says to the police is evidence only when considering his case
and is to be ignored when considering the case of defendants B, C or D. The
reason why that has always been the direction given is that what A says to the
police is hearsay so far as B, C or D are concerned.”495
3. Section 76A PACE 1984 provides for a confession made by D1 to be given in
evidence for D2, so long as they are “charged in the same proceedings”, so far
as it is relevant to any matter in issue in the proceedings, so long as it is not to
be excluded on the grounds of (a) oppression or (b) something said or done
which is likely to render it unreliable: see s. 76A(2) and (3).
4. Section 114(1)(d) is wide enough to allow for D1’s statement about D2 to be
admitted in other circumstances.496 Burns and Brierly497 should be considered in
this regard. In particular, where D1 seeks to rely on D2’s hearsay statement that
D2 was the offender where they are not charged in the same proceedings
(usually because D2 has pleaded guilty) or where D1 seeks to rely on D2’s
hearsay statement that D1 was not involved in the offence (that statement not
being a confession and hence not admissible under s. 76A), if such a statement
is admitted under s. 114(1)(d), the trial judge should not give the jury the normal
direction. See also the case of Trought498 where the trial judge’s decision to
admit the confession of D2 on arrest that he was conspiring with D1 (who denied
the existence of any such conspiracy) notwithstanding that D2 had pleaded
guilty and thus took no part in the trial.
5. In Maclean Hughes LJ said:499
“If hearsay evidence is admitted in the interests of justice the jury is by law
entitled to consider it, to determine its weight and to make up its mind whether
it can or cannot rely upon it. It would be a plain nonsense to suggest that such
hearsay evidence could be admissible, yet still the jury should be directed that
it was not evidence except in the case of [the maker]. There is no doubt that if
and when hearsay evidence of this kind is ruled admissible it becomes
evidence in the case generally.”
6. In Sliogeris 500 the Court declined to resolve the further ground of appeal:
“whether, once evidence of a confession by a defendant is properly admitted
in favour of a co-defendant, it can in principle thereafter be used against all
defendants and not merely the maker of the statement. In the light of the
purpose behind the provision [s. 114], there is a cogent case for saying that it
should not be treated as evidence in the case generally but only in favour of a
co-defendant. That would require the judge to direct the jury that it should not
treat that statement as evidence against a co-defendant (other than the party
making the confession) but that the jury may treat it as evidence in favour of
the co-defendant who has successfully applied for it to be admitted. However,
we leave that issue to be decided on another occasion.”
Directions
7. Unless D1’s out of court statement (usually made in interview) has been
admitted against D2 under one or more of the hearsay provisions, the jury must
be directed that what D1 said about D2 is not admissible in D2’s case and they
must disregard it, because D2 was not present when the co-defendant made the
statement and so was not in a position to comment, challenge or rebut what the
co-defendant said.
8. If D1’s out of court statement has been admitted as evidence against D2 the jury
must be warned about the possible dangers of relying on the statement
because:
(1) D2 was not present when the statement was made and so was not in a
position to comment, challenge or rebut it at that time; and they do not
know, and must not speculate about, what D2 might have said if he/she had
been present;
(2) D1 was being accused of a criminal offence and so had his/her own position
to look after when he/she was being interviewed and this may, or may not,
have best been served by diverting attention towards, and putting blame on,
the other defendant.
9. If the statement was admitted as an inconsistent statement made by D1, the jury
should only rely on it as evidence against D2 if they are sure that what D1 said
in his/her interview was the truth and that what D1 said in evidence was untrue.
10. If the statement was made by D1 to a third party, before the jury could rely on it
they would have to be sure that the third party’s evidence about what D1 said is
true, accurate and reliable both as to the fact that the conversation took place
and to its contents.
11. If D1 has given evidence the jury should be directed that D1’s evidence is
relevant and admissible and that they may have regard to it in D2’s case,
because the evidence was given in D2’s presence and D2 has had the
opportunity to comment, challenge and rebut the co-defendant’s account.
Legal Summary
1. The Criminal Justice Act 2003 section 121 governs the admissibility of multiple
hearsay. The restrictions are strict because multiple hearsay poses greater risks
of unreliability.
2. Multiple hearsay is not admissible unless one of the statements involved in the
chain is:
(1) admissible as a business document (s. 117); or
(2) a previous statement by a witness in the case; or
(3) all parties to the proceedings agree; or
(4) where the court is so convinced by the value of the evidence that it can
invoke the additional ‘safety valve’ in s. 121 (1) (c) in which case the court
should identify a relevant statutory exception which would apply to admit the
first chain of hearsay (e.g. s. 116 or 114(1)(d)) before considering whether it
is the further chain(s) are admissible: Walker501
3. In the rare cases in which multiple hearsay is admitted it will be incumbent on
the judge to give a very clear jury warning about the enhanced dangers. The jury
will need to be directed about each link in the chain of hearsay.502
“it is important to underline that care must be taken to analyse the precise
provisions of the legislation and ensure that any route of admissibility is
correctly identified. In any case of multiple hearsay, that should be done in
stages so that each link in the multiple chain can be tested.”503
4. In some cases s.121 will render admissible statements made by one accused
that incriminated both him/herself and his/her co-accused. Particular care is
needed in such a case.504
5. The case of Usayi505 is an example of the court having to consider s.121
although as the judgment identified there was “much less to this case than might
first have met the eye.”
Directions
6. If multiple hearsay has been admitted, in addition to the direction/s relating to the
purpose for which it has been admitted, further directions tailored to the specific
facts of the case must be given, including a “Chinese whispers” direction setting
out each stage of the transmission of the information and to direct the jury that
they must consider the risks, if any, of a failure to transmit the information in its
original form.
Example
When D was arrested by PC W a number of others were present including X and
Y. In his/her evidence PC W said that having arrested D, X told PC W that Y had
told X that Y had seen D covered in blood and D had said to Y that this had come
from V’s head wound. PC W made a note of what X told him/her in his/her pocket
book and X signed it as being an accurate record, but neither X nor Y have given
evidence: the only evidence of D being covered in blood and what D is alleged to
have said has come from PC W.
[Having reviewed the evidence]
You must decide what significance, if any, to give to this evidence, but you should
bear in mind that it is not agreed: D says that he/she was not at the scene and so
could not have been covered in V’s blood.
In these circumstances you must approach this evidence with caution because PC
W and X did not witness the incident; and this evidence is of what Y allegedly told
X, and then what X told PC W.
You will appreciate that when information is passed from one person to another,
and then from that person to someone else, there is a risk that the final version will
not be accurate and reliable. So PC W’s evidence has a number of limitations.
First, although nobody has suggested that PC W’s note of what X said to him/her
was inaccurate, and it is accepted that X signed that note to confirm that the note
was accurate, this does not mean that what X said to PC W was itself accurate.
Also, X could not know, from his/her own observation, whether Y saw D or
whether, if Y did see D, D had blood on him/her so X cannot say that what Y said
to X was accurate.
Secondly, X and Y did not give evidence in court and so you do not know how
each of them would have responded when cross-examined.
When you are deciding what weight, if any, you should give to this evidence, you
must look at it in the light of the other evidence in the case. You must also keep
PC W’s evidence in perspective, because it only relates to three particular issues
in the case: namely whether D was at the scene, whether, if D was, D had blood
on him/her and, if D did have blood on him/her, whether D said what is alleged.
Also, whilst these issues are obviously important, they are by no means the only
issues in the case.
15. IDENTIFICATION
15-1 Visual identification by a witness/witnesses
ARCHBOLD 13.1; BLACKSTONE’S F19.1
Legal Summary
1. The risk of honest but mistaken visual identification of suspects is well
established. To guard against that risk investigators must comply with the
carefully prescribed safeguards in Code D of the Police and Criminal Evidence
Act 1984.506
2. Code D sets out four possible visual identification procedures:
(1) Video identification;
(2) Identification parades;
(3) Group identification;
(4) Confrontation.
3. Video identification is the preferred procedure, but an identification parade may
be offered if video identification is not practicable or if a parade is both
practicable and more suitable than video identification.507 Group identification
may be offered initially only if the officer in charge of the investigation considers
it more suitable than either video identification or an identification parade and the
identification officer508 considers it is practicable to arrange.509 Confrontation is
the last resort, only to be used if all other options (including covertly recorded
video etc.) are impracticable.510 Photographs or composite images for
identification purposes should not be shown to witnesses for identification
purposes if there is a suspect already available to be asked to take part in an
identification procedure.511
4. There is a need for judges, when determining admissibility, to be alert to the
dangers of identification evidence. Breach of the procedures provided by Code
D may form the basis of an application to exclude the identification evidence
under s. 78 PACE.512 If evidence obtained in breach of Code D is nonetheless
admitted, the jury should be told that the defendant had not received the
[2012] EWCA Crim 2968. The judge must determine whether the alleged breaches may
have caused any prejudice to the defendant and, if so, whether the adverse effect would be
such that justice requires the evidence to be excluded: Malashev [1997] EWCA Crim 471;
Cole [2013] EWCA Crim 1149; Lariba [2015] EWCA Crim 478.
protection to which the defendant was entitled and the possible prejudice in
consequence of the breach should be explained.513
5. Judges are also required to examine the state of identification evidence at the
close of the prosecution case and to stop the case if it is poor and
unsupported.514
6. In any event the judge has a duty to direct the jury carefully so that they are alert
to the risks such evidence carries: Turnbull.515
Directions
7. Where the prosecution case depends on visual identification evidence (which
may include a situation in which the defendant admits presence but denies being
the person who acted as alleged by the identification witness) a Turnbull
direction must be given. It may be helpful to give a summary direction at the
outset of the case (see Chapter 2-2).
8. The jury must be warned that:
(1) there is a need for caution to avoid the risk of injustice;
(2) a witness who is honest and convinced in his/her own mind may be wrong;
(3) a witness who is convincing may be wrong;
(4) more than one witness may be wrong (see paragraph 8 below);
(5) a witness who is able to recognise the defendant, even when the witness
knows the defendant very well, may be wrong.
9. The jury should be directed to put caution into practice by carefully examining
the surrounding circumstances of the evidence of identification, in particular:
(1) the time during which the witness had the person he/she says was D under
observation; in particular the time during which the witness could see the
person’s face;
(2) the distance between the witness and the person observed;
(3) the state of the light;
(4) whether there was any interference with the observation (such as either a
physical obstruction or other things going on at the same time);
(5) whether the witness had ever seen D before and if so how many times and
in what circumstances (i.e. whether the witness had any reason to be able
to recognise D);
(6) the length of time between the original observation of the person said to be
D (usually at the time of the incident) and the identification by the witness of
D the police (often at an identification procedure);
513 Gojra [2010] EWCA Crim 1939 para.75, where the investigating officer decided not to
require an identification procedure for a witness; Preddie [2011] EWCA Crim 312, where the
judge failed to explain the significance of the Code D infringements.
514 Turnbull [1977] QB 224; Fergus (Ivan) [1994] 98 Cr App R 313.
515 Turnbull [1977] QB 224.
(7) whether there is any significant difference between the description the
witness gave to the police and the appearance of D.
10. Any weaknesses in the identification evidence must be drawn to the attention of
the jury, for example those arising from one or more of the circumstances set out
above, such as:
(1) the fact that an incident was unexpected/fast-moving/shocking or involved a
(large) number of people so that the identifying witness was not observing a
single person;
(2) anything said or done at the identification procedure including any breach of
Code D.
11. Evidence which is capable and, if applicable, evidence which is not capable of
supporting and/or is capable of undermining the identification must be identified.
12. The jury may also use evidence of description, if they are sure that it comes from
a witness who is honest and independent, as support for evidence of
identification given by an/other witness/es.
13. Particular care is needed if the defendant’s case involves an alibi: see Chapter
18-2 below.
14. Where more than one witness gives evidence of identification the jury should be
told that they must consider the quality of each witness’ evidence of identification
separately and must have regard to the possibility that more than one person
may be mistaken. However, as long as the jury are alive to this risk, they are
entitled to use one witness’ evidence of identification, if they are sure that that
witness is honest and independent, as some support for evidence of
identification given by an/other witness/es.
15. In every case, the direction must be tailored to the evidence and to the
arguments raised by the parties in respect of that evidence.
Example
NOTE: Not all of the following directions need to be given in every case, as shown
by the headings. It is suggested that the order is logical but it is for the judge to
decide which directions are appropriate and the order in which they should be
given.
In every case
You must be cautious when considering this evidence because experience has
shown that any witness who has identified a person can be mistaken even when
the witness is honest and sure that he/she is right. Such a witness may seem
convincing but may be wrong.
[In a “recognition” case: This is true even though a witness knows a person well
and says that he/she has recognised that person. The witness could still be
mistaken.]
You can only rely on the identification evidence if you are sure that it is accurate.
You need to consider carefully all the circumstances in which D was identified.
Where there has been an issue arising from a VIPER identification procedure
You have heard that D was picked out on a VIPER identification procedure from a
number of images that had been selected by D and D’s solicitor. {Summarise
issue/s arising and evidence relating to those issues.}
Legal Summary
CCTV evidence generally
1. The proliferation of CCTV cameras has led to the increased reliance on images
which purportedly record relevant events as a means of identification.
2. In Attorney General’s Reference (No 2 of 2002),516 Rose LJ held that there were
at least four circumstances in which subject to a sufficient warning, the jury could
be invited to conclude that D committed the offence on the basis of a
photographic image from the scene of the crime which is admitted in
evidence:517
(a) “where the photographic image is sufficiently clear, the jury can compare it
with the defendant sitting in the dock”: Dodson & Williams:518
(b) where a witness knows the defendant sufficiently well to recognise the
defendant as the offender depicted in the photographic image, the witness
can give evidence of this: Fowden; Kajala v Noble; Grimer; Caldwell; and
Blenkinsop 519; and this may be so even if the photographic image is no
longer available for the jury: Taylor v Chief Constable of Cheshire.520 In
Selwyn521 it was held that a Turnbull warning will be necessary in such
circumstances.
(c) where a witness who does not know the defendant spends substantial time
viewing and analysing photographic images from the scene, thereby
acquiring special knowledge which the jury does not have, the witness can
give evidence of identification based on a comparison between those
images and a reasonably contemporary photograph of the defendant,
provided that the images and the photograph are available to the jury;522
(d) a suitably qualified expert with facial mapping skills can give opinion
evidence of identification based on a comparison between images from the
scene (whether expertly enhanced or not) and a reasonably contemporary
photograph of the defendant, provided the images and the photograph are
available for the jury.”523
available or produced, the court “must hesitate and consider very carefully indeed before
finding themselves made sure of guilt upon such evidence”.
521 [2012] EWCA Crim 2968.
522 Clare [1995] 2 Cr App R 333.
523 Stockwell (1993) 97 Cr App R 260; Clarke [1995] 2 Cr App R 425; Hookway [1999] Crim
LR 750.
Directions
10. The jury must be given a warning, adapted from Turnbull, as to the risk of
mistaken identification and the special need for caution before relying on such
evidence to avoid injustice. In particular they should be directed that:
(1) it is possible for anyone, and any one of them, to make a genuine and
honest mistake in identification; and it is also possible for all of them to
LJ at paras.36 to 41 doubted that the images relied upon were of sufficient quality to invite
the jury to use “the evidence of their own eyes” and repeated that if such an exercise is
undertaken, the jury must be given an explicit warning about the dangers of mistaken
identification. cf Najjar [2014] EWCA Crim 1309 in which the footage provided the jury “with
an equivalent of a direct view of the incident and an exceptionally clear view of the
perpetrator” (at para.17) and the appeal against conviction was rejected.
527 Dodson & Williams [1984] 1 WLR 971 by Watkins LJ. The need to deal clearly with such
factors was highlighted by the Court of Appeal in Walters [2013] EWCA Crim 1361 at
para.31.
528 [2013] EWCA Crim 1361.
529 [1996] Crim LR 750.
530 Shanmugarajah and Liberna [2015] 2 Cr.App.R. 215(14), C.A
make such a mistake. The fact that a number of people make the same
identification does not of itself prove that the identification is correct;
(2) none of them knew D before they saw D in the dock, so this is the only
knowledge on which any of them can base their recognition of D;
(3) even if the person shown on an image appears similar to D, it may not be D.
11. The jury must also be warned that although they have had the advantage of
having been able to observe D in the course of the trial over a significant period,
in clear light, from a reasonably short distance and without obstruction or
distraction:
(1) D’s appearance may have changed since the time that the suspect’s image
was captured and they must be careful not to make assumptions about what
the defendant might have looked like at that time. [This situation will not arise
if an image proved/agreed to be that of the defendant taken at the time that
the suspect’s image was captured has been put in evidence.];
(2) the image/s with which they are comparing the defendant’s features is/are
only two dimensional: this is not the same as observing an actual person at
the scene.
12. The jury must also be alerted to other factors which may make identification
more difficult/less reliable such as poor lighting, a poor quality or black and white
image, obstruction, movement, a partial view of the suspect’s face.
13. Any obvious difference between the appearance of the defendant and the
suspect shown on the image must be drawn to the attention of the jury.
14. Evidence which is capable of supporting, not capable of supporting or capable of
undermining the case that the person shown on the image is the defendant must
be drawn to the attention of the jury.
Example
You do not have any evidence of this incident from an eye-witness. However,
there is CCTV footage and you have got photographs that have been made from
that. You are asked to compare D against the person in the footage and
photographs.
The prosecution say that you can be sure that it is D. The defence say that you
cannot be sure of that, and that {summarise any argument put forward e.g. that the
quality of the footage / images makes it impossible / unsafe to make any
comparison; or that comparison shows that these are two different people}.
When you compare D against the person in the footage / photographs, you should
look for any features which are common to both, and for any features which are
different. By 'features' I mean both physical appearance and also other
characteristics such as the way a person walks, stands, uses gestures and so on.
When making your comparison you must be cautious for the following reasons.
• Experience has shown that when one person identifies another, it is possible
for the person to be mistaken, no matter how honest and convinced they are.
Also, the fact that several people identify a person does not mean that the
Legal Summary
1. Evidence may be received from a witness (usually a police officer) who has
studied photographs or film footage of a person and who purports to identify the
person by using the knowledge acquired as a result of his/her viewing: Clare and
Peach.531
2. In Savalia532 the “special knowledge” category of case was held to extend to the
identification of a defendant from CCTV based not only the defendant’s facial
features but on a combination of factors, including physical build and gait.
3. Care will need to be given to ensure that the weaknesses in such evidence are
drawn to the jury’s attention bearing in mind that the witness will have no
specialist training in facial mapping or similar techniques.
Directions
4. It should be noted that such evidence:
(1) is direct evidence of identification by the witness of D; and
(2) provides assistance to the jury in making their own comparison of D (and
proved/agreed photographs of D) with the suspect shown on the CCTV
footage/images. Reference should therefore be made to the direction in
Chapter 15-2 above (Identification from visual images: comparison by the
jury).
5. The jury must be given a warning, adapted from Turnbull, of the risk of mistaken
identification and the special need for caution before relying on such evidence to
avoid injustice. In particular they should be directed that:
(1) a witness can make a genuine and honest mistake in identification;
(2) this is equally so when a witness knows someone and purports to recognise
them, because genuine and honest mistakes can be made in recognition
even by those who know someone well, such as a close friend or member of
their family.
The jury should be warned that although the witness has had the advantage of
being able to study the CCTV footage/images the image/s is/are only two
dimensional and this is not the same as observing an actual person at the
scene.
6. The jury must also be alerted to other factors which may make identification
more difficult/less reliable such as poor lighting, a poor quality or black and white
image, obstruction, movement, a partial view of the suspect’s face and also the
degree and currency of the witness’ knowledge of D.
7. Any obvious difference between the appearance of D and the suspect shown on
the image must be identified. If D’s appearance may have changed since the
time that the suspect’s image was captured this must be pointed out and the jury
directed not to make assumptions about what D might have looked like at that
time. This situation will not arise if an image proved/agreed to be that of D taken
at the time that the suspect’s image was captured has been put in evidence.
8. Evidence which is capable of supporting, not capable of supporting, or capable
of undermining the evidence of identification must be identified for the jury.
Evidence capable of supporting the evidence of identification may include the
jury’s own comparison of D with the suspect shown in the CCTV footage/images
and vice versa, in which case the direction must also reflect the features of the
direction in Chapter 15-2 above (Identification from visual images: comparison
by the jury).
Example
You do not have any evidence from a witness who was at the scene at the time of
this incident. What you do have is evidence from W, a local shopkeeper who
knows D and who has watched the CCTV footage taken from W’s shop. W gave
evidence that when he/she saw the footage he/she immediately recognised the
person shown on it as D; and that W confirmed this by studying the footage
several times. The defence case is that although W knows D and should be able to
recognise D, W is mistaken in his/her identification of D as the person shown on
the footage.
You may consider W’s evidence in two ways:
First, it is evidence of W’s own identification of D from the footage / photographs.
Secondly, you may also use W’s evidence to help you compare what you have
seen of D in court with the footage of the incident.
When considering W's evidence you must be cautious for the following reasons.
• Experience has shown that when one person identifies another, it is possible
for the person to be mistaken, no matter how honest and convinced they are.
• A person may be mistaken even when he/she could be expected to recognise
someone because of previous knowledge of him/her. It has been known for a
person to be sure that he/she has seen someone, even someone he/she
knows well, only to realise that he/she could not in fact have seen the person
and that he/she was wrong.
• Also, when you are making your own comparison, you must bear in mind that
the fact that several people identify a person does not mean that the
identification must be correct. A number of people may all be mistaken.
• The quality of the footage may affect W’s – and your - ability to make a
comparison. You should take account of these points: {specify any
characteristics relied on by either party e.g. relative position of camera(s) and
person photographed (in particular the person's face), distance, focus, colour /
monochrome, constant / intermittent, lighting, obstruction(s)}.
• The footage from the time of the incident is only two-dimensional and is not the
same as seeing it for yourself. Having said that, a person at the scene only
witnesses the incident once, usually without any warning that it is going to
happen; but you and W have had the advantage of being able to study the
footage several times.
• If you decide that the quality of the footage is not good enough for a fair
comparison to be made, you must ignore W's evidence and not embark on any
comparison of your own.
• However, if you are satisfied that the quality of the footage is good enough for a
fair comparison to be made, then you must then decide whether, taking
account of W’s evidence and your own observations, D is the person shown.
You must also bear in mind that W's evidence is only part of the evidence in the
case. {Identify any evidence capable of supporting, not capable of supporting or
capable of undermining the evidence of W.}
If, having considered all the evidence, you are sure that the person on the footage
is D. you must then decide whether D is guilty of the offence(s) with which D is
charged. If you are not sure that the person on the footage is D, you must find D
not guilty.
Legal Summary
1. When the prosecution relies both upon the evidence of a witness who
recognises D and the jury’s own ability to compare the photographic evidence
with D in person, the jury may be directed that the evidence and their own
examination can be mutually supportive. If so, they should be reminded of the
danger that several witnesses can make the same mistake: Caldwell.533 See
also Faraz Ali534 at paras. 34 to 35 in which the CACD (1) doubted that the
image from which a police officer purported to recognise the suspect was of
sufficient quality to permit recognition (the face was partially obscured) (2)
doubted that the police officer’s recognition would, for this reason, constitute
supporting evidence of identification in the absence of evidence given by an
expert, and (3) repeated the need for an explicit direction warning of the dangers
arising from the purported recognition.
2. A modified Turnbull direction will be required: see Chapter 15-1 above.
3. The Court of Appeal in Smith (Dean Martin)535 recommended that where a police
officer purports to recognise a person viewed on a CCTV, a record should be
made detailing information such as the viewer’s initial reaction, any failure to
recognise at first viewing, what was said, any doubts expressed etc.). In Jabar536
where such procedures were not followed (the trial judge having made his
decision before the decision in Smith537), the court expressed concern that
recognition evidence was tainted as a result.
4. This safeguard has since been adapted and incorporated into Code D
(introduced with effect from 8 March 2011).538 The Code also provides that the
recording or images should be shown on an individual basis. In Moss539 it was
held that such a formal procedure cannot be expected where recognition occurs
in an informal context, but something in the nature of an audit trail should be
recorded so as to allow to the jury to assess reliability: what matters is “not so
much slavish adherence to procedure but evidence that enables the jury to
assess the reliability of the evidence of recognition however it is provided”
[para.20]. In Spencer the Court of Appeal, citing Moss, confirmed that the
“mischief” at which the Code was aimed was the “mere assertion the police
recognised a suspect without any objective means of testing the accuracy of the
1743.
536 [2010] EWCA Crim 130.
537 [2008] EWCA Crim 1342.
538 Code D, paras 3.35 to 3.37. Smith was approved in Chaney [2009] EWCA Crim 21.
539 [2011] EWCA Crim 252.
Directions
6. It should be noted that such evidence:
(1) is direct evidence of identification by the witness of D; and
(2) provides assistance to the jury in making their own comparison of D (and
proved/agreed photographs of D) with the suspect shown on the CCTV
footage/images. Reference should therefore be made to the direction in
Chapter 15-2.
7. The jury must be given a warning, adapted from Turnbull, of the risk of mistaken
identification and the special need for caution before relying on such evidence to
avoid injustice. In particular they should be directed that even a witness who has
“special knowledge” can make a genuine and honest mistake in identification.
8. The jury should be warned that although the witness has had the advantage of
being able to study the CCTV footage/images the image/s is/are only two
dimensional and this is not the same as observing an actual person at the
scene.
9. The jury must also be alerted to other factors which may make identification
more difficult/less reliable such as poor lighting, a poor quality or black and white
image, obstruction, movement, a partial view of the suspect’s face and also the
degree and currency of the witness’ knowledge of D.
10. Any obvious difference between the appearance of D and the suspect shown on
the image must be identified. If D’s appearance may have changed since the
time that the suspect’s image was captured this must be pointed out and the jury
directed not to make assumptions about what D might have looked like at that
time. This situation will not arise if an image proved/agreed to be that of D taken
at the time that the suspect’s image was captured has been put in evidence.
11. Evidence which is capable of supporting, not capable of supporting, or capable
of undermining the evidence of identification must be identified for the jury.
Evidence capable of supporting the evidence of identification may include the
jury’s own comparison of D with the suspect shown in the CCTV footage/images
and vice versa, in which case the direction must also reflect the features of the
direction in Chapter 15-2 above.
12. Evidence of this kind is subject to the provisions of Code D (D:3.34 – 36) and
any breach/alleged breach must be dealt with.
Example
You do not have any evidence of this incident from an eye witness. What you do
have is evidence from PC W who, although he/she does not know D, has
compared a known photograph/s of D, taken at about the same time, with CCTV
footage (and still photographs taken from the footage) of the incident in which D is
alleged to have taken part. PC W told us that he/she spent {number of hours}
studying the footage and photographs and comparing them with the photograph/s
of D and PC W has identified D as being the person shown {specify e.g. striking
V}. The defence case is that PC W’s identification of D is mistaken.
You may consider PC W’s evidence in two ways:
1. First, it is evidence of PC W’s own identification of D from the footage /
photographs.
2. Secondly, you may also use PC W’s evidence to help your own comparison of
the known photograph of D and what you have seen of D in court with the
footage and photographs of the incident.
When considering PC W's evidence you must be cautious for the following
reasons.
• Experience has shown that when one person identifies another, it is possible
for the person to be mistaken, no matter how honest and convinced they are.
• Also, when you are making your own comparison, you must bear in mind that
the fact that several people identify a person does not mean that the
identification must be correct. A number of people may all be mistaken.
• The quality of the footage may affect PC W’s – and your – ability to make a
comparison. You should take account of these points: {specify any
characteristics relied on by either party e.g. relative position of camera(s) and
person photographed (in particular the person's face), distance, focus, colour /
monochrome, constant / intermittent, lighting, obstruction(s)}.
• The footage from the time of the incident is only two-dimensional and is not the
same as seeing it for yourself. Having said that, a person at the scene only
witnesses the incident once, usually without any warning that it is going to
happen; but you and PC W have had the advantage of being able to study the
footage several times.
• If you decide that the quality of the footage is not good enough for a fair
comparison to be made, you must ignore PC W's evidence and not embark on
any comparison of your own.
• However, if you are satisfied that the quality of the footage is good enough for a
fair comparison to be made, then you must then decide whether, taking
account of PC W’s evidence and your own observations, D is the person
shown.
• [Where there has been a breach of Code D (D:3.35 and/or 36]: PC W should
have, but did not {e.g. kept a note of his/her response and the factors which
he/she says led him/her to recognise D as the person in the footage}. You
should keep this in mind when you are deciding whether PC W’s evidence of
identification is reliable.
You must also bear in mind that PC W's evidence is only part of the evidence in
the case. {Identify any evidence capable of supporting, not capable of supporting
or capable of undermining the evidence of PC W.}
If, having considered all the evidence, you are sure that the person on the footage
is D. you must then decide whether D is guilty of the offence(s) with which D is
charged. If you are not sure that the person on the footage is D, you must find D
not guilty.
Legal Summary
1. Facial mapping is a developing technique and expertise. In its simplest form it
amounts to little more than the comparison of one image with another.543
Computer software and photographic technology have created more advanced
techniques which enable two separate images to be enhanced and aligned in
order to better to make the comparison.544 The comparison will involve study of
the proportions of the face, the juxtaposition of features of the face and its
shape.545
2. An expert witness may testify as to the perceived similarities between the
admitted control image of the defendant and the disputed crime scene
photograph of the suspect, together with the absence of material differences.
The expert should not however express an opinion upon the probability that the
suspect image is the defendant rather than someone else, because there exists
no database against which the match probability can be measured. In the
absence of such statistical aids, the expert is limited to expressing an opinion
based on their experience. The value of such evidence may be extremely
limited. In any event, the quality of the evidence may be limited by the
experience and scientific objectivity of the expert.546
3. The question whether, in the absence of a relevant database, a facial mapping
expert should be permitted to express an opinion on the evidential value of their
comparison between the image and the defendant’s face was considered (see
doubts expressed obiter in Gray)547 in Atkins.548 The Court of Appeal concluded
that such evidence was permissible provided the experience and expertise of
the expert justified the use of their own relative terms when seeking to interpret
their results for the jury. Conventional expressions arranged in a hierarchy (e.g.
from “lends no support” to “lends powerful support”) should be used instead of
numbers. The expert may be expected to be tested on the extent to which
he/she has actively sought out dissimilarities as well as similarities. The jury
should be reminded that any expert’s expression of opinion is opinion and “no
more” and “does not mean that he is necessarily right”.549
1134.
4. In McDaid550 the Northern Ireland Court of Appeal, citing Atkins, confirmed that a
suitably qualified expert:
“may give evidence of facial similarities without being able to make a positive
identification and, provided that the factual tribunal is aware that his views are
not based upon a statistical database recording the incidence of the features
compared as they appear in the population at large, such a witness is entitled
is entitled to make use of the assessment framework employed in this
case.”551
5. The Court of Appeal in Weighman552 underlined that whether admissible facial
mapping evidence will be left to the jury to consider will depend on the ability of
the jury in the light of the quality of the images to make their own assessment.553
6. In Barnes,554 the use of “reverse projection evidence” for the purpose of showing
that CCTV images of an offender matched the height of the defendant was held
to be analogous to facial mapping, and was therefore not to be considered a
“new science” but rather a photographic technique “well-known to criminal
courts.”555
Directions
7. In this situation E gives evidence of the comparison which E has made between
a known image/images of D with CCTV footage/images of the scene of the
incident.
8. The precise content of this direction will depend on how the evidence has
developed in both examination in chief and cross examination but the following
matters must be covered:
(1) the extent of expertise and experience of E;
(2) the fact that E is giving expert evidence of opinion: see Chapter 10-3 above
(Expert evidence). In particular this is only a part of the evidence and, as
with any other part of the evidence, the jury is entitled to accept or to reject
it;
(3) the strengths and weaknesses of E’s evidence in the light of E’s method and
the extent to which E looked for both similarities and differences between
the known image/s and the footage/images of the scene;
deciding) that a comparison of walking gait by an expert podiatrist for the assistance of the
jury was a legitimate exercise founded on relevant expertise, but allowed the appeal
because the images were of insufficient quality for a reliable comparison. In Otway [2011]
EWCA Crim 3 the court underlined the importance of establishing the proper limitations of
such evidence from the outset and the need for advance preparation when its admissibility is
to be challenged (at para.23).
(4) that, if it be the case, there is no unique identifying feature linking the
appearance of D with the appearance of the suspect;
(5) that E’s opinion is not based on any database of the incidence of features
appearing in the population at large and consequently is not supported by
any statistical foundation of match probability. As a result E’s opinion,
although informed by experience, is entirely subjective;
(6) that such evidence does not amount to evidence of positive identification
(although it could positively exclude a suspect).
9. If E expresses his/her conclusions in relative terms (e.g. “no support, limited
support, moderate support, support, strong support, powerful support”) it may
help the jury to explain to them that these terms are no more than labels which E
has applied to his/her opinion of the significance of his/her findings and that,
because such opinion is entirely subjective, different experts may not attach the
same label to the same degree of comparability.
10. Any attempt to convert such opinion into a numerical or any other scale should
be prevented from the outset and, if necessary, should be addressed with
suitable warnings in the summing up.
11. The jury should be warned that such evidence does not amount to positive
identification and that they should be cautious about finding D guilty on the basis
of such evidence if it is not supported by other independent evidence. Evidence
which is capable of supporting, evidence which is not capable of supporting and
evidence which is capable of undermining such evidence must be drawn to the
attention of the jury.
12. Any direction must be modified if two or more experts with differing views give
evidence on this topic. In particular their relative levels of qualification and
experience, the steps which each took to prepare the images upon which their
comparisons were made, their findings and their opinions should be identified in
such a way that their differences are made clear to the jury.
13. A jury will almost always have seen the CCTV footage and/or still images taken
from it for themselves and will have been invited to draw their own conclusions
as to the correctness of a witness’ identification of D from their own viewing of
the footage/images and from their own observation of D. In such a case the jury
must be given directions which cover the points set out in both this direction and
the direction in Chapter 15-2 above (Identification from visual images:
comparison by the jury). Subject to this, the jury should be directed that they are
entitled to treat their own observation as support for the evidence of the witness
and vice versa. See by way of analogy the Example in Chapter 15-3.
Example
E is an expert in facial mapping {summarise relevant qualifications and
experience}.
[Give a direction about expert evidence: see Chapter 10-3.]
E explained what he/she did to compare images of D’s face with images of the
face of the person involved in the incident. E then went on to point out similarities
and differences he/she found. Finally E gave his/her opinion on the significance of
his/her findings.
To compare the images E {summarise the steps taken to prepare the images
which were used to make a comparison}.
E found that: {summarise the evidence of similarity and dissimilarity}
When you are considering E’s opinion, you must keep the following things in mind:
• Although E pointed out similarities between D’s face and the face of the person
involved in the incident, E said that there is no unique feature which
conclusively shows that the faces are the same.
• Experience has shown that two people, who are completely unconnected with
one another, can have very similar facial features.
• There are no statistics/is no database against which the chances of two
different people having similar facial characteristics can be measured. So, E
cannot say how many people have similar features {e.g. a nose which has
been broken and deviates to the right}. Because of this, E’s opinion, although
based on E’s examination of the images in this case and E’s experience of
{specify number of} cases is only E’s personal view.
• E stated that his/her findings provide {e.g. strong support} for the prosecution’s
claim that D was the person involved in the incident. This is on a scale of “no
support, limited support, moderate support, strong support and powerful
support”. This is not a numerical scale of probability but is a less precise way of
explaining the strength which E personally attaches to what he/she saw.
• In any event, E’s evidence is not evidence of positive identification of D.
You must also bear in mind that E’s evidence is only part of the evidence in the
case. {Identify any evidence capable of supporting, not capable of supporting or
capable of undermining the evidence of E.}
If, having considered all the evidence, you are sure that the person on the footage
is D, you must then decide whether D is guilty of the offence(s) with which he/she
is charged. If you are not sure that the person on the footage is D, you must find D
not guilty.
556 Castleton [1910] 3 Cr App R 74 (appeal Nov 1909), in which the Court of Appeal refused
leave to appeal against conviction when the sole evidence of identification was a match,
proved by an expert fingerprint examiner, between a print left on a candle at the scene and
the defendant’s impressions. Buckley [1999] EWCA Crim 1191 for a review of the history of
fingerprint standards.
557 Reed [2009] EWCA Crim 2698 (concerning DNA evidence) at para.111 discussing expert
evidence generally.
558 Chappell v DPP (1988) 89 Cr App R 82.
559 Code D, paras 4.1 to 4.10. Annex F deals with destruction and speculative searches. See
to fingerprint evidence apply to all other forms of prints, including palm prints.
562
https://www.gov.uk/government/uploads/system/uploads/attachment_data/file/415108/128_F
SR_fingerprint_appendix_issue1.pdf
Directions
6. The jury should be directed that the expert is giving evidence of opinion: see
Chapter 10-3.
7. The following points should be reviewed:
(1) the experience and expertise of E;
(2) the number of ridge characteristics said to be similar;
(3) whether there are any dissimilar characteristics;
(4) the size of the print relied on, in that the same number of similar ridge
characteristics may be more compelling in a fragment of a print (i.e. in a
smaller area) than in an entire print;
(5) the quality and clarity of the print (e.g. whether there has been any
possibility of contamination, any smearing, or any damage to the finger
which left the print);
(6) if there is a realistic possibility that a dissimilar characteristic (as between
the known print of D and the print from the scene) exists, this will exonerate
D.
8. If E expresses conclusions in relative terms (e.g. “no support, limited support,
moderate support, support, strong support, powerful support”) it should be
explained to the jury that these terms are no more than labels which E has
applied to his/her opinion of the significance of his/her findings and that,
because such opinion is entirely subjective, different experts may not attach the
same label to the same degree of comparability.
9. Any attempt to convert such opinion into a numerical or any other scale should
be prevented from the outset and, if necessary, should be addressed with
suitable warnings in the summing up.
10. Evidence which is capable of supporting/not capable of supporting/capable of
undermining the expert evidence must be drawn to the attention of the jury.
Any direction must be modified if two or more experts with differing views give
evidence on this topic. In particular their relative levels of qualification and
experience, the steps which each took to compare the fingerprint/s, their findings
and their opinions should be identified in such a way that their differences are
made clear to the jury.
Example
E is an expert in the field of identification by fingerprints: {summarise relevant
qualifications and experience}.
[Give a direction about expert evidence: see Chapter 10-3.]
E explained that each person’s fingerprint is unique. E described – using the term
“ridge characteristics” – how E compared D’s fingerprints with the fingerprint/s
found at the scene. E pointed out similarities {and differences} between D’s
fingerprints and the fingerprint/s found at the scene and gave his/her opinion on
the significance of his/her findings.
To compare the fingerprint/s E {summarise the steps taken to compare the
fingerprints}.
E’s findings were that: {summarise the evidence of the size and quality of the
print/s found at the scene and of the similarity (and any differences) found in
the/each comparison} e.g. E found a single print which E said was incomplete in
that it had not been made by the whole width of a finger and part of the print had
been smudged. E said that:
• the characteristics of 13 ridges could be made out;
• of these 12 were common to both D’s known fingerprint and the fingerprint
found at the scene;
• the 13th may, or may not, have been common to both D’s known fingerprint and
the print found at the scene: E could not rule out the possibility that it was
different.
E expressed his/her opinion in terms of his/her findings providing {e.g. strong
support} for the contention that D was the person involved in the incident, this
being on a scale of “no support, limited support, moderate support, strong support
and powerful support”. It is important to recognise that this is not a numerical scale
or a percentage of probability, nor are either such measures possible. It is a
relatively imprecise way of expressing E’s subjective opinion about the strength
which E attaches to his/her findings.
E could not say when the print was left or in what circumstances.
You must also bear in mind that E’s evidence is only part of the evidence in the
case. {Identify any evidence capable of supporting, not capable of supporting or
capable of undermining the evidence of E.}
B. Footwear impressions
Legal Summary
12. The taking of footwear impressions is governed by s. 61A PACE and Code D
1.3A. The making of comparisons is governed by s. 63A PACE. “Footwear” is
not defined in PACE or in the Code.
13. A foot print is not capable of providing conclusive evidence of identity since the
comparison does not depend upon the minutiae of unique ridge characteristics
but upon the general size, shape and contours of the foot, together with the
juxtaposition of its features. The print may be left by a bare or stockinged foot or
by footwear and the comparison is usually demonstrated by the use of an
overlay. Directions to the jury concerning the exactness and the limitations of the
match will follow a similar pattern to those required for fingerprints. It is unusual
to obtain a scene of crime print of such clarity and completeness that an exact
match even of these general features can be made. Even if an exact match is
obtained it is incapable of excluding others as donor of the crime print. At most it
will place D among a group of individuals who could have left the mark and the
jury should be so directed. This was confirmed in T563 where the Court of Appeal
held that Bayes' theorem and likelihood ratios should not be used by experts in
this context:
14. “An opinion that a shoe ‘could have made the mark’ is not in our view the same
as saying that ‘there was moderate [scientific] support for the prosecution case’.
The use of the term ‘could have made’ is a more precise statement of the
evidence; it enables a jury better to understand the true nature of the evidence
than the more opaque phrase ‘moderate scientific support’”.564
15. However, the court noted that there might be cases, for example where the print
was of an unusual size or pattern, in which it might be appropriate for an
examiner to go further than “could have made” and express a more definitive
opinion. It is clear that the evidence of the expert as to the significance of the
match will in all cases require close attention.
16. A clear dissimilarity between a footprint from a crime scene and one taken from
D may establish, if not D’s innocence, the fact that D could not have made the
print at the scene.
Directions
17. The jury should be given a direction about expert evidence: see Chapter 10-3
above.
18. The jury should be reminded of the evidence, in detail, and directed as to its
potential significance and potential limitations, such as lack of clarity or an
incomplete impression.
19. Even if an exact match between an impression made by footwear at the scene
and an item of footwear attributable to D is obtained, this cannot exclude others
as having left the impression at the scene. At best it will put D among a group of
individuals who could have left the impression.
20. Any attempt to convert such opinion into a numerical or any other scale should
be prevented from the outset and, if necessary, should be addressed with
suitable warnings in the summing up.
21. Evidence which is capable of supporting/not capable of supporting/capable of
undermining the expert evidence must be drawn to the attention of the jury.
22. Any direction must be modified if two or more experts with differing views give
evidence on this topic. In particular their relative levels of qualification and
experience, the steps which each took to compare the footwear impressions,
their findings and their opinions should be identified in such a way that their
differences are made clear to the jury.
Example
[If not already given, an expert evidence direction should be given at this point: see
Chapter 10-3 above]
In his/her evidence E stated that he/she compared the footwear impression taken
from the scene with a trainer taken from D when D was arrested. E found that the
size and tread pattern of the footwear that left the impression at the scene were
the same as the size and tread pattern of the trainer taken from D. E also said that
some damage to the tread of D’s trainer was similar to features of the impression
taken from the scene.
E agreed that the tread from the impression taken from the scene is the same as
the tread of many thousands of trainers and that many thousands of people have
size 9 feet. E also agreed that whilst the features of damage on the impression
taken from the scene are the same as those on D’s trainer, it is not possible to say
that the damage is unique or that the impression at the scene must have been
made by D’s trainer.
E said that on a scale of “no support, limited support, moderate support, strong
support and powerful support” his/her findings provide moderate support for the
prosecution’s claim that the impression at the scene was made by D’s trainer.
It is important to recognise that this evidence does not prove that D’s trainer made
the impression at the scene or, if it did do so, that D was wearing it at the time. So
it cannot prove that D was at the scene. It is simply part of the evidence for you to
consider. You must not leap to the conclusion that because the impression at the
scene could have been made by D’s trainer, D must have been there and so must
be guilty. The fact is that the impression at the scene could have been made by
any of a very large number of trainers, of which D’s trainer is one.
C. Ear impressions
Legal Summary
23. While there is no reason in principle why ear print comparison should not be
used as an aid to identification, it is important to be aware of particular difficulties
associated with it. In Dallagher,565 the Court of Appeal accepted that evidence of
ear print comparison was admissible but allowed the appeal on the ground of
fresh expert evidence which tended to undermine the confidence with which the
match and its significance were expressed. In Kempster (No 2),566 Latham LJ
gave a helpful description of techniques for lifting and comparing ear prints, and
warned against placing undue weight on an apparent match found in the shape
and “gross features” of the ear. A reliable match could only be made where the
gross features truly provided a “precise match”.
24. Ear print comparison suffers a disadvantage in common with facial mapping.
While there is general agreement among experts that no two ears are the same,
it is virtually impossible to obtain an ear impression which contains all relevant
features of the ear. The crime scene impression is also likely to have been
subject to variations in pressure and to at least minute movement, either of
which will affect the reliability of the detail left. The scope for a significant
number of reliable features for comparison is therefore limited and even if there
is a match between them there is no means of assessing the statistical
probability that the crime scene impression was left by someone other than the
defendant.
Directions
25. The jury should be given a direction about expert evidence: see Chapter 10-3
above (Expert evidence).
26. Evidence relating to ear impressions is so case specific that directions must be
crafted to take account of the particular features of each individual case. It is
essential that any such direction is discussed with the advocates before
speeches.
27. Unless the impression taken from D’s ear compares so precisely with the
impression taken at the scene that it would be open to the jury to conclude from
that evidence alone that the impression at the scene was made by D, the jury
should be told that they must not find D guilty on the basis of such evidence
alone if it is not supported by other evidence.
28. Any specific weaknesses in the evidence of, or concessions made by, any
expert witness must be reviewed in detail.
29. Evidence which is capable of supporting/not capable of supporting/capable of
undermining such evidence must be drawn to the attention of the jury.
30. Any direction must be modified if two or more experts with differing views give
evidence on this topic. In particular their relative levels of qualification and
experience, the steps which each took to compare the impressions, their
findings and their opinions should be identified in such a way that their
differences are made clear to the jury.
Example
[If not already given, an expert evidence direction should be given at this point: see
Chapter 10-3.]
NOTE: Any case involving the comparison of an ear impression with D’s ear is
bound to be case specific so no example is provided. For a discussion of the
issues that may arise see Kempster567.
Legal Summary
1. Evidence of identification by voice can take a number of forms, such as from a
lay witness who may or may not have known the defendant before hearing the
questioned speech; evidence of voice identification procedures, at which a lay
witness has identified the defendant’s voice from a number of others; and, as a
supplement or alternative to the above, the evidence of experts who may report
conclusions based on analysis of questioned and reference speech, especially
where the speech is accessible in electronic form. In certain circumstances the
jury may be asked to make their own comparison between questioned and
reference speech recordings.
2. The leading authority is Flynn and St John.568 In that case Gage LJ emphasised:
“in all cases in which the prosecution rely on voice recognition evidence,
whether lay listener, or expert, or both, the judge must give a very careful
direction to the jury warning it of the danger of mistakes in such cases.” [64]
Evidence of a lay witness
3. In all cases of witness identification or recognition by voice, a modified Turnbull
direction [see Chapter 11-1] is required emphasising the dangers of assuming
that recognition or identification of voice is reliable: Hersey569; Chenia.570
Identification by voice is even less reliable than eye witness identification or
recognition; even a confident recognition of a familiar voice by a lay listener may
nevertheless be wrong: Flynn and St John,571 para.16. The direction need not
follow a “precise form of words… so long as the essential elements of the
warning are given to the jury”: Phipps.572
4. The potential weaknesses of such identification or recognition include the
following factors, some of which are not found in a Turnbull warning:
(1) Audibility of speech heard.
(2) Environmental factors affecting hearing of speech.
(3) Duration for which speech heard.
(4) Number of voices heard.
(5) Whether it was heard directly or by electronic means such as phone or
Skype, in which case the sound quality of what was transmitted will also
come into play.
(6) Whether there was an identified attempt to disguise the voice.
(7) Hearer’s hearing disability or other impediment (if any).
needs the assistance of the judge: Yam.577 Particular care may be needed where
translators are also involved in the exercise: see Tamiz.578
Comparisons in court
8. Careful consideration must be given as to whether the jury should be permitted to
listen to recordings, for what purpose and if so with what practical arrangements
in place579. It is suggested that the process should be regulated by the judge in
the same way as viewing video footage is controlled. If is the jury are permitted to
review recordings the jury should again be reminded of a checklist of potential
weaknesses of such an approach which must be tailored to the facts of each
case, told to bear in mind the evidence of the voice recognition witnesses (if any)
and warned of the dangers of relying on their own untrained ears: Flynn and St
John (above).
9. Where a voice recording is played for another purpose (such as to demonstrate
that certain words were uttered on a particular occasion), and it is not appropriate
for the jury to undertake any voice comparison for themselves, they should be
directed specifically to refrain from doing so.
Directions
10. If an expert witness has given evidence, a direction about such evidence should
be given if it has not already been given: see Chapter 10-3 above.
11. What follows is a non-exhaustive list of possible considerations.
(1) Identification by voice recognition is more difficult than visual identification.
(2) As with visual identification, a genuine, honest and convincing witness who
purports to identify a voice may be mistaken and a number of such
witnesses may all be mistaken. This is so even when the witness/witnesses
are very familiar with the known voice i.e. the basis for recognition is strong.
(3) Voice recognition evidence of a witness who is not an expert may be
admitted but the ability of a lay listener correctly to identify voices is subject
to a number of variables which require such evidence to be treated with
great caution and great care having regard to, inter alia, these factors:
(a) the quality of the recording of the disputed voice;
(b) the length of time between the listener hearing the known voice and the
listener’s attempt to recognise the disputed voice;
(c) the extent of the listener’s familiarity with the known voice;
(d) the nature, duration and amount of speech which it is sought to identify;
in which any recordings are played of the reference voice and the questioned voice, whether
the jury are given a transcript of any recognisable utterances, how many times the
recordings are repeated, and at whose request, and what arrangements will be made for the
jury to consider the same material during their deliberations.
(e) the nature and integrity of the process by which the purported
identification was made, in particular whether or not a voice comparison
exercise in which the disputed voice is put with the voices of several
others (similar to an identification procedure) was used.
(4) Voice identification is likely to be more reliable when carried out by (i) an
expert listener using auditory phonetic analysis and/or (ii) an expert in voice
analysis using acoustic recording and measurement (quantitative acoustic
analysis).
(5) Evidence which is capable of supporting/not capable of supporting/capable
of undermining such evidence must be drawn to the attention of the jury.
(6) Any direction must be modified if two or more experts with differing views
give evidence on this topic. In particular their relative levels of qualification
and experience, the steps which each took to compare the recordings, their
findings and their opinions should be identified in such a way that their
differences are made clear to the jury.
• How long was it between the time that W became familiar with D’s voice and the
time of the ‘phone call; and between the time that W told the police that the
voice was D’s; and the time that W picked out the voice on the voice parade?
• Is there any marked difference between W’s description of the voice and speech
that W heard during the ‘phone call and D’s voice and the way in which D
speaks? Nor did E carry out any acoustic analysis by using a computer to
compare the recorded conversation and the recording of D’s voice.
When you consider whether there are any weaknesses in W’s evidence you
should bear in mind:
that whilst W knows D well, W does not have any training or experience in voice
recognition;
W was speaking and listening to the caller on a ‘phone, which does not provide the
same quality and definition as a face to face conversation.
You should also consider {specify any other matter}.
The following evidence is capable of providing support for/undermining W’s
evidence {specify}. I should point out that the evidence that {specify} is not capable
of supporting W’s is {specify}.
E did not test his/her comparison by comparing the recordings of D’s voice and the
speech in question with either recordings of other voices which are similar in pitch,
tone, accent and speed or with the voices of any of the other defendants;
Although you have heard the recording of the conversation in question for
yourselves, the only reason for that was so that you know (a) what was said and
(b) the material on which E has based his/her opinion. But you are not experts in
voice recognition and you must not base any conclusion on your own inexpert and
untrained comparison between the recorded conversation and the recording of D’s
voice.
The following evidence is capable of providing support for/undermining W’s
evidence {specify}. I should point out that the evidence that {specify} is not capable
of supporting W’s is {specify}.
Glossary
Term Definition
Allele One member of a pair or series of genes which control the
same trait. Represented by forensic scientists at each
locus as a number.
Allele “drop in” An apparently spurious allele seen in electrophoresis
which potentially indicates a false positive for the allele. A
potentially spurious contribution to the mathematical
analysis is known as a “stochastic effect” of LCN when the
material analysed is less than 100-200 picograms (one 10
millionth of a grain of salt).
Allele “drop out” An allele which should be present but is not detected by
electrophoresis, giving a false negative. Known as a
“stochastic effect” of LCN as above.
DNA Deoxyribonucleic acid in the mitochondria and nucleus of a
cell contains the genetic instructions used in the
development and functioning of all known living organisms.
DNA profile Made up of target regions of DNA codified by the number
of STR (see below) repeats at each locus
Electrophoresis The method by which the DNA fragments produced in STR
are separated and detected.
Electrophoretogram The result of electrophoresis produced in graph form.
Locus/loci Specific region(s) on a chromosome where a gene or short
tandem repeat (STR) resides. The forensic scientist
examines the alleles at 10 loci known to differ significantly
between individuals.
Low template DNA/ By increasing the number of PCR cycles from the standard
Low copy numbering: 28-30 to 34, additional amplification can produce a DNA
profile from tiny amounts of sample
Masking When two contributors to a mixed profile have common
alleles at the same locus they may not be separately
revealed; hence pair “masks” the other.
Mixed profile Profile from more than one person, detected when there
are more than two alleles at one locus. There will
frequently be a major and a minor contributor in which the
minor profile is partial.
NDNAD National DNA Database.
PCR: Polymerase chain reaction, a process by which a single
copy or more copies of DNA from specific regions of the
DNA chain can be amplified.
Term Definition
SGM Plus Second Generation Multiplex Test: an Amplification kit
used to generate DNA profile. It targets 10 STR loci plus
the gender marker.
Stochastic threshold Above which the profile is unlikely to suffer from stochastic
effects (i.e. potentially spurious effects), such as allelic drop
out.
STR Short tandem repeat, where a part of the DNA molecule
repeats. Comparison of the pattern or blocks produced is
the modern form of DNA profiling, in use since the 1990s.
Stutter The PCR amplification of tetranucleotide short tandem
repeat (STR) loci typically produces a minor product band
shorter than the corresponding main allele band; this is
referred to as the stutter band or shadow band. They are
well known and identified by analysts
Voids A locus at which no alleles are found in the crime
specimen probably through degradation of the material.
The defendant may say that the alleles which should have
been there might have excluded him/her.
Legal Summary
1. Where DNA evidence is relied on, all parties in the case will be assisted by the
primer issued by the Royal Society in conjunction with the Judicial College,
entitled Forensic DNA Analysis: A primer for the courts580.
Profiling DNA material
2. Different regions or “loci” in the DNA chain contain repeated blocks of “alleles”.
Modern analysis concentrates on 10 loci in the chain which are known to contain
alleles which vary widely between individuals. There is also a gender marker.
The sample is amplified using PCR. The blocks are identified using
electrophoresis. Analysis of the result is achieved by means of laser technology
which detects coloured markers for the alleles, converted by a computer
software programme to graph form. The alleles are represented by numbers at
each of the 10 known loci.
Low template DNA
3. Despite at one time being subjected to criticism and even being temporarily
suspended following the decision in Hoey,581 low template DNA (the technique
by which a minute quantity of DNA can be copied to produce an amplified
sample for analysis) was endorsed in an expert review commissioned by the
Forensic Science Regulator.582 The report also reached a favourable conclusion
in respect of the precautions taken in UK laboratories against contamination.
4. In a thorough review of the state of science, the Court of Appeal in Reed, Reed
and Garmson583 held that the technique could be used to obtain profiles capable
of reliable interpretation if the available quantity of DNA is above the stochastic
threshold of between 100 and 200 picograms.584 Challenges to the validity of the
technique where the quantity is above that threshold should no longer be
permitted in the absence of new scientific evidence. The judgment is a valuable
source of information on the following topics: (1) the technique of conventional
DNA analysis (paras.30 to 43); (2) the technique of analysis of Low Template
DNA by the Low Copy Numbering (LCN) process and the phenomenon of
stochastic effects (paras.44 to 49); (3) match probability (paras.52 to 55); (4)
expert evidence of the manner and time of transfer of cellular material (paras.59
to 61; 81 to 103; paras.111 to 127); (5) the procedural requirements of CPR 33
for the admission of expert evidence (paras.128 to 134); and (6) analysis of
mixed and partial profiles and the effect of that analysis upon the need for
careful directions in summing up (paras.18 to 25; 178 to 215).
5. In C585 it was held that the decision in Reed had not purported to lay down a rule
establishing the need for a set minimum quantity of DNA; the only question was
whether a reliable quantity could be produced despite the low quantity.
policing/Review_of_Low_Template_DNA_12835.pdf?view=Binary
583 [2009] EWCA Crim 2698.
584 See para.74 for further discussion.
585 [2010] EWCA Crim 2578.
Broughton586 reached a similar conclusion, namely that the court in Reed had
not said that evidence of DNA analysis was inadmissible where the quantity of
available material fell below the stochastic threshold, but rather that:
“… above this threshold a challenge to the validity of analysing LTDNA by the
LCN process should not be permitted in the absence of new scientific
evidence. However, the court did not hold or make at any observation to the
effect that below the stochastic threshold DNA evidence is not admissible. To
the contrary, the court explained at paragraph 48:
“… Above that threshold … the stochastic effect should not effect the
reliability of the DNA profile obtained. Below the stochastic threshold the
electrophoretograms may be capable of producing a reliable profile, if for
example there is reproducibility between the two runs.”587
6. Thomas LJ concluded the answer was not to be found in a minimum threshold
but in the general principles governing the admissibility of expert evidence:
“A court must consider whether the subject matter of the evidence is part of a
body of knowledge or experience which is sufficiently well organised or
recognised to be accepted as a reliable body of knowledge or experience. If
the field is sufficiently well established to pass the ordinary tests of reliability
and relevance, then that is sufficient. The weight of the evidence should then
be established by our familiar adversarial forensic techniques.”588
7. In Dlugosz,589 Thomas LJ offered guidance on the direction to a jury on Low
Template DNA:
“that provided it is made clear to the jury the very limited basis upon which an
evaluation can be made without a statistical database, a jury can be assisted
in its consideration of the evidence by an expression of an evaluative opinion
by the experts. We consider that on the materials with which we have been
provided, there may be a sufficiently reliable scientific basis on which an
evaluative opinion can be expressed in cases, provided the expert has
sufficient experience (which must be set out in full detail in the report) and the
profile has sufficient features for such an opinion to be given. If the
admissibility is challenged, the judge must, in the present state of this
science, scrutinise the experience of the expert and the features of the profile
so as to be satisfied as to the reliability of the basis on which the evaluative
opinion is being given. If the judge is satisfied and the evidence is admissible,
it must then be made very clear to the jury that the evaluation has no
statistical basis. It must be emphasised that the opinion expressed is quite
different to the usual DNA evidence based on statistical match probability. It
must be spelt out that the evaluative opinion is no more than an opinion
based upon [the expert's] experience which should then be explained. It must
be stressed that, in contrast to the usual type of DNA evidence, it is only of
more limited assistance.”
Interpreting results
The role and obligations of the expert
10. Interpretation is a matter of expertise. The analyst compares the blocks of alleles
at each locus as identified from the crime specimen with their equivalent from
the suspect’s specimen. The statistical likelihood of a match at each locus can
be calculated from the forensic science database of 400 profiles. If a match is
obtained at each of the 10 loci a match probability in the order of 1 in 1 billion is
achieved. The fewer the number of loci in the crime specimen producing results
for comparison, the less discriminating the match probability will be.
11. When the expert testifies, he/she should not overstep the line separating the
expert’s province from that of the jury. As held in Doheny,591 the expert’s role is
to explain the nature of the match between the DNA in the crime stain and the
defendant’s DNA, and give the jury the random occurrence ratio. The expert
should not be asked their opinion as to the likelihood that it was the defendant
who left the crime stain and should be careful to avoid terminology which could
lead the jury to believe that he/she was expressing an opinion.
12. The court in Reed emphasised the importance of the expert following the
obligation in CrimPR, r 33.3(1)(f) and (g) to identify areas in the report in relation
to which there is a range of opinion. The scope of opinion should be summarised
and reasons for the expert’s own opinion be given. Any qualifications to the
opinion should be made clear.592
“Match probability” and “Likelihood ratio”593
13. If a person’s DNA profile matches that of a crime sample, it is the expert’s role to
evaluate the significance of the match using statistical means.
(1) The “random occurrence ratio” (or “match probability”) is the statistical
frequency with which the match
in profile between the crime scene sample
and someone unrelated to D will be found in the general population. A
probability of 1 in 1 billion is so low that, barring the involvement of a close
relative, the possibility that someone other than D was the donor of the
crime scene sample is effectively eliminated. This significantly reduces the
risk that the “prosecutor’s fallacy” will creep into the evidence or have any
evidence upon the outcome of the trial.594
(2) The “likelihood ratio” is an expression of the comparative likelihood of a
given DNA result being found in the context of two mutually inconsistent
competing conditions such as “Proposition 1: D is a contributor to a mixed
crimestain. Proposition 2: D is not a contributor to the crimestain”. The raw
likelihood of the DNA finding in each circumstance is first evaluated
independently and then the likelihood ratio is an expression of one likelihood
as against another. The likelihood ratio might be expressed as follows: “The
DNA findings are around one billion times more likely if Proposition 1 is
true”.
The “prosecutor’s fallacy”
14. The “prosecutor’s fallacy” confused the random occurrence ratio with the
probability that the defendant committed the offence. In Doheny and Adams,595
Phillips LJ demonstrated it by reference to a random occurrence ratio of 1 in 1
million. This did not mean that there was a 1 in a million chance that someone
other than the defendant left the stain. In a male population of 26 million there
were 26 who could have left the stain. The odds of someone other than the
defendant having left the stain depend upon whether any of the other 26 is
implicated.596
The need for a sufficiently reliable scientific basis
15. In Dlugosz,597 three conjoined appeals which each raised issues as to the
evaluation of low template and mixed DNA evidence, it was argued that unless
statistical evidence of the relevant DNA match probability could be given, an
evaluative opinion should not be admitted either. The court rejected the
even if D and the offender each wears size 14 shoes that does not mean there is only one
chance in 1000 of D being innocent. There may indeed be other suspects, each of whom
wears size 14 shoes.”
597 [2013] EWCA Crim 2.
argument that the jury in such cases lacked a firm basis on which to evaluate the
significance of the evidence given. Although in determining the admissibility of
any expert evidence the court must be satisfied that there is a sufficiently reliable
scientific basis for it,
“provided the conclusions from the analysis of a mixed profile are supported
by detailed evidence in the form of a report of the experience relied on and
the particular features of the mixed profile which make it possible to give an
evaluative opinion in the circumstances of the particular case, such an opinion
is, in principle, admissible, even though there is presently no statistical basis
to provide a random match probability and the sliding scale cannot be
used.”598
Procedural requirements
16. In Reed, Reed and Garmson,599 the court emphasised the importance of pre-trial
preparation and management, and the role of CrimPR 33 [now 19]. Thomas LJ
gave the following guidance:
“131 In cases involving DNA evidence,
i) It is particularly important to ensure that the obligation under Rule
33.3(1)(f) and (g)600 is followed and also that, where propositions are to
be advanced as part of an evaluative opinion … that each proposition is
spelt out with precision in the expert report.
ii) Expert reports must, after each has been served, be carefully analysed
by the parties. Where a disagreement is identified, this must be brought
to the attention of the court.
iii) If the reports are available before the PCMH, this should be done at
the PCMH; but if the reports have not been served by all parties at the
time of the PCMH (as may often be the case), it is the duty of the Crown
and the defence to ensure that the necessary steps are taken to bring
the matter back before the judge where a disagreement is identified.
iv) It will then in the ordinary case be necessary for the judge to exercise
his powers under Rule 33.6 and make an order for the provision of a
statement.
v) We would anticipate, even in such a case, that, as was eventually the
position in the present appeal, much of the science relating to DNA will
be common ground. The experts should be able to set out in the
statement under Rule 33.6 in clear terms for use at the trial the basic
science that is agreed, in so far as it is not contained in one of the
reports. The experts must then identify with precision what is in dispute –
598 [2013] EWCA Crim 2 at para. 28. See also Thomas [2011] EWCA Crim 1295. The expert
in the case was entitled to base her opinion on simulation experiments and on her lengthy
experience as a forensic scientist. Her evidence could be tested in cross-examination and it
was for the jury to assess its limitations and weight.
599 [2009] EWCA Crim 2698 at paras.128 to 134.
600 Now Crim PR, r 33.4(f) and (g).
(5) In the case of a mixed profile is the DNA profile which matches the
defendant the major contributor to the overall DNA profile?
(6) Is it more or less likely that the DNA profile attributable to the defendant
was deposited by primary or secondary transfer?
20. The court concluded:
“This is not an exhaustive list and each case will depend on its own facts.
The crucial point is that there is no evidential or legal principle which
prevents a case solely dependent on the presence of the defendant's
DNA profile on an article left at the scene of a crime being considered by
a jury.”604
21. In a case where DNA evidence would have failed the Tsekiri test if it stood
alone, but is supported by other independent evidence the jury should be
directed about the limited probative value of the DNA evidence. In Reed, Reed
and Garmson,605 the Court of Appeal approved the trial judge’s approach of
explaining to the jury at the outset of his consideration of the DNA evidence:
“The important thing is this. No one suggests that this evidence on its own
conclusively proves the guilt of the defendant on any count or goes anywhere
near doing that. If all you had was the DNA evidence you could not begin to
find [the defendant] guilty on any of these counts because all the DNA
evidence does (at the most) is show that he is one of the men who may have
committed these offences and that is perhaps to put it at its highest.”
22. The situation will be different where the crime is one such as simple
possession of a weapon. In this case the jury is being invited to use the DNA
evidence to establish a direct link between D and the article in question. Subject
to being satisfied about the way the DNA was transferred the jury can convict on
that evidence.606
“The presence of DNA on the article, on the muzzle of a gun in this case, is
capable of being evidence of possession of the article … The possibility of
indirect transfer was a matter for the jury to address on the basis of all of the
evidence in the case. If they concluded that it might be the case that it was
indirectly transferred in some way, then they would of course have to acquit,
but that was not a necessary conclusion and the matter was properly left to
them, provided that they were correctly directed as to the burden and the
standard of proof.”607
Directions
23. DNA evidence, if disputed, is always intricate both in terms of the scientific
process and the factual detail. In most cases the existence of DNA is unlikely to
be in issue: the main issue is likely to be the interpretation of the scientific
findings in terms of match probability, which is usually expressed in terms of the
probability of a match between people of the same gender who are unrelated
604 For an example of Tsekiri being applied see Bech [2018] EWCA Crim 448.
605 [2009] EWCA Crim 2698 at paras.128 to 134.
606 Sampson [2014] EWCA Crim 1968.
607 See also FNC [2015] EWCA Crim 1732.
being in the order of one in so many (often expressed in millions or even one
billion). The summing up must focus on the real issues in relation to such
evidence.
24. A direction about expert evidence will be necessary: see Chapter 10-3 above.
25. The direction is likely to be complex and should be discussed with the advocates
in the absence of the jury before closing speeches.
26. Depending on the issues in the case the following matters may need to be
considered when reviewing such evidence for the jury:
(1) A brief summary of the evidence which has been given to explain what DNA
is and how evidence of its presence may be relevant in the trial process.
This may include evidence of full and/or partial profiles.
(2) A summary of the DNA findings.
(3) Where there is evidence of a partial DNA profile the jury must be made
aware of its inherent limitations.
(4) Where there is evidence of a mixed sample (DNA from more than one
person) care must be taken to remind the jury of the detail of the findings
and any opinion/s expressed in relation to those findings.
(5) Avoiding the “prosecutor’s fallacy”, the random occurrence ratio or, if used,
the likelihood ratio, should be explained. The direction should be expressed
in terms of probability: for example
“…if you accept the scientific evidence called by the Crown there are
probably only 4 or 5 white males in the UK from whom the semen stain
could have come. You must look at that scientific evidence and all the
other evidence in order to decide whether it was D who left that stain or
whether it is possible that it was left by another of the small group of
men who share the same DNA characteristics”.
(6) A summary of any explanation given by D in relation to the DNA findings: in
most cases D will accept that DNA which matches D’s DNA profile is
his/hers and will give an explanation as to how it came to be where it was
found.
(7) The jury should be reminded that the DNA findings are of themselves only
evidence of a probability of contact between D and the place from which the
sample was taken and to the extent shown by the profile. In considering
their verdict the jury must have regard to all of the evidence in the case.
(8) The jury should be reminded of evidence which is capable of supporting, not
capable of supporting and capable of undermining the DNA evidence.
(9) Where the profile of DNA found at a particular location does not match that
of D, this may, depending on the circumstances of the case, be capable of
providing powerful evidence which undermines the prosecution case. If this
is so, the jury must be directed appropriately.
Example
Explanation of DNA
NOTE: It is important that any explanation is a summary of the evidence given by
a forensic scientist and not “evidence” given by the judge. This example is adapted
from an expert witness statement made in 2013.
DNA (Deoxyribo-nucleic acid) is a complex chemical found in almost all cells in the
human body which may be deposited onto an item or onto another person. Where
DNA is found it is possible to prepare a DNA profile, that is to say a “picture” of the
components of the DNA, which may then be compared with another DNA profile,
obtained from a reference sample or reference samples taken from one or more
people. If the DNA profiles which are compared are different then the DNA could
not have originated from the person with whose reference sample the DNA found
has been compared. If they are the same then the evidential significance of the
match may be evaluated.
No person’s DNA profile is unique, and so two or more people will have the same
DNA profile. Because of this, the existence of a particular DNA profile in a
particular situation cannot prove that a particular person was involved in that
situation but instead the existence of the profile together with other scientific data
may be used to give an indication of the probability, not of that particular person
being involved, but of one of a group of people, of which that person is one, being
involved.
This indication of probability is provided by reference to the “random occurrence
ratio”. This is the frequency with which DNA characteristics matching the DNA
sample found in a particular situation are likely to be found in the population at
large.
The DNA analysis technique used in this case examined 10 areas, plus another
area that indicates the gender of the source of the DNA. Within each area are 2
results: one from the mother and one from the father of the person whose DNA it
is. The presence of more than 2 results at one area in the DNA profile indicates
the presence of a mixture of DNA from more than one person. Where a mixture of
DNA is present it can still be possible to make a statistical assessment of the
likelihood of the findings if a person has contributed to the DNA, rather than that
they have not and the results are present by chance.
Analysis in a particular case
In this case we heard of DNA being found on/at {location}. We also heard that this
DNA has been compared with a sample of DNA which was taken from D and that
the DNA which was found matches D’s DNA. It also matches {number} other
members of the population. Based on this evidence E said that the probability of
the DNA which was found having been left on/at {location} by someone other than
D was {data}. That is the random occurrence ratio in this case.
If you accept this evidence, it means that there are probably only {number and
category … e.g. 5 people/males/white males} in the UK from whom that DNA could
have come. D is one of them. What you must decide on all the evidence is whether
you are sure that it was D who left that DNA or whether it is possible that is was
one of that other small group of {people/males/ white males} who share the same
DNA characteristics.
Defendant’s explanation: denial that DNA is D’s and assertion that the exhibits
have been contaminated
D denies that the DNA which was recovered from {location} is his/hers and has
suggested in his/her evidence that a possible reason for this is that the DNA taken
from {location} has somehow been exposed to D’s DNA sample during the course
of the scientific examination of these exhibits at the laboratory. You should bear in
mind that, as it is for the prosecution to prove the case against D, it is for the
prosecution to establish that the DNA taken from {location} has not been
contaminated: it is not for D to establish that it has.
As to this issue you will remember the evidence which E gave about this possibility
when E was cross-examined, namely that {review evidence}. If having considered
that evidence you decide that the DNA taken from {location} may have been
contaminated, then you will take no account of this evidence at all. If on the other
hand you are sure that the DNA taken from {location} has not somehow been
mixed with D’s DNA then you are entitled to take the evidence about DNA into
account when you are considering whether it has been proved, so that you are
sure of it, that D is guilty.
Defendant’s explanation: admission that the DNA is D’s and suggestion of how it
may have been in the place in which it was found
D has accepted that the DNA found at/on {location} is his/hers but D has given
evidence that {review evidence}. V’s evidence on the other hand is that {review
evidence}.
You will have to consider these two conflicting accounts and decide whether the
account which D has given is, or may be true, or whether you can be sure that it is
V who has told you the truth. If you find that D’s account is, or may be, true then
this would provide a possible explanation for the presence of D’s DNA at/on
{location} which is not incriminating. On the other hand if you find V’s account is
true, it follows that you will reject D’s account, and in this event you are entitled to
consider the DNA evidence when you are deciding whether the prosecution have
established, so that you are sure of it, that D committed the offence.
Other factors
A direction in relation to expert evidence must also be given (see Chapter 10-3
above) which should include a similar warning to this:
I should point out to you that the expert’s findings and evidence are in themselves
only evidence of a probability of contact between D and the location from which
the DNA sample was taken. This evidence does not in itself prove that D
committed the offence with which D has been charged and, in order to reach your
verdict, you must have regard to all of the evidence in the case of which this is but
a part.
As to the other evidence in the case which is capable of supporting/not capable of
supporting/undermining the DNA evidence {review evidence}.
Where forensic gait analysis is undertaken, all parties in the case will be assisted by
the primer issued by the Royal Society in conjunction with the Judicial College,
entitled Forensic Gait Analysis: A primer for the courts608.
Legal Summary
1. For the purposes of PACE, a confession is “any statement wholly or partly
adverse to the person who made it, whether made to a person in authority or not
and whether made in words or otherwise”: s. 82(1).
Mixed statement
2. The evidential effect of a ‘mixed statement’ (i.e. comprising both admissions and
exculpatory/self-serving assertions) was explained by Lord Lane CJ in
Duncan609 (since approved by the House of Lords in Sharp):610
“… the simplest, and, therefore, the method most likely to produce a just
result, is for the jury to be told that the whole statement, both the incriminating
parts and the excuses or explanations, must be considered by them in
deciding where the truth lies.”
3. While Duncan concerned a D who had not given evidence, the principle that the
whole statement is admissible as evidence of the truth of the matters stated
applies whether D gives evidence or not. As to the weight to be attached to the
exculpatory part of a mixed statement, Lord Lane CJ held that:
“… where appropriate, as it usually will be, the judge may, and should, point
out that the incriminating parts are likely to be true (otherwise why say
them?), whereas the excuses do not have the same weight.”611
4. In Hamand612 the Court of Appeal held that the exculpatory parts of a mixed
statement were capable of discharging an evidential burden on D (e.g. to raise
the issue of self-defence or loss of control).
5. In Papworth,613 applying Garrod614 it was held that the rule is based on fairness
to D and simplicity for the jury. The judge should be encouraged to estimate at
the end of the evidence whether the Crown placed significant reliance on the
incriminating statements; if so, “the more it is likely that the jury should be told
that the parts which explain or excuse those incriminating parts are also
evidence in the case.”
6. Where the Crown rely on a series of inculpatory remarks in interview the judge
should not direct the jury to dismiss them as merely reaction.615 Care needs to
confession being excluded if it has not operated in a way prejudicial to the accused: Canale
[1990] 2 All ER 187.
621 Mushtaq [2005] UKHL 25 at [37].
622 Murray [1951] KB at 393; Chan Wei Keung [1967] 51 Cr App R 257 at 265; Mustaq
Directions
12. A confession that is a statement adverse to the interests of D may have been
made in a number of different circumstances e.g. to an acquaintance, a stranger
or to the police in interview.
13. Specific directions will depend on the circumstances of the case but the
following should be considered:
(1) A review of the terms of the confession.
(2) If the fact of the confession is disputed, the jury must decide whether they
are satisfied that a confession was made. Accordingly, the jury should be
reminded of any evidence tending to support and any evidence tending to
rebut the making of the confession.
(3) If the fact of the confession is admitted but it is disputed that it is true, the
jury should be reminded of any evidence relevant to this issue.
(4) If it is alleged that the confession was made to the police as a result of
oppression, the jury must be directed that only if they are sure that there
was no oppression may they rely upon the confession. The jury should be
reminded of any evidence relevant to this issue.
(5) If the confession is said to have been made in breach of the Codes of
PACE, the breach/es alleged and the prosecution’s response should be
reviewed and the jury directed that if they consider there was, or may have
been, a breach of the Code they must consider the effect that this may have
upon the reliability of the confession and the weight that they attach to it.
(6) If a confession is said to have been made by a D who is “mentally
handicapped” and was not made in the presence of an independent person,
the jury must be warned that there is a special need for caution before
convicting D in reliance on that confession.
cases: (a) where a confession has been properly obtained from a mentally handicapped
person in the absence of an independent person in the course of an ‘urgent interview’ as
permitted by Code C; (b) where the interview was in breach of Code C but there was only
‘one interview during a comparatively short period of custody’.
(b) Where there is an issue whether what was said amounts to a confession
D’s case is that although D did say these things they do not amount to a
confession and when you come to decide whether you can safely rely upon this
evidence you must consider D’s explanation for having said what he/she did and
the interpretation which D invites you to put on these words.
If you are not sure that what D said amounts to a confession then you must take
no account of it and ignore it completely. If you are sure that it does amount to a
confession then you must go on to decide whether it is true and reliable. If you are
sure that it is true and that you can rely upon it, then you may treat it as evidence
which supports the prosecution’s case. If you are not sure that it is true then you
must ignore it altogether.
16-3 Lies
ARCHBOLD 4-461; BLACKSTONE’S F1.21
Legal Summary
1. A defendant’s lie, whether made before the trial or in the course of evidence or
both, may be probative of guilt.630 A lie is only capable of supporting other
evidence against D if the jury are sure that631:
(1) it is shown, by other evidence in the case, to be a deliberate untruth; i.e. it
did not arise from confusion or mistake;
(2) it relates to a significant issue;
(3) it was not told for a reason advanced by or on behalf of D, or for some other
reason arising from the evidence, which does not point to D’s guilt.632
2. The direction should be tailored to the circumstances of the case, but the jury
must be directed that only if they are sure that these criteria are satisfied can D’s
lie be used as some support for the prosecution case, but that the lie itself
cannot prove guilt.633 It is important that care is taken to make clear these
criteria.634
3. If the issue for the jury is whether to believe the prosecution witnesses rather
than D, and doing so will necessarily lead them to conclude that D was lying in
the account he/she gave, such a direction is not necessary.635
4. Similarly, a lies direction is not needed where D’s explanation for his/her
admitted lies can be dealt with fairly in summing-up.636
5. A lies direction is normally only required in four situations637 (which may overlap)
as described in Burge and Pegg:
(1) “Where the defence relies on an alibi; 638
(2) Where the judge considers it desirable or necessary to suggest that the jury
should look for support or corroboration of one piece of evidence from other
evidence in the case, and amongst that other evidence draws attention to
lies told, or allegedly told, by D;
(3) Where the prosecution seek to show that something said, either in or out of
the court, in relation to a separate and distinct issue was a lie, and to rely on
evidence of D’s guilt they would be likely to engage in circular reasoning – “we believe V
therefore D is a liar therefore that is a good reason to believe V and convict D.” see
Middleton [2001] Crim LR 251.
636 Saunders [1996] 1 Cr App R 463 at pp. 518–19.
637 Burge [1996] 1 Cr App R 163.
638 See also Lesley [1996] 1 Cr App R 39 on the desirability of warning the jury of false alibis
Directions
7. Whether a direction should be given to the jury in respect of any admitted or
proved lie/s should be the subject of discussion with the advocates before
speeches. In particular care should be taken to identify with the advocates the
lie/s in respect of which the direction is to be given.
8. Before the jury may use an alleged or admitted lie against D they must be sure
of all of the following:
(1) that it is either admitted or shown, by other evidence in the case, to be a
deliberate untruth: i.e. it did not arise from confusion or mistake;
(2) that it relates to a significant issue; and
(3) that it was not told for a reason advanced by or on behalf of D, or some
other reason arising from the evidence, which does not point to D’s guilt.
9. The jury must be directed that unless they are sure of all of the above the
[alleged] lie is not relevant and must be ignored.
10. If the jury are sure of all of the above they may use the lie as some support for
the prosecution case, but it must be made clear that a lie can never by itself
prove guilt.
11. In a case in which by telling lies in interview the defendant failed to mention
matters on which he/she now relies in his/her defence, so that a s. 34 inference
direction is required [see Chapter 17-1] a direction combining both of these
features, rather than two separate directions, should be given.
Example 1: D admits telling a lie and gives a reason for having done so
When D was {e.g. arrested/interviewed/ charged} D said {specify}. D admits that
he/she said this and accepts that it was a lie, but gave an explanation namely
{specify}
When you are considering this evidence you must decide why D lied. In doing so you
must bear in mind that a defendant who tells a lie is not necessarily guilty: sometimes
a defendant who is not guilty will tell a lie for some other reason. The reason which D
gave for telling this lie is that he/she was scared that he/she would not be believed if
D gave the account which he/she gave in evidence (which D said is the truth) and in
a state of panic instead said the first thing that came into his/her head; and if you find
that that is, or may be, true you must take no notice of this lie and not hold it against
D.
[Only if there is an evidential basis for the following: If you are satisfied that this was
not the reason that D lied, you should also consider whether D may have been, and
still is, afraid to tell the truth because {e.g. although it would exonerate him/her, D has
not wanted to incriminate any of his/her co-defendants and, for obvious reasons, has
not felt able to say so}; and if you find that this is, or may be, the reason for D to have
lied then again you will take no notice of this lie and not hold it against D.]
If however you are sure that D did not have this/these reason/s for lying, you may
use this as evidence which supports the prosecution's case, but D is not to be
convicted either wholly or mainly on the basis that he/she lied.
Example 3: D admits telling a lie in interview, gives a reason for having done
so and accepts that by lying he/she did not mention something on which
he/she has relied in court
Before his/her interview D was cautioned in these words: ‘You do not have to say
anything but it may harm your defence if you fail to mention when questioned
anything which you later rely upon in court.’ D then went on to give an account to
the police in which he/she said {specify}.
As part of his/her defence D has relied on {specify}.
D did not mention these things when he/she was questioned, but instead (as D
accepts) told lies, and this may, as D was told in the words of the caution, “harm
his/her defence”. This is because you are entitled, subject to certain conditions, to
draw the conclusion that these things are not true and have since been invented
by D to support his/her defence.
The conditions which must be satisfied before you are entitled to draw that
conclusion are that:
1. the prosecution case being put to D at the time of his/her interview was such
that it called for an answer; and
2. D could reasonably have been expected to mention the matters on which
he/she now relies when D was interviewed; and
3. the only sensible reason that D did not do so is that D had not yet thought of
them.
The Defence ask you not to draw this conclusion from the fact that D did not
mention these things in interview and rely on D’s evidence that he/she didn’t tell
the police about these things, and instead told the police what he/she now accepts
are lies, so that/because {specify}.
If you find that this is or may be right, then you should not hold it against D that D
did not mention these things in his/her interview, but instead told lies, and neither
the fact that D did not mention them, nor that fact that D lied, could provide any
support for the prosecution case.
If on the other hand you are sure there was no good reason for D not to put
forward in interview the account on which D now relies, and for D to tell lies
instead, you are entitled to use this as some support for the prosecution case; but
you must not convict D wholly or mainly on the strength of it.
EWHC 1793 (Admin) at [20] and [26]. An admission by the defendant during his/her
evidence of a fact relied on by the prosecution does not without more constitute reliance by
the defendant: Betts [2001] EWCA Crim 224 at [33]. cf Daly [2001] EWCA Crim 2643.
645 Webber [2004] UKHL 1.
646 Knight [2003] EWCA Crim 1977.
gives evidence, D is not asked about the fact that he/she did not answer
questions in interview.647
Lies and section 34
5. Where the criticism is that D has varied his/her account between his/her
statement (or interview) and his/her evidence, the right approach may be to
consider a lies direction rather a direction under section 34.648 In Hackett,649 it
was confirmed that where s. 34 and lies overlap it will usually be unhelpful to
give two separate directions. The judge should select and adapt the more
appropriate direction given the evidence in the case.650 Having regard to these
cases, Sir John Thomas emphasized in Khan651that “it is obvious that a jury
needs tailored directions in cases of this kind”. See further on this issue
Taskaya.652
6. A failure to mention a fact which is admittedly true cannot found an adverse
inference since the inference contemplated by s. 34 is that the disputed fact is
not true.653
Which D could reasonably have been expected to mention
7. The question whether D, in the circumstances prevailing at the time, could
reasonably have been expected to mention the relevant fact may depend upon a
variety of factors which, usually, should be left for the jury to determine. In
Argent,654 Lord Bingham CJ identified the following factors:
“The time referred to is the time of questioning, and account must be taken of
all the relevant circumstances existing at that time. The courts should not
construe the expression “in the circumstances” restrictively: matters such as
time of day, the defendant’s age, experience, mental capacity, state of health,
sobriety, tiredness, knowledge, personality and legal advice are all part of the
relevant circumstances; and those are only examples of things which may be
relevant. When reference is made to “the accused” attention is directed not to
some hypothetical, reasonable accused of ordinary phlegm and fortitude but
to the actual accused with such qualities, apprehensions, knowledge and
advice as he is shown to have had at the time.” 655
8. M656 confirms that the factors listed by Lord Bingham CJ do not create a closed
list.657
should be logically justifiable and include those warnings which are appropriate to the facts:
Stanislas [2004] EWCA Crim 2266 at [11] to [13].
651 [2012] EWCA Crim 774.
652 [2017] EWCA Crim 632
653 Webber [2004] UKHL 1 at [28]; Wheeler [2008] EWCA Crim 688; Chivers [2011] EWCA
9. Where D gives evidence, D’s reason for the failure to disclose should be
explored.658 An adverse inference will only be appropriate where the jury
concludes that the silence can only sensibly be attributed to D not having an
answer, or none that would withstand questioning.659
Legal advice and privilege
10. Ds often cite advice from a legal representative as the reason for remaining
silent in the face of questioning: like any other reason (see Argent above), this is
for the jury to examine.660 Conversations between the suspect and their solicitor
are subject to legal professional privilege. D is not bound to waive the privilege;
if it is not waived, the right must be respected.661 Privilege will be waived if D
and/or D’s solicitor give evidence of the content or reason for the advice,662 but
in such circumstances privilege will not be waived generally.663 In Seaton,664 the
Court of Appeal confirmed that privilege is waived only to the extent of “opening
up questions which properly go to whether such reason can be the true
explanation for his silence … That will ordinarily include questions relating to
recent fabrication, and thus to what he told his solicitor of the facts now relied on
at trial.”665
11. The question whether D could reasonably have been expected to mention the
fact now relied on may ultimately depend on whether the jury is satisfied that
legal advice is the true reason for the failure to disclose (Betts by Maurice Kay
LJ)666 endorsed by Lord Woolf CJ in Beckles.667 In Hoare,668 it was held that the
question is whether D remained silent “not because of [the] advice but because
he had no or no satisfactory explanation to give.”669
The right to silence and the fairness of the trial
12. The ability of the jury to draw an inference of guilt from D’s failure does not
infringe the right to a fair trial enshrined in article 6 ECHR. The ultimate question
is whether the inference could fairly be drawn in the circumstances. The judge is
required to emphasise D’s right to silence and to ensure that the jury understand
“that it could only draw an adverse inference if satisfied that the applicants’
silence … could only sensibly be attributed to their having no answer or none
that would stand up to cross- examination.”670
[55].
667 [2004] EWCA Crim 2766.
668 [2005] 1 WLR 1804.
669 At [51].
670 Condron v UK [2001] 31 EHRR 1 at [61]. See also Beckles v UK [2003] 36 EHRR 162 at
[64].
13. However, in Murray v UK671 and Beckles v UK,672 the ECtHR emphasised that a
conviction based wholly or mainly on the adverse inference infringed D’s right to
silence. Section 38(3) of the 1994 Act prohibits conviction based “solely” upon
an adverse inference.
14. In Chenia673 the Court of Appeal advised that trial judges should follow the then
JSB’s latest specimen direction (2001) since it seemed to have acquired the
approval of the ECtHR in Beckles v UK. That direction included the words, “If
you do draw that conclusion, you must not convict him wholly or mainly on the
strength of it”.674
The inferences available
15. The inferences available will depend on the development of the evidence in the
case. The issue should be faced by the parties during the course of the evidence
and requires discussion with the advocates before speeches. Possible
inferences or conclusions will include the following:
(1) The fact now relied on is true but D, for reasons of D’s own, chose not to
reveal it;
(2) The fact now relied on is irrelevant;
(3) The “fact” now relied on is of more recent invention;
(4) D’s present answer to the prosecution case is fabricated;
(5) D is guilty.
16. The obvious inference from a failure to mention a fact is that the “fact” is not
true. Rejection of the fact which D failed to mention may, or may not, justify a
further adverse inference. If the fact now relied on is, in effect, D’s defence to the
charge, D’s failure to mention it may undermine D’s whole defence as a recent
invention, put forward only after D had the opportunity to tailor his/her account to
the prosecution evidence. Alternatively, the fact now relied on may be peripheral
or secondary or irrelevant, such that the falsity of it would not necessarily
undermine the defence. The appropriate inference may be that the “fact” was
invented to improve the defence, leaving open the question whether the defence
is true or false.
17. Finally, the jury may be sure that D could reasonably have been expected to
mention the fact but not sure that any adverse inference should be drawn, even
an inference that the “fact” is false. An adverse inference is not limited to recent
fabrication.675 It follows that care must be taken to ensure that the jury
understands the range of permissible inferences and, if necessary, that the
inference they may draw may be of no assistance or of limited assistance in
judging D’s guilt.
2668.
675 Milford [2001] Crim LR 330.
(iii) The jury should be told that, if an inference is drawn, they should not
convict “wholly or mainly on the strength of it…”. The first of those alternatives
(“wholly”) is a clear way of putting the need for the prosecution to be able to
prove a case to answer, otherwise than by means of any inference drawn.
The second alternative (“or mainly”) buttresses that need.
(iv) The jury should be told that an inference should be drawn “only if you
think it is a fair and proper conclusion…”.
(v) An inference should be drawn “only if … the only sensible explanation for
his failure” is that he had no answer or none that would stand up to
scrutiny…In other words the inference canvassed should only be drawn if
there is no other sensible explanation for the failure. That is analogous to the
essence of a direction on lies.
(vi) An inference should only be drawn if, apart from the defendant's failure to
mention facts later relied on in his defence, the prosecution case is “so strong
that it clearly calls for an answer by him…”.
(vii) The jury should be reminded of the evidence on the basis of which the
jury are invited not to draw any conclusion from the defendant's silence…This
goes with point (iv) above, because it is only after a jury has considered the
defendant's explanation for his failure that they can conclude that there is no
other sensible explanation for it.
(viii) A special direction should be given where the explanation for silence of
which evidence has been given is that the defendant was advised by his
solicitor to remain silent”.
24. The judge is not prohibited from making fair comment on the evidence. 685
Directions
25. The jury must be reminded that D was cautioned, highlighting the facts that D
was told that:
(1) D did not have to say anything - and so D had a right to say nothing;
(2) it might harm D’s defence if D did not mention when questioned something
which he/she later relied on in court; and so D was aware that conclusions
might be drawn against him/her if he/she failed to mention facts when
he/she was being interviewed which he/she later relied on; and
(3) anything D did say might be given in evidence.
26. The following should be identified in discussion with the advocates before
speeches and then in the summing up to the jury:
(1) the fact/s which D failed to mention but which is/are relied on in D’s defence;
(2) the reason/s, if any, which D gave for failing to mention those facts;
(3) the conclusion/s which it is suggested might be drawn from D’s failure to
mention those facts, usually that it has been made up after the interview and
is not true.
27. The jury must be directed that they may only draw such an inference:
(1) if apart from D's failure to mention facts later relied on in his/her defence, the
prosecution case as it appeared at the time of the interview was such that it
clearly called for an answer; and
(2) if there is no sensible explanation for D’s failure other than that D had no
answer at that time or none that would stand up to scrutiny. In this regard
the jury must consider any explanation which D gave for his/her failure
(including legal advice) and be told that unless they are sure that that was
not the genuine reason for D’s failure they should not draw any conclusion
against D as a result of it; and
(3) if they think it is fair and proper to draw such a conclusion.
28. The jury must be directed that if they do draw such a conclusion they must not
convict D wholly or mainly on the strength of it.
29. A special direction should be given if evidence has been given that D’s reason
for silence/not mentioning a fact/facts was that D had been advised by his/her
solicitor to remain silent. The jury should be directed that:
(1) if they decide that D was, or may have been, so advised this is an important
matter for them to consider but it does not automatically prevent them from
drawing any conclusion against D from his/her silence, because a person
who is given legal advice can choose whether to follow it or not and was
made aware at the time of the interview that his/her defence might be
harmed if he/she did not mention facts on which he/she later relied at trial;
(2) in deciding whether, despite having been advised to remain silent, D could
reasonably have been expected to mention the fact/s on which D now relies
they should take account of such things as D’s age, D’s maturity, the
complexity of the facts on which D now relies and any evidence about the
reason for the advice being given;
(3) if they find that D had a good defence but chose to say nothing on his/her
solicitor’s advice they should not draw any conclusion against D;
(4) if they are sure that the real reason for D’s silence was that D had no
defence to put forward and merely hid behind the legal advice which he/she
had been given, they would be entitled to draw a conclusion against D.
30. If the judge has decided that no adverse conclusion should be drawn from D’s
failure to mention a fact/s the jury must specifically be directed that they must
not hold the fact that, when D was questioned, D did not mention the fact/s
against him/her.
Example
Before D’s interview D was cautioned in these terms: ‘You do not have to say
anything but it may harm your defence if you fail to mention when questioned
anything which you later rely upon in court.’ D went on to give an account to the
police in which D said {specify}.
As part of his/her defence D has relied upon {specify}. These are matters that D
did not mention when he/she was questioned and this may, as D was told in the
words of the caution, “harm his/her defence”. This is because you may decide that
they are untrue and D has since invented them to support his/her defence.
But you may only draw that conclusion if you are satisfied of four things:
1. The prosecution case being presented at the time of D’s interview was such
that it called for an answer.
2. D could reasonably have been expected to mention the matters he/she now
relies on at the time D was interviewed and
3. The only sensible reason for not raising these matters is that D had not yet
thought of them.
4. That it is fair and proper to draw such a conclusion.
The Defence invite you not to draw any adverse conclusion from D’s silence. They
argue that D didn’t tell the police about {specify} because {specify} and D told the
police what he/she now accepts are lies so that {specify}.
If that is/may be right then D’s failure to mention {specify} in his/her interview
would have an innocent explanation and in those circumstances it wouldn’t provide
any support for the prosecution case.
[Where there is evidence that D was silent on the advice of his/her legal
representative:] D gave evidence that he/she did not answer questions because
he/she had been advised not to do so by his/her legal representative. If you accept
that D was given that advice, it is important to consider this, but it does not
automatically prevent you from drawing any conclusion from D’s silence. This is
because someone who is given legal advice has a choice whether or not to accept
it; and D was warned at the start of the interview that if he/she did not mention
things when he/she was questioned which he/she relied on at his/her trial, this
might harm his/her defence.
You should also take into account {specify: e.g. D’s age, reasons for advice given,
complexity of facts relied on at trial}. Having considered these things, you should
decide whether the D could reasonably have been expected to mention the facts
on which he/she now relies. If, for example, you think that D had, or may have had,
an answer but that D genuinely relied on the legal advice which he/she was given
to remain silent (whether or not you think it was reasonable for D to do so) you
should not draw any conclusion against D. But if, on the other hand, you are sure
that D had no answer and merely decided to hide behind the legal advice that
he/she had been given, you would be entitled to draw a conclusion against D,
subject to the directions which I have already given you.]
So, if you are sure there was no good reason for not putting forward in interview
the account D now relies on you are entitled to consider that failure as providing
some support for the prosecution case but you must not convict D wholly or mainly
on the strength of it.”
Legal Summary
Section 36
1. Section 36 CJPOA permits the jury to draw an inference adverse to D from
his/her failure or refusal, when requested, to account for any object, substance
or mark. “Substance or mark” includes the condition of clothing or footwear. The
section concerns only the refusal to account for the object, substance or mark.
Any adverse inference arising from the fact of possession of the object or the
presence of the substance or mark is additionally available at common law.
2. The qualifying conditions are:686
(1) D was arrested by a constable (constable includes a customs officer);
(2) There was on D’s person, clothing or footwear, or otherwise in D’s
possession, or in a place where D was at the time of D’s arrest, any object,
substance or mark;
(3) That constable or another constable investigating the case reasonably
believed that the presence of the object, substance or mark may be
attributable to the participation of D in an offence which the constable
specified;
(4) The constable informed D of this belief and requested D to account for the
presence of the object, substance or mark;
(5) The constable informed D in ordinary language, when making the request,
of the effect under the section of a failure or refusal to account for the object,
substance or mark;687
(6) If the request was made at an authorised place of detention, D was allowed
the opportunity to consult a solicitor before the request was made;688
(7) D failed or refused to account for the object, substance or mark.
3. Section 36, unlike s. 34, has no qualifying condition of reasonableness;689 the
sole question is whether the suspect accounted for the object, substance or
mark. 690
4. The strength of the inference increases with the suspicious nature of the
circumstances. In Connolly,691 the defendant had been given an opportunity to
account for an incriminating receipt in his pocket and his presence near the
scene of the crime but remained completely silent. The Court of Appeal for
Northern Ireland accepted that it had been proper to draw an inference692 that
the defendant intended to sit out the interrogation and assess the strength of the
case against him, thereby keeping his options open in the event of being
charged.
5. The direction laid down in Cowan "related to a case involving section 35 but it is
common ground that the same principles apply when dealing with section 36":
Milford.693
6. In Compton694 Buxton LJ emphasised the importance of correct directions being
given. The most crucial point is that the jury must be told that they can only hold
against a defendant a failure to give an explanation if they are sure the
defendant had no acceptable explanation to offer.
Section 37
7. Section 37 CJPOA permits the jury to draw an inference adverse to D from D’s
failure or refusal to account, when requested, for his/her presence at a place695
where an offence was committed.
8. The qualifying conditions are:696
(1) D was arrested by a constable (constable includes a customs officer);
(2) D was found at a place at or about the time an offence was allegedly
committed;
(3) that constable or another constable investigating the offence reasonably
believed that D’s presence at that place and time may be attributable to D’s
participation in the commission of the offence;
(4) the constable informed D of this belief and requested D to account for
his/her presence;
(5) D was told in ordinary language by the constable making the request of the
effect under the section of a failure to account for his/her presence;697
(6) if the request was made at an authorised place of detention, D had been
allowed an opportunity to consult a solicitor before the request was made;698
(7) D failed or refused to account for his/her presence.
9. Section 37 does not require a finding that D could reasonably have been
expected to account for his/her presence.
10. D shall not have a case to answer or be convicted of an offence solely or mainly
on an inference drawn under the provisions: s. 38(3). 699
Directions
NOTE: The content of the directions in respect of cases concerning ss. 36 and/or 37
are similar and follow the same pattern.
11. The jury must be reminded of the qualifying conditions:
(1) D was arrested by a constable;
(2) D was arrested at a place at or about the time the offence for which D was
arrested is alleged to have been committed or had on his/her person, or in
or on D’s clothing or footwear or otherwise in D’s possession the object,
substance or mark the subject of the direction.
(3) A constable told D either at the scene or in the course of questioning that
he/she believed the place D was at and/or any object/substance/mark found
on D was attributable to D’s participation in the offence.
(4) The constable asked D to account for his/her presence at the place or the
presence of the object/substance/mark.
(5) The constable told D in ordinary language of the consequences of failing to
account for his/her presence or the presence of the object/substance/mark
namely that at any trial the court would be entitled to draw such inference as
appeared proper: e.g. that D did not have an explanation to give.
12. The following should be identified in discussion with the advocates before
speeches and then in the summing up to the jury:
(1) the explanation relied on at trial for D’s presence or the presence of any
object/substance/mark which D failed to mention at the time D was asked on
arrest/in interview;
(2) the reason/s, if any, which D gave for failing to mention those facts;
(3) the conclusion/s which it is suggested might be drawn from D’s failure to
mention those facts – usually that it has been made up after the interview
and is not true.
13. The jury must be directed that they may only draw such an inference if they are
sure there is no sensible explanation for D’s failure other than that D had no
answer at that time or none that would stand up to scrutiny. In this regard the
jury must consider any explanation which D gave for his/her failure and be told
that unless they are sure that that was not the genuine reason for his/her failure
they should not draw any conclusion against D as a result of it.
14. A special direction should be given if evidence has been given that D’s reason
for silence/not mentioning a fact/facts was that D had been advised by his/her
solicitor to remain silent. The direction should be in the same terms as that when
a defendant fails to mention a matter subsequently relied on in court [see
Chapter 17-1].
15. If the judge has decided that no adverse conclusion should be drawn from D’s
failure to mention a fact/s the jury must specifically be directed that they must
not draw any adverse conclusion.
16. The jury must be directed that if they do draw such a conclusion they must not
convict D wholly or mainly on the strength of it.
Legal Summary
1. By section 62(10) Police and Criminal Evidence Act 1984
“Where the appropriate consent to the taking of an intimate sample from a
person was refused without good cause, in any proceedings against that
person for an offence - …(b) the court or jury, in determining whether that
person is guilty of the offence charged, may draw such inferences from the
refusal as appear proper”.
2. An intimate sample may only be taken if appropriately authorised and by
consent 700 and before it is taken an officer must inform the person of the
following:
(1) the reason for taking the sample;
(2) the fact that authorisation has been given and the provision under which it
has been given; and
(3) if the sample is taken at a police station the fact that it may be the subject of
a speculative search701.
3. The person must also be warned of the possible consequences of a refusal to
give consent.
Directions
4. The police have a statutory power to request a suspect to provide samples of
fingerprints/footwear/DNA/hair etc.: [ss. 61 and 62 PACE].
5. The suspect does not have to provide a sample but the suspect refuses without
good cause it may harm his/her defence.
6. The reason/s for refusal will have been explored in evidence and should be
revisited with the advocates before speeches.
7. D may seek to rely upon legal advice for an initial refusal but the question of
whether there was a subsequent opportunity to provide a sample is likely to
have been explored in evidence and must be incorporated in the direction.
Example
When the police went to investigate a burglary at {location} they found blood
staining on the inside of the broken window through which the burglar had entered.
D was arrested having been seen running away from the scene. D denied being
the burglar. D was asked, when arrested, to provide a sample against which D’s
DNA could be compared to that of the blood found within the house. D was also
warned that a failure to provide a sample might harm his/her defence.
The comparison of D’s DNA with that from the blood within the house could either
have provided very powerful evidence that D was the burglar or it might have
provided evidence that D could not have been the person whose blood was within
the house.
D declined to provide a sample for comparison. You have also heard that further
opportunities to provide a sample were offered to D on two occasions when D
appeared at this court for preliminary hearings in this case.
D has told you that he/she declined to provide a sample on the advice of the
solicitor who was representing him/her at the police station and has told you that
he/she has not had further advice.
We have not heard what advice D was given; such advice is confidential between
solicitor and client. Whatever the advice was both D and D’s solicitor knew that a
refusal to provide a sample might harm D’s defence.
But if you consider it was or may the case that D’s refusal to provide a sample has
throughout been because D was in good faith following the advice of his/her
solicitor you would be entitled to conclude that would be a good reason for failing
to provide a sample and not hold D’s refusal against D.
If however you are sure that D is using advice given to him/her by his/her solicitor
as an excuse for not providing the sample you are entitled to use D’s refusal as
evidence
You could not convict D wholly or mainly on the evidence of a refusal to provide a
sample, you are entitled to use it as evidence in support of the prosecution case.
Legal Summary
1. The disclosure obligations on the defence are set out in the CPIA,702 the Code of
Practice issued under it and the CrimPR Part 15.703
2. By s. 5 CPIA, once the case is sent to the Crown Court and the prosecution
case is served, D is required to serve a “defence statement” on the prosecution
and the court.704 This written statement should set out the basis on which the
case will be defended.
3. Service of the statement must be within 28 days of the prosecutor complying or
purporting to comply with the duty of primary disclosure.705
Contents of a defence statement
4. Section 6A(1)706 sets out the areas which the defence statement must cover:
(1) The nature of D’s defence, including any particular defences on which D
intends to rely;
(2) The matters of fact on which D takes issue with the prosecution, including
the reasons why;
(3) Particulars of the matters of fact on which D intends to rely for the purposes
of D’s defence;
(4) Any points of law which D wishes to take, including any authorities on which
D intends to rely.
5. A general denial accompanied by a positive but unspecified challenge to the
evidence of a witness will not be enough (Bryant),707 whereas a statement which
advances no positive case and which simply puts the Crown to proof will satisfy
the requirements of section 6A (Rochford).708
case which will be presented at trial. It does not extend, as in the case of the prosecution, to
unused material.
705 Criminal Procedure Investigations Act 1996 (Defence Disclosure Time Limits)
6. The Crown Court Protocol provides that judges will expect a defence statement
to contain a “clear and detailed exposition of the issues of fact and law in the
case.”709 As part of what is described as the need for a complete change of
culture, the judge must examine the defence statement with care to ensure that
it complies with section 6A. In doing so, the judge should take into account what
can reasonably be expected of the defence in light of how clearly the
prosecution case has been put, including for example whether inferences the
prosecution will be asking the jury to draw from the evidence have been spelled
out).
7. In relation to Alibi, see section 6A(2)710 and Chapter 18-2.
Details of defence witnesses
8. Separately to the defence statement, by section 6C711 the defence must also
notify the court and prosecutor of any witnesses they intend to call at trial, other
than the defendant him/herself and any alibi witnesses already notified.712
Details consisting of names, addresses and dates of birth must be provided or, if
any such details are unknown, other identifying information. Notice of intention to
call a witness must be given within 28 days from the date when the prosecutor
complies or purports to comply with the prosecutor’s initial duty to disclose.713 In
Rochford714 the Court of Appeal confirmed that these obligations are designed to
abolish trial by ambush.
Breaches of defence disclosure requirements and sanctions
9. The following breaches of requirements on the defence attract the sanctions of
section 11:715
(1) Failure to serve a defence statement or to serve within time: ss. 5 and
11(2)(a) and (b);
(2) Failure to give notice of defence witnesses or to provide it within time: ss.
6C and 11(2)(d) and (e);
(3) Setting out inconsistent defences in the defence statement: s.11(2)(e);
(4) Putting forward at trial a defence not mentioned in the defence statement:
s.11(2)(f)(i);
(5) Relying on any matter at trial which should have been put but was not
mentioned in the defence statement: ss. 6A(1) and 11(2)(f)(ii);
709 At [35]. See also the Criminal Practice Direction [2013] EWCA Crim 1361 at 22A.1:
“Disclosure is a vital part of the preparation for trial… All parties must be familiar with their
obligations.”
710 As amended by the CJA 2003, s 33(2).
711 Added by the CJA 2003, s 34.
712 Under the CrimPR 2013, r 22.4, the defendant must also serve any defence witness
716 By CPIA 1996, s 11(6), if the matter not mentioned was a point of law (including
admissibility of evidence), comment by another party may be made only with the leave of the
court.
717 [2010] EWCA Crim 1928.
718 [2012] EWCA Crim 2358. However, a failure to provide a defence statement resulting in
additional expense for the prosecution may result in a wasted costs order: SVS Solicitors
[2012] EWCA Crim 319.
719 [2009] EWCA Crim 43.
720 [2001] 1 Cr App R 10.
previous account in the defence statement. In practice, therefore, the judge will
need to decide whether to explain that the adverse inference is available, or, to
warn the jury against drawing it.
17. In the straightforward case, where D has signed the defence statement and D is
now advancing a different case from that disclosed, there will usually be little
difficulty in framing directions. Where, however, D maintains that he/she was not
responsible for the inaccuracy a specific direction to the jury on how to approach
the inconsistency may be necessary, especially where the defendant’s credibility
is crucial to his/her case.721 Where the judge directs the jury that they may draw
an inference on the basis of an apparent inconsistency, it will usually be
unhelpful for the judge also to give a Lucas direction.722 If, however, the facts are
such that the defendant is entitled to the protection of a Lucas direction, that
protection should be incorporated into the direction concerning the inference:
see Chapter 16-2 Lies.
18. The judge’s directions as to legitimate inferences will be similar to those required
for s. 34 CJPOA: see Chapter 17-1.
19. In considering what direction to give to the jury when D has put forward a
defence which is different from that advanced in the defence statement, the
judge must have regard to (a) the extent of the difference/s; and (b) whether
there is justification for it.723 D may not be convicted solely on the basis of an
adverse inference: s. 11(10).
Directions
20. Some explanation, in simple terms and without going into the detail of the
legislation, must be given to the jury as to the obligation to provide a defence
statement, if a D is to rely on matters in court, and its purpose. This should be
done either when the defence statement is first raised in the course of the
evidence and/or in the summing up.
21. If no adverse inference is to be drawn the jury must be directed accordingly.
22. In a case in which there is potential for the jury to draw an adverse inference the
jury must be reminded of:
(1) the failure to provide or period of delay in providing the defence statement;
(2) the difference/s between the defence statement and the matters on which
the defendant has relied in court;
(3) the particular adverse inference/s which they have been invited to draw.
23. The jury should be directed that whether or not they do draw such inference/s
will depend on whether or not they find that the reason/s advanced by D for not
providing any details of the matter/s on which D has relied in court any earlier
than he/she did or at all are, or may be, good reasons.
721 Wheeler [2000] 164 JP 565. The court suggested that defence statements should be
signed so as to acknowledge their accuracy and avoid disputes.
722 Hackett [2011] 2 Cr App R 35.
723 CPIA 1996, s 11(8).
24. If the jury find that there are or may be good reasons for the failure then they
should ignore the fact that D did not provide such details in the defence
statement or at all.
25. If the jury are satisfied that there was no good reason and that D’s failure to
provide the details any earlier or at all can only be explained by the fact that D
did not have any defence, or any defence which would stand up to scrutiny, they
may bear this in mind when they are deciding whether D’s account is true and
whether the prosecution have proved the case against D. But they may only do
so if they conclude that it is fair and proper to do so; and they must not convict D
solely or mainly because D did not disclose the matters on which he/she has
relied in court any earlier than he/she did.
26. The example below is based on the premise that there was a sufficient case to
answer, D was in breach of his/her statutory duty to file his/her Defence
Statement and D elected to give evidence. In the circumstances the failure does
not require the qualification that the jury should only use it as some support for
the Prosecution’s case if the case is sufficiently strong to call for an answer.
Example
As I explained when the issue first arose the prosecution are under a duty to
disclose in advance all of the evidence upon which they intend to rely at trial and
the defence are under an obligation to notify the court in a formal document known
as a defence statement (a) those parts of the prosecution case with which D takes
issue and (b) the facts upon which D is to rely in his/her defence.
This is so that each side has a chance to prepare for trial and neither is taken by
surprise by any matters raised. In this case the defence statement was due to be
filed no later than {date} and when it was not filed reminders were given to the
defence solicitors and to D in person on {date}. Despite these reminders no
Defence Statement was in fact served until {date}.
The prosecution say that this was because D had no real defence and the delay in
filing the defence statement was because D had no yet thought of one. The
defence say that D was having difficulties in {specify e.g. finding answers to the
prosecution case} and that was the reason for the late service of the defence
statement.
It is for you to decide whether the reason put forward by D for failing to provide a
defence statement in good time is acceptable or not. If you accept D’s account the
failure to file the defence statement is of no evidential significance, if however you
reject D’s account you are entitled to consider that D’s failure should count against
him/her and consider the prosecution suggestion that D had not then thought of
the defence he/she is putting before you.
It is always for the prosecution to make you sure of D’s guilt, D’s failure to file the
defence statement may if you consider it appropriate provide some support for the
prosecution case but you must not convict D wholly or mainly on the basis of that
failure.
Legal Summary
1. By section 35(2) of the CJPOA, the jury may draw an inference adverse to D
from D’s failure to give evidence at his/her trial.
2. The qualifying conditions are:724
(1) D’s guilt is in issue;
(2) It does not appear to the judge that the physical or mental condition of D
makes it undesirable for the defendant to give evidence;725
(3) The trial judge has satisfied him/herself in the presence of the jury that D
was aware that:
(a) the stage had been reached at which evidence could be given for the
defence;
(b) D could if he/she wished give evidence;
(c) if D chose not to give evidence or, having been sworn, without good
cause, refused to answer questions it would be permissible for the jury
to draw such inferences as appear proper;
(4) D declined to give evidence or refused, without good cause, to answer
questions.
3. In respect of condition 2(2) above:
(1) medical evidence will almost certainly be required;726
(2) a voir dire may be required to determine whether there is an evidential basis
for a s 35(1)(b) ruling, though the judge is under no obligation to initiate the
procedure if defence counsel does not seek to do so;727
(3) In assessing whether it is “undesirable”, the judge is entitled to weigh the
likely significance of the defendant’s evidence to the issues in the case with
the nature and consequences of the mental condition revealed by the expert
evidence.728
the court or jury may regard the inference from failure to testify as, in effect, a further
evidential factor in support of the prosecution case. It cannot be the only factor to justify a
conviction and the totality of the evidence must prove guilt beyond reasonable doubt.” This
ensures compliance with Murray v UK (1996) 22 EHRR 29, where it was held that the
defendant should not be convicted “solely or mainly” on an inference from silence.
13. The jury must be satisfied that there is a case to answer before they draw an
adverse inference.735 The jury need not resolve disputed issues of fact before
concluding there is a case to answer.
14. In Cowan736 the Court of Appeal rejected the contention that section 35 should
be confined to exceptional cases; this was clear from the plain wording of the
provision.737
15. There are no special rules which apply to cases in which the defence to a
murder charge is diminished responsibility.738
16. The nature of the inference available will depend on the way in which the
evidence has developed and the strength of the prosecution case. The stronger
the case, the more powerful the incentive to provide an answer, if there is one.
In the Northern Ireland appeal in Murray v DPP739 Lord Slynn offered the
following analysis:
“…if parts of the prosecution case had so little evidential value that they called
for no answer, a failure to deal with those specific matters cannot justify an
inference of guilt. On the other hand, if aspects of the evidence taken alone or
in combination with other facts clearly call for an explanation which the
accused ought to be in a position to give, if an explanation exists, then a
failure to give any explanation may as a matter of common sense allow the
drawing of an inference that there is no explanation and that the accused is
guilty.”740
Cowan741 essentials for summing up on section 35
17. Lord Taylor CJ in Cowan observed:
“there are certain essentials which we would highlight. (1) The judge will have
told the jury that the burden of proof remains upon the prosecution throughout
and what the required standard is. (2) It is necessary for the judge to make
clear to the jury that the defendant is entitled to remain silent. That is his right
and his choice. The right of silence remains. (3) An inference from failure to
give evidence cannot on its own prove guilt. That is expressly stated in
section 38(3) of the Act. (4) Therefore, the jury must be satisfied that the
prosecution have established a case to answer before drawing any inferences
from silence. Of course, the judge must have thought so or the question
whether the defendant was to give evidence would not have arisen. But the
jury may not believe the witnesses whose evidence the judge considered
sufficient to raise a prima facie case. It must therefore be made clear to them
that they must find there to be a case to answer on the prosecution evidence
before drawing an adverse inference from the defendant's silence. (5) If,
despite any evidence relied upon to explain his silence or in the absence of
any such evidence, the jury conclude the silence can only sensibly be
attributed to the defendant's having no answer or none that would stand up to
cross-examination, they may draw an adverse inference.
It is not possible to anticipate all the circumstances in which a judge might
think it right to direct or advise a jury against drawing an adverse inference”.
Summing up the defence case
18. In Scott Clarke742, where the case against the appellant was entirely
circumstantial and the appellant had given lengthy answers in interview but
elected not to give evidence, the Court of Appeal emphasised the importance of
placing the defence case before the jury in summing up.
Special provisions on a charge of causing or allowing a child or vulnerable
adult to die or suffer serious physical harm
19. Special provision is made by ss.6 and 6A Domestic Violence, Crime and Victims
Act 2004 for the inferences to be drawn where a person fails to testify when
charged with an offence under section 5 of that Act (causing or allowing a child
or vulnerable adult to die or suffer serious physical harm).
20. Section 6(2) provides that where the jury is permitted to draw a proper inference
in relation to the section 5 offence, they may also draw such inferences in
determining whether D is guilty or murder or manslaughter (or of any other
offence of which D could lawfully be convicted on those charges), even if there
would otherwise be no case to answer in relation to that offence. Similar
provision is made in section 6A in relation to inferences about relevant offences
where the defendant is charged with allowing a child or vulnerable adult to suffer
serious harm.
Directions
21. No adverse inference can be drawn unless the judge has given the necessary
warning at the time D’s opportunity to give evidence arose. The warning is as
follows:
(1) Where D is represented:
“Have you advised your client that the stage has now been reached at which
he/she may give evidence and, if he/she chooses not do so or, having been
sworn [or having affirmed] without good cause refuses to answer any
question, the jury may draw such inferences as appear proper from his/her
failure to do so?”
(2) Where D is not represented:
“You have heard the evidence against you. Now is the time for you to make
your defence. You may give evidence on oath [or affirmation], and be cross-
examined like any other witness. If you do not give evidence or, having been
sworn [or having affirmed] without good cause refuse to answer any question
the jury may draw such inferences as appear proper. That means they may
hold it against you. You may also call any witness or witnesses whom you
have arranged to attend court or lead any agreed evidence. Afterwards you
may also, if you wish, address the jury. But you cannot at that stage give
evidence. Do you now intend to give evidence?”
22. The question of whether there is an adverse inference to be drawn from the fact
that D did not give evidence must be addressed with the advocates before
speeches.
23. In some cases it will be appropriate to remind the defence advocate that no
reason for the failure can be advanced.
24. The adverse inference is open to the jury if:
(1) D’s guilt is in issue;
(2) D’s physical or mental condition is not such that it is undesirable for D to
give evidence;
(3) D, having been given the statutory warning at the time when D could have
given evidence, declined without good cause to do so.
25. Where no adverse inference arises, for example because of the physical or
mental condition of D or because D is absent, the jury must be directed about
this.
26. Where the adverse inference is appropriate directions must include:
(1) D had an absolute right not to give evidence.
(2) The burden of proving the case rests throughout upon the prosecution.
(3) The fact that D did not give evidence means that there is no evidence from
D to rebut, contradict or explain the evidence of prosecution witnesses.
(4) The jury should be reminded of the warning given to D at the time his/her
opportunity to give evidence arose.
(5) If they are sure that
(a) the prosecution case is sufficiently strong to call for an answer; and
(b) there is no sensible reason for D not to have given evidence, other than
that D has no answer to the prosecution case or none that would stand
up to cross examination
the jury may conclude that the reason D did not give evidence is because D
has no answer or none that would stand up to cross-examination and they
may regard the fact that D did not give evidence as lending some support to
the prosecution case.
27. A warning that an inference drawn from the fact that D did not give evidence
cannot of itself prove guilt.
28. Where the adverse inference is not appropriate directions must include:
(1) D had an absolute right not to give evidence.
(2) The burden of proving the case rests throughout upon the prosecution.
(3) Although the fact that D did not give evidence means that there is no
evidence from D to rebut, contradict or explain the evidence of prosecution
witnesses, the fact that D did not give evidence must not be held against
him/her.
Example 1: Where inference may be drawn, D does not give evidence but
relies upon account in interview
D chose not to give evidence. That is D’s right but it has these consequences:
1. D has not given evidence in the trial to contradict, or undermine the evidence of
the prosecution witnesses that {specify}. When D was interviewed D gave an
account to the police on which you know through D’s advocate he/she relies.
That interview is part of the evidence, but unlike the evidence from X and Y,
witnesses called by the prosecution, that evidence was not given on oath and
has not been tested in cross-examination.
2. You will remember when I asked A, D’s advocate at the time he/she told us of
D’s decision not to give evidence whether D understood that if he/she failed to
so the jury may draw such inferences as appeared proper. In other words did D
understand that you would be entitled to conclude that D did not feel he/she
had an answer to the prosecution case that would stand up to cross-
examination.
It is your decision whether or not D’s failure to give evidence should count against
him/her. It is a decision you should only reach if you are sure that the prosecution
case is of such strength that it calls for an answer AND you are sure that the true
reason for not giving evidence is that D did not have an answer that he/she
believed would stand up to questioning.
If you are sure the case is of such a strength that it called for an answer and that
D’s reason for not giving evidence was that he/she did not have an answer or
answers that would stand up to the cross examination then you are entitled to
regard D’s failure as providing support for the prosecution case.
You must remember it is for the prosecution to prove the guilt of the defendant and
while D’s failure to give evidence can provide support for the case you cannot
convict the defendant wholly or mainly because of that failure.
Legal Summary
1. A defence is available in a case where D’s explanation for their use of force is
that they believed it was necessary to do so to protect themselves, others743,
property744 or prevent crime or conduct a lawful arrest.745 The defence takes
slightly different forms in different contexts (see below) but these overlap
substantially. All share the same basic structure with two crucial limbs (see in
particular Keane and McGrath746).
(1) Did D believe or may D have believed that it was necessary to use force to
defend themselves from an attack or imminent attack on them or others or
to protect property or prevent crime? (subjective question)747; and
(2) Was the amount of force D used reasonable748 in the circumstances,
including the dangers749 as D believed them to be? (objective question)750?
2. The defence is for the prosecution to disprove to the criminal standard once
sufficient evidence has been raised. Where there is evidence which if accepted
could raise a prima facie case of self-defence, this should be left to the jury even
if the accused has not formally relied upon self-defence.751 If D was, or may
have been, acting in lawful self-defence they are not guilty. The jury should be
reminded that D may have acted in the heat of the moment without the
opportunity to weigh precisely the amount of force needed to repel the attack D
anticipated.752 The jury may take account of D’s physical characteristics but not
psychiatric conditions, unless there are exceptional circumstances making the
evidence especially probative.753 If D does no more than they instinctively
believes to be necessary that is strong, though not conclusive, evidence that it
was reasonable.754 D cannot rely on any belief in the need for force which the
jury find to have been induced by voluntary intoxication.755 If D is the initial
aggressor they are not automatically denied the defence where ‘the tables had
been turned’, but D cannot rely on self-defence where D has set out to engineer
an attack by V which will allow D to respond with greater violence under the
guise of self-defence.756 The defence remains available to a defendant who has
made a pre-emptive strike in anticipation of an actual or perceived imminent
attack.757 Similarly, the defence is not precluded if D failed to retreat from what
was or what D believed to be an attack; failure to retreat is a relevant factor in
assessing whether the use of force was reasonable in the circumstances.758
3. Where D has a belief in the need to use protective force and that belief is based
on an insane delusion no consideration of their insane state should be included
in the objective evaluation.
“An insane person cannot set the standards of reasonableness as to the
degree of force used by reference to his own insanity. In truth it makes as little
sense to talk of the reasonable lunatic as it did, in the context of cases on
provocation, to talk of the reasonable glue-sniffer.” 759
4. In a case of murder, self-defence is available in a different but partially
overlapping range of circumstances than loss of control under the Coroners and
Justice Act 2009, s 54760: see Chapter 19-2.
5. In appropriate circumstances self-defence may be available in cases of
dangerous or careless driving.761 The defence might also be available even
where force is used by an individual against a police officer who is acting
lawfully in the execution of his/her duty.762
The forms of the defence
6. Common law defence of self/other or property: The common law defence of
protection of self, others or property is “clarified” by s. 76 CJIA as amended.763
7. Prevention of crime under s. 3 Criminal Law Act 1967:
“A person may use such force as is reasonable in the circumstances in the
prevention of crime, or in effecting or assisting in the lawful arrest of offenders
or suspected offenders or of persons unlawfully at large.”
By s.3(2):
“Subsection (1) above shall replace the rules of the common law on the
question when force used for a purpose mentioned in the subsection is
justified by that purpose.”
8. This statutory defence applies only when the force is used by D while a criminal
offence is taking place or has in fact occurred. It is not available if D has used
force in the mistaken belief that a crime is being or has been committed. Care is
Directions
10. Whilst the phrase “self-defence” is used, these directions can be adapted to
cover cases where force is used in defence of another, defence of property,
prevention of crime and for lawful arrest.
11. Once an issue of self-defence is raised, it is for the prosecution to disprove.
12. If D was, or may have been, acting in lawful self-defence they are not guilty.
13. There are two aspects of the defence:
(1) A belief that there is a need to use force; and
(2) The use of no more than reasonable force in the circumstances as D
believed them to be. In a “householder” case, to which s.76(8A) CJIA
applies, presuming “that the defendant genuinely believed that it was
necessary to use force to defend themselves, the questions are:
(a) was the degree of force the defendant used grossly disproportionate in
the circumstances as D believed them to be? If the answer is "yes", D
cannot rely on self-defence. If "no", then;
https://www.gov.uk/government/uploads/system/uploads/attachment_data/file/192945/self-
defence-circular.pdf),
768 S.5A of the CJIA 2008.See also R (Collins) v Secretary of State for Justice [2015] EWHC
(b) was the degree of force the defendant used nevertheless reasonable in
the circumstances they believed them to be? If it was reasonable, D
has a defence. If it was unreasonable, D does not.” 771
14. Self-defence does not apply if the jury are sure that D did not believe they
needed to defend themselves or if they are sure that the force he used was
more than was reasonable in the circumstances as D believed them to be.
15. In a non-householder case, if the degree of force used by D was
disproportionate, then it cannot be reasonable. It must lead to a conviction. In a
householder case, disproportionate force can be reasonable (and therefore lead
to an acquittal) but grossly disproportionate force cannot be reasonable and in
such circumstances the verdict should be guilty. If the actions of D in a
householder case were merely disproportionate, that does not necessarily mean
that they were unreasonable. Whether the degree of force used by D was
reasonable is the question the jury have to decide.772
16. It may be necessary to add further directions e.g. in the heat of the moment D
cannot be expected to work out exactly how much force to use; and/or that if D
used or may have used no more force than they genuinely believed was
necessary, that would be strong evidence that the force used was reasonable.
17. The issue of the potential to retreat may need to be explained differently when
the householder defence arises773.
18. A jury does not have to be told the whole of the law: they need directions to
enable them to resolve the issue of whether D should be found guilty or not
guilty.
19. In some cases the only real issue for a jury is whether they are sure that the
force used by D was unlawful or whether it may have been used in lawful self-
defence i.e. the issue of the reasonableness of the force used does not arise
because the parties agree that if the force was used in self-defence it was
reasonable. In such circumstances there is no need to burden the jury with
directions about the second limb.
771 Collins [20] per Leveson P as explained by the then LCJ in Ray [33-38].
772 See Ray paras 34-38 and in particular in para 34: “It will nevertheless very rarely be
helpful for judges to attempt explicitly in a summing up to distinguish between what is
“disproportionate” and what is “unreasonable”. The focus of the jury in the context of a
householder case ultimately should be on what is reasonable or unreasonable in the
particular circumstances. In the overwhelming majority of cases it therefore should neither
be necessary nor helpful in a summing up to use language referring expressly to the contrast
between disproportionate and unreasonable force; because once the jury have concluded
that the degree of force used was not grossly disproportionate the sole issue is whether the
degree of force used was unreasonable in the circumstances. That should be the focus for
the jury.”
773 Ray para 38
Example 1: where the issue of the extent of the force used arises the
direction must include the second limb.
D has agreed that they struck V but has said that he/she not acting unlawfully but
was acting in lawful self-defence. The prosecution have to prove the case, so it is
for them to make you sure that D was the aggressor and was not acting in lawful
self-defence.
The law of self-defence is really just common sense. If someone is under attack or
believes that they are about to be attacked they are entitled to defend themselves
so long as they use no more than reasonable force. In this case when D struck V
he/she says it was because he/she believed V was about to hit them.
If on the evidence you are sure that D was the aggressor and did not believe they
were under threat from V then no question of self-defence arises and, subject to
the other elements of the offence being proved, your verdict will be one of Guilty.
If, however you consider it was or may have been the case that D was or believed
they were under attack or believed they were about to be attacked you must go on
to consider whether D’s response was reasonable. If you were to consider that
what D did was, in the heat of the moment when fine judgments are difficult, no
more than D genuinely believed was necessary, that would be strong evidence
that what D did was reasonable; and if you consider D did no more than was
reasonable, D was acting in lawful self-defence and is not guilty of the charge. It is
for you to decide whether the force used was reasonable and you must do that in
the light of the circumstances as you find D believed them to be. If you are sure
that even allowing for the difficulties faced in the heat of the moment D used more
than reasonable force, then D was not acting in lawful self-defence and, if the
other parts of the offence have been proved, D is guilty.
Example 2: where the only issue is whether the force used was unlawful or
in self-defence.
D has agreed that they struck V but has said that they were not acting unlawfully
but was acting in lawful self-defence. The prosecution have to prove the case, so it
is for them to make you sure that D was the aggressor and was not acting in lawful
self-defence.
The law of self-defence is really just common sense. If someone is or believes
they are under attack or believes they are about to be attacked they are entitled to
defend themselves. In this case D says he/she struck V because V had hit him/her
/ he/she believed that V was about to hit him/her – and D believed that they
needed to defend themselves.
If you are sure that D was the aggressor and did not believe that he was under
attack or threat of attack then self-defence does not arise and, subject to the other
elements of the offence being proved, your verdict will be one of Guilty. If however
you consider that D believed, or may have believed, that he was under attack or
about to be attacked, there is no suggestion that the force he used was
unreasonable, and the prosecution will not have proved that D was acting
unlawfully and your verdict will be Not Guilty.
V admits that he/she received the injuries when they were attempting to burgle D’s
home and so it is agreed that when D discovered V in the house V was a
trespasser. The prosecution case is that D’s reaction to finding a burglar in their
home was to shout at V that he/she would teach him a lesson and then attack V
with their son’s cricket bat. The prosecution suggest that D acted as he/she did in
order to punish V for breaking in. On this basis, the prosecution allege that the
issue of self-defence simply doesn’t arise.
The defence case is very different. D told you that he/she was taken by surprise by
V coming up the stairs towards them in the darkened house and that they
panicked, fearing for their own safety and that of their family. D says he/she picked
up the nearest object to hand, the cricket bat, and then struck V in order to defend
themselves and the family from an intruder who had broken into their home and
who D believed represented a physical threat.
So the prosecution say D acted unlawfully by attacking V. By contrast D says that
he/she was not acting unlawfully but was acting in lawful self-defence. Because
the prosecution have to prove the case it is for them to make you sure that D was
not acting in lawful self-defence. If you decide that D was or may have been acting
in lawful self-defence then the prosecution would have failed to prove the case and
you would find D not guilty.
The law of self-defence is really just common sense. If a person is under attack, or
believes they are about to be attacked, then they are entitled to defend themselves
so long as the force used is reasonable. In assessing what is reasonable you must
consider the circumstances as that person believed them to be. The law
recognises, however, that the actions of a householder faced with a trespasser
have to be assessed with particular regard being paid to that context as I shall
explain in a moment.
The assessment of all factual matters is for you alone. The first question to
consider is whether the defendant was behaving defensively at all and not, as the
prosecution allege, simply acting as the aggressor handing out what might be
termed some ‘rough justice’ to a criminal? If you are sure D was the aggressor
then lawful self-defence does not arise and you may have little difficulty in
concluding that D is guilty of the offence charged, provided that you are sure the
other ingredients of the offence are also proved.
If, however, you consider that D believed or may have believed there was a need
to use some defensive force then you will have to assess the reasonableness of
what D did. In deciding whether D’s actions were reasonable take account of the
circumstances which D believed to exist: being confronted by an intruder in his
home. That has obvious potential to increase the level of threat that someone
might perceive and/or make it more difficult for the person to judge the nature of
the appropriate response to such a threat. It is for you to decide whether D’s
behaviour was reasonable. It would not be reasonable if what D did was grossly
disproportionate – that is to say, if D went wholly over the top. You assess that
issue in the circumstances as D believed them to be. D told you that they had
been woken in the middle of the night to find an intruder in their home who D
believed represented a threat of physical violence towards not just themselves but
the rest of the family. D did not believe he/she could retreat; D did not believe
there was time to call for assistance. D told you he/she instinctively picked up the
cricket bat and struck V in defence of themselves and the family.
If you are sure that the force used by D was grossly disproportionate, in the sense
that he/she went completely over the top, then D would not have been acting in
self-defence. Even if you were not sure that D went completely over the top you
will still need to decide whether D’s actions were reasonable but that must be
judged from the perspective of the particular circumstance of D having to deal with
an intruder in the home. If you decide that, in the heat of the moment when fine
judgments are difficult, D did or may have done no more than what they
instinctively thought was necessary, that would be strong evidence that what D did
was reasonable. If the force used was or may have been reasonable in all the
circumstances as D believed them to be, then you would find D not guilty. If, on the
other hand and notwithstanding that D was faced by an intruder in the home, you
are sure that D’s actions were unreasonable then he/she would not have been
acting in lawful self-defence and your verdict would be guilty.
Question 1
Are you sure that D was the aggressor and that he/she did not believe it was
necessary to use force against V?
• If your answer is “Yes” your verdict will be ‘Guilty’.
• If your answer is “No” go on to consider question 2.
Question 2
Are you sure that in the circumstances as D believed them to be, and having
particular regard to the fact that D was confronted by an intruder in their own
home, the force used by D against V was grossly disproportionate in the sense
that D’s reaction was completely over the top?
• If your answer is “Yes” your verdict will be ‘Guilty’.
• If your answer is “No” go on to consider question 3.
Question 3
Are you sure that in the circumstances as D believed them to be, and having
particular regard to the fact that D was confronted by an intruder in their own
home, the force used by D was unreasonable?
• If your answer is “Yes” your verdict will be ‘Guilty’.
• If your answer is “No” your verdict will be ‘Not guilty’.
[Note: if the issue of the potential to retreat arises in a case then it should be dealt
with in accordance with para 38 of Ray.]
could give rise to the possibility of some of the jurors applying the ‘standard’ test of
reasonableness and some the ‘householder’ test, which contemplates the potential
for a disproportionate reaction to still be regarded as reasonable [See reference to
para 34 of Ray above].
It is suggested that the task of the assessment by the jury will be advantaged by
the provision of practical guidance focussed upon the facts of the particular case.]
This case concerns a neighbour dispute that ended up in violence. The
prosecution allege that when V went around to D’s house to protest about the
noise D was making in cutting his hedge V was let in by D’s son who showed V
into the conservatory where D was taking a break from gardening. V told you that
he/she complained to D about the noise being made and that D reacted by striking
V with the hedge-trimmer, causing V to sustain a cut to the head. So the
prosecution case is that D simply lost his/her temper, striking a neighbour who he
knew was lawfully in the home.
D disputes all this. He/she says they heard V barge past their son coming into the
house shouting: “I’m going to kill your dad/mum!” D says that he/she struck V with
the hedge-trimmer because D believed that V was a trespasser who was about to
hit him/her.
It follows that D agrees that they struck V but says they did so in lawful self-
defence.
The prosecution have to prove the case, so it is for them to make you sure that D
was not acting in lawful self-defence. They say this is a case where lawful self-
defence does not arise because D was at all times the aggressor and, even if D
believed there was a need for some defensive force, what they did was
unreasonable.
The law of self-defence is really just common sense. If a person is under attack or
believes they are about to be attacked then they are entitled to defend themselves
so long as the force used is reasonable. In assessing what is reasonable you must
consider the circumstances as D believed them to exist. The law recognises that
the actions of a householder faced with a trespasser have to be assessed with
particular regard being paid to that circumstance as I shall explain in a moment.
The assessment of all factual matters is for you alone. The first question to
consider is whether the defendant was acting defensively at all and not, as the
prosecution allege, simply behaving as the aggressor – striking a neighbour who
was lawfully in the home in what was an act of bad temper? If you are sure D was
the aggressor then lawful self-defence does not arise and you may have little
difficulty in concluding that D is guilty of the offence charged.
If, however, you consider that D believed or may have believed there was a need
to use some defensive force then you will have to assess the reasonableness of
D’s actions. In that context one of the issues you will need to consider is whether D
believed, or may have believed, that V had entered the home as a trespasser? If
that may have been the case then you may think it would have the potential to
increase the level of threat that someone might perceive and/or to make it more
difficult to judge the nature of the appropriate response to such a threat. It is for
you to decide whether D’s behaviour was reasonable on the facts as they believed
them to be. Even if D did believe or may have believed V was a trespasser the
reaction to that would not be reasonable if what D did was grossly disproportionate
– that is to say if D went wholly over the top. D told you that V had charged into the
home uttering threats of violence and on that basis D believed V represented a
threat of physical violence to which he/she instinctively reacted by striking out with
the hedge-trimmer.
If you are sure that the force used by D was grossly disproportionate, in the sense
that he/she went completely over the top, then they would not have been acting in
self-defence and your verdict would be guilty. Even if you were not sure that D
went completely over the top you will still need to decide whether D’s actions were
reasonable. Your assessment of that will be affected by whether the prosecution
have made you sure that D knew V was lawfully on the premises. The prosecution
task of disproving self-defence is inevitably going to be somewhat easier if in fact
D knew his/her son had invited V into the home so that they might voice some
concern as to the noise D had been making. If, however, D believed or may have
believed X to be a trespasser you would assess the reasonableness of D’s
response from the perspective of D having to deal with an intruder in his home.
Even disproportionate force could still be assessed by you as being reasonable in
the particular context of D having to deal with someone he/she believed or may
have believed to be a trespasser. The question you have to decide is whether, in
all the circumstances as you find to exist, it was a reasonable amount of force.
If you decide that, in the heat of the moment when fine judgments are difficult, D
did or may have done no more than that which he/she instinctively thought was
necessary, then that would be strong evidence that what D did was reasonable. If
the force used was or may have been reasonable in all the circumstances as D
believed them to be, then you would find D not guilty. On the other hand, if you are
sure the degree of force D used was unreasonable then you would find D guilty.
Question 1
Are you sure that D was the aggressor and that he/she did not believe it was
necessary to use force against V?
• If your answer is “Yes” your verdict will be ‘Guilty’.
• If your answer is “No” go on to consider question 2.
Question 2
Are you sure that D knew his/her son had invited V into the house?
• If your answer is “Yes” go on to consider question 3.
• If your answer is “No” go on to consider question 4.
Question 3
If you are sure D knew V was invited into the house then has the prosecution
made you sure that the amount of force used was unreasonable on the facts as D
believed them to be?
• If your answer is “Yes” your verdict will be ‘Guilty’.
• If your answer is “No” your verdict will be ‘Not guilty’.
Question 4
Has the prosecution made you sure that the force used by D against V was grossly
disproportionate in the sense of being completely ‘over the top’?
• If your answer is “Yes” your verdict will be ‘Guilty’.
• If your answer is “No” go on to consider question 5.
Question 5
Are you sure that, in the circumstances as D believed them to be, and having
particular regard to the fact that D was confronted by someone he/she believed to
be an intruder in the home, the force used by D was unreasonable?
• If your answer is “Yes” your verdict will be ‘Guilty’.
• If your answer is “No” your verdict will be ‘Not guilty’.
[Note: if the issue of the potential to retreat arises in a case then it should be dealt
with in accordance with para 38 of Ray.]
18-2 Alibi
ARCHBOLD 4-391 and 461; BLACKSTONE’S D17.14
Legal Summary
1. Alibi is defined by section 6A of the CPIA as:
“evidence tending to show that by reason of the presence of an accused at a
particular place or in a particular area at a particular time he was not, or was
unlikely to have been, at the place where the offence is alleged to have been
committed at the time of its alleged commission.”
2. Where the Crown’s case turns on D’s presence at a particular place and time,
and D denies such presence by asserting a positive case that they were
elsewhere, D has an obligation to provide particulars of the alibi: s.6A CPIA
1996; Rochford774 [16]. Failure to disclose the alibi and the particulars or to have
referred to it in interview may trigger an adverse inference warning: see Chapter
17-1 and 17-4.
3. Where D relies on alibi, it is for the Crown to disprove the alibi to the criminal
standard: Wood (No 2)775. If the alibi is demonstrably false, that fact alone does
not entitle the jury to convict. The jury should, where appropriate, be reminded
that an alibi is sometimes invented to bolster a genuine defence: Lesley.776 A
lies direction may be needed: see Chapter 16-2.
Directions
4. An alibi is evidence that D was somewhere other than alleged by the
prosecution at the time that the offence was committed.
5. It is not for D to prove he was elsewhere: once the issue is raised it is for the
prosecution to satisfy the jury so that they are sure he was where they allege.
6. If the jury are sure that the alibi raised is false that does not of itself prove the
guilt of D. A false alibi may be raised by a defendant who thinks that it is easier
or better for them to invent an alibi than to tell the truth. A lies direction may be
necessary.
7. If the jury are sure that D was present as the prosecution allege the jury must
also be satisfied of any other elements of the offence that are in issue.
8. An alibi direction must be considered in the context of:
(1) Any failure to mention the alibi when interviewed under caution;
(2) Any failure to comply with provisions as to notice to be given in the defence
statement;
(3) Any change from any earlier notified alibi.
The existence of any of the above considerations will give rise to the need for
further directions and should be discussed with the advocates before speeches.
Example
The defence is one of alibi. That is to say D says that he/she was not at the scene
but elsewhere when the crime was {allegedly} being committed.
Because it is for the prosecution to prove D’s guilt, he/she does not have to prove
that they were at {specify place asserted by D}: it is for the prosecution to prove
that he/she was at {specify place asserted by Prosecution}.
If the prosecution do prove that D’s alibi is false, that does not in itself mean that
he/she is guilty. It is something which you may take into account, but you should
bear in mind that sometimes an innocent person who fears that the truth will not be
believed may instead invent an alibi.
If you are sure that D was where the prosecution say they were, you must also be
sure {specify any other issues/elements of the offence}.
18-3 Duress
ARCHBOLD 17-119; BLACKSTONE’S A3.35
Legal Summary
1. A defendant who commits a crime under duress may, in certain circumstances,
be excused liability. The defence can arise where the duress results from
threats777 or from D’s circumstances.778
2. Duress in either form is not a defence to those charged with murder, attempted
murder and a limited number of other very serious offences.779 It is available to a
conspiracy to murder: Ness and Awan.780 If manslaughter is left as an alternative
then it seems appropriate to direct that the jury cannot convict of that unless
sure D was not under duress.
3. The defence is not available to a person who becomes voluntarily involved in
criminal activity where he knew or might reasonably have been expected to
know that they might become subject to compulsion to commit a crime.781
Duress by threats
4. The elements of the defence, set out in full in Hasan,782 are:
(1) that D reasonably believed that threats of death or serious injury had been
made against them or a member of their immediate family or someone for
whom D might reasonably feel responsible783. False imprisonment784 or
threat of serious psychological injury785 are insufficient. (There is a defence
for someone who commits a crime as a result of being trafficked if the
requirements of section 45 of the Modern Slavery Act 2015 are satisfied and
the offence is not exempt under Schedule 4 of the Act – see 18-6 below.)
(2) that D reasonably believed the threats would be carried out (almost)
immediately and the threat was effective in the sense that there was no
reasonable avenue of escape open to D to avoid the perceived threat. It
should be made clear to juries that if the retribution threatened against the
defendant or their family or a person for whom D feels responsible is not
such as D reasonably expects to follow immediately or almost immediately
on their failure to comply with the threat, there may be little if any room for
doubt that D could have taken evasive action, whether by going to the police
or in some other way, to avoid committing the crime with which D is
charged.786 It is not necessary to spell out for the jury all the risks that D
claims to have faced if they did not take a reasonable opportunity.787
(3) that the threat (or belief in the threat) of death or serious violence that was
the direct cause of D committing the offence. It is not correct to direct the
jury that the threat of death or serious injury must be the sole cause:
Ortiz;788
(4) that a sober person of reasonable firmness of D’s age, sex and character
would have been driven to act as D did. On characteristics see Bowen789:
the reasonable person will not share the defendant’s vulnerability to
pressure, timidity, or emotional instability. Characteristics attributable to
addiction to drink or drugs, are also irrelevant: Flatt.790
5. It is for the defence to raise the issue of duress. Once raised it is for the
prosecution to disprove. The defence ought to be left to the jury if there is any
evidence of it.791 However, if no reasonable jury could conclude on the evidence
that the threat was ‘imminent’ and/or that a sober person of reasonable firmness,
sharing the characteristics of the defendant, would have been driven to commit
the crime because there was, for example, reasonable opportunity for avoiding
it, then the defence need not be left.792
6. If the jury consider that the evidence of each of the above four matters is, or may
be, true D is not guilty. If the prosecution satisfy the jury so they are sure that
one or more of the above four matters is untrue the defence fails and D is guilty.
Duress of circumstances
7. The same restrictions on the availability apply as to duress by threats. The
classic statement of the law is that in Martin.793 The threat that arises from the
circumstances must be extraneous to the defendant.794 The threat must be
operative at the time of the offence.795
Directions
8. If an offence is committed under “duress” D is excused criminal liability except in
cases of murder, attempted murder and a limited number of other very serious
offences.
9. The defence is not available to a person who becomes voluntarily involved in
criminal activity where they knew or might reasonably have been expected to
the jury if no reasonable jury properly directed could fail to find it disproved.
792 Khan [2018] EWCA Crim 78.
793 [1989] 88 Cr App R 343. See also Shayler [2001] EWCA Crim 1977 at [49] per Lord
Woolf CJ.
794 Rodger [1998] 1 Cr App Rep 143.
795 Pommell [1995] 2 Cr App Rep 607.
know that they might become subject to compulsion to commit the act now
charged.
10. It is for the defence to raise the issue of duress; once raised it is for the
prosecution to disprove it. The defence must adduce evidence of each of the
following four matters:
(1) That D reasonably believed he/she was threatened; and
(2) That D was threatened in such a way that he/she believed that they, or a
member of their immediate family, or someone for whom D felt responsible,
would be subject to immediate or almost immediate death or serious
violence and there was no reasonable avenue of escape open to D to avoid
the threat/s; and
(3) That the threat/s was/were the direct cause of D committing the offence; and
(4) That a sober person of reasonable firmness of D’s age, sex and character
would have been driven to act as the defendant did.
11. If the jury consider that the evidence of each of the above four matters is or may
be true, the defendant is not guilty. If the prosecution satisfies the jury so they
are sure that one or more of the above four matters is untrue the defence fails
and the defendant is guilty.
12. In a case of duress of circumstances, the jury should be directed
“to determine these two questions: first, was the accused, or may he have
been, impelled to act as he did because as a result of what he reasonably
believed to be the situation he had good cause to fear that otherwise death or
serious physical injury would result? Second, if so, may a sober person of
reasonable firmness, sharing the characteristics of the accused, have
responded to that situation by acting as the accused acted? If the answer to
both those questions was yes, then the jury would acquit.” 796
NOTE: It is difficult to see how this defence can be made intelligible to a jury without
a Route to Verdict.
796 Martin.
[either, if the issue referred to in paragraph (4) below does not arise,] the
defence of duress does apply and your verdict will be 'Not Guilty'
[or, if the issue referred to in paragraph (4) below does arise,] you must go
on to consider one final question.
(4) You must finally ask whether D had voluntarily put himself/herself in a
position in which they knew or ought reasonably to have known that they
might be compelled to commit crime by threats of violence from other
people. The prosecution say that D did by {e.g. getting involved with other
criminals who might make such threats if D let them down or came to owe
them money]. But it is for you to decide. If you are sure that D did
voluntarily put himself/herself in such a position, the defence of duress
does not apply and your verdict will be 'Guilty'. However, if you decide that
he/she did not do so or may not have done so, the defence of duress does
apply and your verdict will be 'Not Guilty'.
Question 2
Did D do what he/she did because D genuinely and reasonably believed that if
they did not do it, D / a member of D’s immediate family would be killed or
seriously injured either immediately or almost immediately?
• If you are sure that this was not the case, return a verdict of 'Guilty' and
disregard the following questions.
• If you decide that this was or may have been the case, go to question 3.
Question 3
Before D acted as D did, did D have an opportunity to escape from / avoid the
threats without death / injury to himself/herself which a reasonable person in D's
situation would have taken?
• If you are sure that this was the case, return a verdict of 'Guilty' and disregard
the following questions.
• If you decide that this was not or may not have been the case, go to question 4.
Question 4
Would a reasonable person, in D's situation and believing what D did, have been
caused to do what D did?
• If you are sure that this is not the case, return a verdict of 'Guilty' and disregard
question 5.
• If you decide that this was or may have been the case, go to question 5.
Question 5
Had D voluntarily put himself/herself in a position in which he/she knew or ought
reasonably to have known that he/she might be compelled to commit crime by
threats of violence made by other people?
• If you are sure that this was the case, return a verdict of 'Guilty’.
• If you decide that this was not or may not have been the case, return a verdict
of 'Not Guilty'.
Legal Summary
1. A defendant has a complete defence to any charge if they were a “sane
automaton” and that automatism was not self-induced. Sane automatism arises
where the defendant claims that the act alleged to constitute a crime was
involuntary and was not caused by a disease of the mind within the meaning of
the M’Naghten Rules; see Chapter 18-5. Examples might include reactions to
anaesthetics, states of concussion following a blow to the head and hypnotic
influences.
2. In a case of sane automatism other than by intoxication
“two questions fall to be decided by the judge before the defence can be left
to the jury. The first is whether a proper evidential foundation for the defence
of automatism has been laid. The second is whether the evidence shows the
case to be one of insane automatism, that is to say, a case which falls within
the M’Naghten Rules, or one of non-insane automatism.” 797
3. Automatism is only available if the defendant suffered a complete destruction of
their ability to exercise voluntary control.798 In the case of driving offences, it is
clear that the ability to drive in a purposeful manner (steering etc.) is inconsistent
with involuntariness. The onus is on the defendant to raise evidence of a
sufficient case of automatism fit to leave the issue to the jury.799 That will usually
require medical evidence.800 Once the issue of automatism is left to the jury the
burden is on the prosecution to disprove it to the criminal standard. 801
4. If the automatism is self-induced (other than by taking alcohol to excess or
recklessly taking drugs, whether prescribed or otherwise) the jury will need to be
directed in relation to voluntary intoxication: see Chapter 9.
Directions
5. Once evidence is raised by the defence that when D did the act alleged they
were unable to exercise any control over their actions, it is for the prosecution to
make the jury sure that D had not completely lost their ability to exercise that
control.
6. If the jury consider D was, or may have been, completely unable to exercise any
control over their actions and this arose, or may have arisen, from some wholly
involuntary cause D is not guilty.
Example 1: Automatism
The central issue in this case is whether, when D {specify}, D was in control of
his/her actions or whether D was, or may have been, because of {specify cause
e.g. concussion}, in a state of automatism*; that is to say D’s state at that time was
such that D acted involuntarily and was unable to exercise any control over their
actions. A person is only in a state of automatism if they are unable to exercise
any control at all over their actions: someone who is partially in control of their
actions is not in that state.
It is not for D to prove that he/she was in such a state but for the prosecution to
prove, so that you are sure of it, that they were not. If you are sure that D was not
in a state of automatism, then, subject to the elements of the offence being proved
so that you are sure of them, you will find D guilty. If on the other hand you decide
that D was, or may have been, in a state of automatism, then you will find D not
guilty.
As to this issue {review evidence}.
NOTE:*The word “automatism”, despite being a legal term, is used since (a) it is
likely, where this is an issue, that this word will have been mentioned at some
point during the case and (b) it is useful ‘shorthand’ to describe a complete loss of
the ability to exercise control over a person’s actions.
Legal Summary
1. When, at the time of the commission of the actus reus of the offence,802 D is
suffering from a disease of the mind which gives rise to a defect of reason such
that D either did not know the nature and quality of his/her act or that it was
legally wrong,803 he/she is entitled to be found Not Guilty by Reason of
Insanity.804 It is not sufficient for the defence that D acted under uncontrollable
impulse.805 It has been held that the defence is one of general application and is
applicable to summary only offences and to offences in which an objective fault
element applies as in harassment contrary to section 2 of the Protection from
Harassment Act 1997.806
2. The verdict must be returned by a jury; it is not for the judge to endorse an
agreed plea.
3. The question is not whether D suffers from some recognised mental illness; a
defendant can be treated as insane in law if the defect of reason arises from a
medical condition that affects the “mental faculties of reason memory and
understanding” 807 such as epilepsy,808 diabetes,809 or sleepwalking,810 or a
tumour.811 It is a question of law not of medicine.
4. The burden of proof is on D to establish on the balance of probabilities that
he/she was insane at the time of the offence. The jury may only return a special
verdict of not guilty by reason of insanity on the evidence of two or more
registered medical practitioners at least one of whom is duly approved. 812
5. If there is an issue as to D’s mental state at the time of trial, that is dealt with by
the rules governing fitness to plead: see Chapter 3-2.
6. The plea of insanity may take the form of insane automatism (i.e. that D has a
total loss of control as a result of some disease of the mind). The defence is
mutually exclusive from that of sane automatism which requires that the total
loss of control arises from some external factor813: see Chapter 18-4. It is for the
judge to distinguish clearly between them as a matter of law. Where the
802 If the Crown fail to prove the actus reus he must be acquitted: A-G's Reference (No 3 of
1998) [2000] QB 401.
803 Windle [1952] 2 QB 826; Johnson [2007] EWCA Crim 1978, [2008] Crim LR 132.
804 Section 2(1) of the Trial of Lunatics Act 1883 (as amended by section 1 of the Criminal
Directions
9. Explain to the jury that every person is presumed to be sane and to possess a
sufficient degree of reason to be responsible for his/her crimes unless the
contrary is proved.
10. It is for D to prove, on the balance of probabilities, that as a result of disease of
the mind he/she was labouring under such a defect of reason that D did not
know (a) the nature and quality of his/her act or (b) that what he/she was doing
was wrong.
Example
D has raised the defence of insanity; insanity being a legal term used to describe
the effect of a medical condition on the functioning of the mind. Insanity does not
have to be permanent or incurable: it may be temporary and curable.
In law, a person is presumed to be sane and reasonable enough to be responsible
for their actions. But if a person proves that it is more likely than not that, when
they did a particular act, because they were suffering from a disease of the mind
either they did not know what they were doing or they did not know that what they
were doing was wrong, by the standards of reasonable ordinary people, D is to be
found “not guilty by reason of insanity”.
You should address this aspect of the case in two stages:
Firstly, you must decide whether D has proved that at the time D {specify action/s}
it is more likely than not that he/she was suffering from a disease of the mind. In
this case you have heard evidence from {specify witnesses and their opinions}.
If D has not proved that he/she was suffering from a disease of the mind, then D
does not have a defence of insanity and, subject to the elements of the offence
being proved so that you are sure of them, you will find D guilty.
If however you decide that it is more likely than not that D was suffering from a
disease of the mind, then you must go on to decide whether, as a result of that
disease, it is more likely than not that:
• either D did not know what they were doing when D {specify};
• and/or D did not know that what they were doing when D {specify} was wrong
by the standards of reasonable ordinary people.
If D has not proved either of these things then he/she does not have a defence of
insanity and, subject to the elements of the offence being proved so that you are
sure of them, you will find D guilty. If D has proved that it is more likely than not
that as a result of their disease of mind they did not know what they were doing
and/or they did not know that what they were doing was wrong, then you will find D
not guilty by reason of insanity.
NOTE: In many cases there is no issue that D was suffering from a disease of the
mind; the real issue is whether as a result of that D did not know what D was doing
and/or that what D was doing was wrong. Directions must be tailored to reflect this.
Legal Summary
1. Section 45 of the Modern Slavery Act 2015 (‘the Act’) creates a specific defence
for defendants who may have been the subject of slavery or a relevant form of
exploitation. Schedule 4 lists offences that are excluded from the ambit of the
defence. The defence differs depending on whether the defendant is under or
over 18.
2. For someone 18 or over the defence applies where D:
(1) does the act constituting the offence because they are compelled to by
another person or by D’s circumstances; and
(2) the compulsion is attributable to slavery or is a direct consequence of a
person being, or having been, a victim of slavery or a victim of human
trafficking (see s.1 and 3 of the Act), and
(3) a reasonable person in the same situation as D and of D’s age and sex,
sharing any of D’s physical or mental illness or disability characteristics (see
s.45(5)) would have had no realistic alternative to doing the act.
3. For a person who is under 18 when they do the relevant act which constitutes the
offence the defence applies where:
(1) D did the act as a direct consequence of being, or having been, the victim of
slavery or having been a victim of human trafficking
(2) A reasonable person in the same situation as D and having the D’s relevant
characteristics (see s.45(5)) would do that act.
If the defence is raised on the evidence then it is for the prosecution to prove that
it does not apply817.
Directions
4. The defence may arise in a variety of ways and not all the potentially relevant
factors will be present in every case. It will be necessary to discuss the directions
with the advocates in order to identify how the matter may be left for the jury to
consider.
5. Schedule 4 to the Act lists a substantial number of offences in respect of which
the defence does not apply.818
6. The court in MK held that s.45 “…does not implicitly require the defendant to bear
the legal or persuasive burden of proof of any element of the defence. The
burden on a defendant is evidential. It is for the defendant to raise evidence of
each of those elements and for the prosecution to disprove one or more of them
to the criminal standard in the usual way.”819
7. The differences between the defences depending on whether D is over or under
18 are significant and will result in very different directions being given to the jury.
8. The ‘relevant characteristics’ identified in s.45(5) mirror the common law position
so far as duress is concerned and thus will be subject to the same limitations as
identified in Bowen820. An issue may arise as to whether a ‘reasonable person in
the same situation’ as D should be assessed in the context of D’s experience of
slavery or having been a victim of human trafficking.
9. So far as a D aged 18 or over is concerned the jury may need assistance as to
the meaning of ‘no realistic alternative’.
Example 1
{Route to Verdict where D aged 18 or over is alleged to have committed an
offence of production of cannabis and the defence raised is that D was compelled
to act as a gardener having been trafficked to the UK for that purpose.}
It is not in dispute that D knowingly cultivated cannabis plants. The defence case is
that D was compelled to do so due to the fact that he/she was trafficked into the
UK for the purpose of being forced to work as a ‘gardener’ in cannabis factories of
the nature found to be in operation by the police when D was arrested.
Accordingly, you must consider the following questions.
Question 1
Has the prosecution made you sure that D was NOT compelled to cultivate
cannabis?
• If you are sure that D was not compelled to do so, return a verdict of ‘Guilty’
and disregard the following questions.
• If you think that D was or may have been compelled to cultivate cannabis, go
on to consider the next question.
Question 2
Has the prosecution made you sure that D was not trafficked to the UK in order to
be set to work in a cannabis factory as he/she claims is the case?
• If you are sure that D was not a victim of human trafficking, return a verdict of
’Guilty’.
• If you think that D was or may have been a victim of human trafficking, go on to
consider the next question.
Question 3
Has the prosecution made you sure that a reasonable person in the same situation
as D and of D’s age and sex, sharing any of D’s physical characteristics and/or
features of mental illness and/or physical disabilities [outline any relevant
evidence] would have had a realistic alternative to assisting in the cultivation of
cannabis?
• If the prosecution has made you sure that a reasonable person (as I have
explained that concept to you) would have had a realistic alternative, return a
verdict of ‘Guilty’.
• If you are not sure, then your verdict will be ‘Not Guilty’.
Example 2 – under 18
{Route to Verdict where D under 18 is alleged to have committed an offence of
production of cannabis and the defence raised is that D was compelled to act as a
gardener having been trafficked to the UK for that purpose.}
It is not in dispute that D knowingly cultivated cannabis plants. The defence case is
that D was compelled to do so due to the fact that he/she was trafficked into the
UK for the purpose of being forced to work as a ‘gardener’ in cannabis factories of
the nature found to be in operation by the police when D was arrested.
Accordingly, you must consider the following questions.
Question 1
Has the prosecution made you sure that D did not cultivate cannabis as a direct
consequence of being a victim of human trafficking as he/she told you was the
case?
• If you are sure that D did not cultivate cannabis as a direct consequence of
being trafficked to the UK, then your verdict would be ‘Guilty’.
• If you think that D was or may have cultivated cannabis as a direct
consequence of being trafficked into the UK as he/she told you, go on to
consider the next question.
Question 2
Has the prosecution made you sure that a reasonable person in the same situation
as D and of D’s age and sex, sharing any of D’s physical characteristics and/or
features of mental illness and/or physical disabilities [outline any relevant
evidence] would not have cultivated cannabis as D admits he/she did?
• If the prosecution has made you sure that a reasonable person (as I have
explained that concept to you) would not have cultivated cannabis, then your
verdict would be ‘Guilty’.
• If the prosecution have not made you sure, then your verdict will be ‘Not Guilty’.
Legal summary
1. Section 52 of the Coroners and Justice Act 2009 substitutes a new form of the
defence of diminished responsibility into s.2 of the Homicide Act 1957 applicable
in relation to any murder wholly after 4th October 2010.
2. The partial defence is available only to murder. It is not available following a
finding of unfitness to plead821 under the Criminal Procedure (Insanity) Act 1964,
s.4A(2).
3. It requires the defendant charged with murder to prove on the balance of
probabilities822 that
(1) D was suffering from an “abnormality of mental functioning”; and
(2) the abnormality of mental functioning must have arisen “from a recognised
medical condition”; and
(3) there was a substantial impairment of D’s ability to do one or more of the
things in s. 2(1A), i.e. (a) to understand the nature of his/her conduct; (b) to
form a rational judgment; and (c) to exercise self-control; and
(4) the abnormality of mental functioning from a recognised medical condition
must have been a cause or contributory cause of (or possibly merely an
explanation of) the accused’s conduct in killing.
4. In practice, the defence will only be available if D adduces expert evidence of
his/her mental state.823
Abnormality of mental functioning
5. Under the old s.2 test (of “abnormality of mind”), the determination of
“abnormality” could be left to the jury: Byrne.824 Lord Parker CJ in Byrne stated
(at p.403) that “abnormality” of mind means:
“…a state of mind so different from that of ordinary human beings that the
reasonable man would term it abnormal…”
(2) If, however, the jury has been introduced to the question of whether any
impairment beyond the merely trivial will suffice, or if it has been introduced to
the concept of a spectrum between the greater than trivial and the total, the
judge should explain that whilst the impairment must indeed pass the merely
trivial before it need be considered, it is not the law that any impairment
beyond the trivial will suffice. The judge should likewise make this clear if a
risk arises that the jury might misunderstand the import of the expression;
whether this risk arises or not is a judgment to be arrived at by the trial judge
who is charged with overseeing the dynamics of the trial. Diminished
responsibility involves an impairment of one or more of the abilities listed in
the statute to an extent which the jury judges to be substantial, and which it is
satisfied significantly contributed to his committing the offence. Illustrative
expressions of the sense of the word may be employed so long as the jury is
given clearly to understand that no single synonym is to be substituted for the
statutory word:…”
In Squelch829 the trial judge directed the jury that:
“Substantially” is an ordinary English word on which you will reach a
conclusion in this case, based upon your own experience of ordinary life. It
means less than total and more than trivial. Where you, the jury, draw the line
is a matter for your collective judgment.”
The Court of Appeal upheld and commended this direction, noting that:
“It most emphatically is not the case, particularly in the light of the decision of
the Supreme Court in R v Golds830 (which post-dated this trial), that a detailed
direction as to the meaning of the word "substantially" as used in the section
is required.”831
An explanation for D’s conduct in killing
11. The defence is narrowed further by the requirement that the abnormality of
mental functioning, arising from a recognised medical condition and substantially
impairing the defendant’s ability in a relevant manner must also “explain” D’s
acts in killing. By subsection 1B “an explanation” for D’s conduct is provided “if it
causes, or is a significant contributory factor in causing, D to carry out that
conduct.” Several problems arise. Subsection 1B does not say that for the
defence to succeed a sufficient explanation can only be provided if the
abnormality of mental functioning is a cause. On this basis a causal link is just
one of the ways in which the killing might be “explained.” There may be cases
where the abnormality provides an explanation sufficient to mitigate the conduct
to manslaughter even if there is no causal link. However, the language in
Parliamentary debates was clearly envisaging a causal link and that seems to be
the way it was interpreted in Golds by the Supreme Court.
Intoxicated defendants
12. Three situations need to be considered:
(1) D who is acutely intoxicated, but not suffering alcoholic dependence (nor any
other recognised medical condition): no defence of diminished responsibility
arises on the basis of acute voluntary intoxication: Dowds832.
(2) D who has a recognised medical condition (other than alcohol dependency
syndrome) and is also voluntarily intoxicated at the time of the killing: The
jury must decide whether D was diminished ignoring the voluntary
intoxication. Following Dietschmann833, the focus must be on whether,
ignoring the intoxication, there was an abnormality of mental functioning
arising from a recognised medical condition. If so, the question should be
whether that abnormality of mental functioning substantially impaired D’s
ability in a relevant way, and if so, whether that abnormality of mental
functioning “explains” or “causes” the conduct by which D killed. D should be
entitled to the defence even if D might not have killed had D not been drunk,
provided the abnormality of mental functioning arising from the recognised
medical condition nevertheless explains D’s conduct in killing.834
See also Kay; Joyce835 in which the Court of Appeal clarified that the law
does not debar someone suffering from a recognised medical condition, in
that case schizophrenia, from relying on the partial defence of diminished
responsibility where voluntary intoxication had triggered the psychotic state;
but D had to meet the criteria in s.2(1). D had to establish that the
abnormality of mental functioning arose from a recognised medical condition
that substantially impaired D’s responsibility. The recognised medical
condition might be schizophrenia of such severity that, absent intoxication, it
substantially impaired D’s responsibility; it might be schizophrenia coupled
with drink/drugs dependence syndrome which together substantially impaired
responsibility. However, if an abnormality of mental functioning arose from
voluntary intoxication, and not from a recognised medical condition, an
accused could not avail him/herself of the partial defence. That was for good
reason: as a general rule, voluntary intoxication could not relieve an offender
of responsibility for murder, save where it was relevant to the question of
intent.
(3) D who has a recognised medical condition in the form of alcohol
dependency syndrome and is intoxicated at the time of the killing: The jury
should be entitled to have regard to the alcohol dependency syndrome and
D’s intoxication, but leaving out of account, insofar as it is possible, D’s
voluntary intoxication. D is entitled to the defence if D proves an abnormality
of mental functioning arising from alcohol dependency syndrome, so as
substantially to impair D’s ability in a relevant way, and that abnormality of
Directions
18. In practice this defence is sometimes raised in conjunction with others such as
self-defence (Chapter 18-1); lack of intent (Chapter 8-1); and loss of control
(Chapter 19-2).
19. It is suggested that the direction to the jury should follow as closely as possible
the provisions of s. 2(1), (1A) and (1B) of the Homicide Act 1957 set out in
section 52(1) of the Coroners and Justice Act 2009.
20. It is appropriate to provide the jury with a written summary of the law and a list of
questions (route to verdict).
21. The direction must refer to the following essential features of the defence:
(1) The defence of abnormality of mental functioning reduces what would
otherwise be an offence of murder to one of manslaughter.
(2) It is for D to establish the defence, on the balance of probabilities.
(3) The defence will be made out if, when D killed or was a party to the killing of
V, D was suffering from an abnormality of mental functioning which:
(a) arose from a recognised medical condition (s. 2(1)(a)); and
(b) substantially impaired D's ability to understand the nature of D’s
conduct and/or to form a rational judgment and/or to exercise self-
control (s.2(1)(b) and (1A)); and
(c) caused or was a significant contributory factor in causing D to kill or be
a party to the killing of V (ss. 2(1)(c) and (1B)).
22. In practice medical evidence will be adduced on some or all of the matters
referred at paragraph 21(3) above. A direction on expert evidence (see Chapter
10-3 above) will therefore be necessary, as will a careful analysis of the medical
evidence.
23. In relation to paragraph 21(3)(b) above it will usually be unnecessary or
inappropriate to explain or define the meaning of 'substantially' beyond saying
that it is an ordinary English word and that it is for the jury to decide, using its
collective common sense, whether the impairment was of such a degree as to
make it substantial.
24. However, if
(1) reference has been made during the trial to the meaning of 'substantially'
and/or to the degree of impairment required; or
Example
It is not in dispute that D killed V with the intention either of killing V or causing V
really serious injury. This would ordinarily make D guilty of murder but D has
raised the defence of diminished responsibility which, if proved, reduces an
offence of murder to one of manslaughter.
It is for D to establish this defence but D is not required to prove it to the same high
standard as the prosecution by making you sure of it. Instead it must be proved
that it is more likely than not that the defence applies.
In order to do so D must establish that all of the following four things are more
likely than not to have existed:
1. that when D killed V, D was suffering from an abnormality of mental
functioning; and
2. that D’s abnormality of mental functioning arose from a recognised medical
condition; and
3. that D’s abnormality of mental functioning substantially impaired D's ability to
understand the nature of his/her conduct and/or to form a rational judgment
and/or to exercise self-control; and
4. that D’s abnormality of mental functioning caused, or was a significant
contributory factor in causing, D to kill V.
[Where any of these 4 elements are not in issue, this should be made clear to the
jury; where any element is in issue the evidence relating to it and any arguments
raised by the defence and prosecution about it should be summarised.]
If, but only if, the defence establish that all four of these things are more likely than
not to have been the case, then D will be not guilty of murder but guilty of
manslaughter. If D fails to establish that any one of these things is more likely than
not to have been the case, then the defence of diminished responsibility is not
available to D and D will be guilty of murder.
Route to Verdict
1. When D stabbed V, is it more likely than not that D was suffering from an
abnormality of mental functioning?
• If “Yes” go on to answer question 2.
• If “No” your verdict will be Guilty of Murder and you will go no further.
2. Is it more likely than not that D’s abnormality of mental functioning arose from
a recognised medical condition?
• If “Yes” go on to answer question 3.
• If “No” your verdict will be Guilty of Murder and you will go no further.
4. Is it more likely than not that the abnormality of mental functioning caused, or
was a significant contributory factor in causing, D to stab V?
• If “Yes” your verdict will be “Not guilty of Murder but guilty of Manslaughter”
• If “No” your verdict will be Guilty of Murder.
Legal Summary
1. Sections 54 to 56 of the Coroners and Justice Act replaced the common law
provocation defence. The defence is available only to a charge of murder,
whether as a principal or secondary party.843 If successful it results in a
manslaughter conviction. The defence may be pleaded alongside diminished
responsibility. Note the different burdens of proof (as under the old law).
Elements of the defence
2. There are three main elements to the defence:
(1) A loss of self-control.
(2) The loss of self-control must be attributable to a qualifying trigger.
(3) A person of D’s age and sex, with a normal degree of tolerance and self-
restraint and in the circumstances of D, might have reacted in the same or in
a similar way to D.
3. General guidance on the operation of these provisions is to be found in
Clinton844; Dawes845; and Gurpinar846. As the Lord Chief Justice emphasised in
Gurpinar847 it “should rarely be necessary to look at cases decided under the old
law of provocation. When it is necessary, the cases must be considered in the
light of the fact that the defence of loss of control is a defence different to
provocation and is fully encompassed within the statutory provisions.”
Commencement
4. Sections 54 to 56 came into force on 4 October 2010. The provisions do not
operate retrospectively. The common law defence of provocation continues to
apply in any case in which the “relevant event”, such as an act which caused or
contributed to the death, occurred before this date.848
Withdrawing the defence
5. Under s 54(5) & (6), the defence must be left if “sufficient evidence is adduced to
raise an issue with respect to the defence” and this is when “evidence is
adduced on which, in the opinion of the trial judge, a jury, properly directed,
could reasonably conclude that the defence might apply.”
6. In Dawes,849 the Lord Chief Justice observed that the section requires a
judgment, not the exercise of a discretion. Irrespective of whether D has
positively advanced the defence, the task of the trial judge requires:
“… a commonsense judgment based on an analysis of all the evidence. To
the extent that the evidence may be in dispute, the judge has to recognise that
the jury may accept evidence which is most favourable to the defendant, and
reject that which is most favourable to the prosecution, and so tailor the ruling
accordingly. That is merely another way of saying that in discharging this
responsibility the judge should not reject disputed evidence which the jury
might choose to believe.”
7. In Gurpinar 850 it was made clear that if there is not “sufficient” evidence on any
one of the three elements, the defence should not be put to the jury. In deciding
whether to withdraw the defence, the judge must bear in mind that the jury may
take a different view of the evidence and favour the defendant:
“However as the Act refers to "sufficient evidence", it is clearly the judge's task
to analyse the evidence closely and be satisfied that there is, taking into
account the whole of the evidence, sufficient evidence in respect of each of
the three components of the defence”.
8. The judge is bound to consider the weight and quality of the evidence in coming
to a conclusion: see Jewell 851 at paragraphs 51-54.
9. As the task facing the trial judge is to consider the three components
sequentially, and then to exercise a judgement looking at all the evidence, it
follows from the terms of the Act (as clearly set out in both Clinton and Dawes)
that if the judge considers that there is no sufficient evidence of loss of self-
control (the first component) there will be no need to consider the other two
components. Nor if there is insufficient evidence of the second will there be a
need to address the third.
“…a trial judge must undertake a much more rigorous evaluation of the
evidence before the defence could be left to the jury than was required under
the former law of provocation.” [12] – [14]
10. In Gurpinar the Lord Chief commented at [15] that
…a judge must be assisted by the advocates. It is generally desirable that the
possibility of such an issue arising should be notified to the judge as early as
possible in the management of the case, even though it may not form part of
the defence case. If, at the conclusion of the evidence, there is a possibility
that the judge should leave the issue to the jury when it is not part of the
defence case, the judge must receive written submissions from the advocates
so that he can carefully consider whether the evidence is such that the
statutory test is met.
849 [2013] EWCA Crim 322. See also Workman [2014] EWCA Crim 575 Jewell [2014] EWCA
Crim 414.
850 [2015] EWCA Crim 178.
851 [2014] EWCA Crim 414.
(3) If the degree of force used by D is, viewed objectively, excessive, that will
deprive D of a defence of self-defence, but will not automatically deprive D
of the loss of control defence. The question is whether a person with a
normal degree of tolerance and self-restraint “might use” such force.
(4) The position will be even more complex where D has killed when attacking a
trespasser in a dwelling and the self-defence plea is based on s 76 of the
Criminal Justice and Immigration Act 2008 as amended by the Crime and
Courts Act 2013: see Chapter 18-1 paragraph 7.
(5) Self-defence and this s.54 defence may both be pleaded. Care is needed.
Unlike self-defence, D has lost control. Unlike self-defence, D can rely on
fear of future non-imminent attack. If D has intentionally killed V, pleads self-
defence but is alleged to have used excessive force, the complete defence
of self-defence might fail, but D may still be able to rely on the partial
defence, the excessive amount of force being explicable by reference to the
“loss of self-control”. Section 54(5) requires only that sufficient evidence is
adduced to raise an issue under s 54(1). Thereafter, the prosecution
shoulders the legal burden of proving, to the criminal standard of proof, that
the defence is not satisfied.
(6) However, where self-defence is raised, it does not follow, automatically or
routinely, that loss of control should also be left to the jury. As Lord Justice
Davis observed in Martin860
“That most certainly is not the law and indeed is wholly contrary to the
designedly limited nature of the defence as conferred by the 2009 Act.
At all events, where it is in any murder trial sought to be said that there is
not only a defence of self-defence arising but also a defence of loss of
control arising, then most certainly a "rigorous evaluation" of the
evidence is always required before the issue can be left to the jury.”
(7) As with self-defence, in Asmelash,861 the Lord Chief Justice held that the
jury ought to be directed to consider whether they were sure that a person of
D’s sex and age with a normal degree of tolerance and self-restraint and in
the same circumstances, but unaffected by alcohol, would not have reacted
in the same or similar way.
Things said or done; circumstances of an extremely grave character, etc.
22. There must be some evidence of the qualifying trigger. The new law follows the
old on this: Acott.862 As Lord Judge commented in Clinton,863 “the question
whether the circumstances were extremely grave and whether the defendant’s
sense of grievance was justifiable require objective evaluation.” This was
reiterated in Dawes,864 in which the Court stated that whether a circumstance is
of an extremely grave character and whether it leads to a justifiable sense of
860 [2017] EWCA Crim 1359 paragraph 50. See generally “Withdrawing the Defence” at
paras 5 to 12 above.
861 [2013] EWCA Crim 157.
862 ibid.
863 [2012] EWCA Crim 2.
864 [2013] EWCA Crim 322.
being seriously wronged requires objective assessment by the judge at the end
of the evidence. The existence of a qualifying trigger is not defined solely on the
defendant’s say so. The defendant must have been caused by the things done
or said to have a “justifiable sense of being seriously wronged” (s.55(4)). The
Lord Chief Justice in Dawes865 stated that the fact of the breakup of a
relationship, of itself, will not normally constitute circumstances of an extremely
grave character and entitle the aggrieved party to feel a justifiable sense of
being seriously wronged.
23. D’s loss of control that is attributed to anything said or done and which
constitutes sexual infidelity it is to be disregarded (s.55(6)(c)). Sexual infidelity
on its own cannot qualify as a trigger for the purposes of the second component
of the defence. Problematic situations will arise when the defendant relies on an
admissible trigger (or triggers) for which sexual infidelity is said to provide an
appropriate context for evaluating whether the trigger relied on is a qualifying
trigger for the purposes of subsection 55(3) and (4). When this situation arises
the jury should be directed:
(1) as to the statutory ingredients required of the qualifying trigger(s);
(2) as to the statutory prohibition against sexual infidelity on its own constituting
a qualifying trigger;
(3) as to the features identified by the defence (or which are apparent to the trial
judge) which are said to constitute a permissible trigger(s);
(4) that, if these are rejected by the jury, in accordance with (b), sexual infidelity
must then be disregarded;
(5) that if, however, an admissible trigger may be present, the evidence relating
to sexual infidelity arises for consideration as part of the context in which to
evaluate that trigger and whether the statutory ingredients in (a) may be
established.
24. It is possible for a defendant to rely on both qualifying triggers in combination –
that D killed having lost control because D was in fear of serious violence and
had a justifiable sense of being seriously wronged.
Degree of tolerance and self-restraint
25. Under s.54(1)(c) the requirement is that “a person of D’s sex and age, with a
normal degree of tolerance and self-restraint and in the circumstances of D,
might have reacted in the same or in a similar way to D.” This is an objective
test.
By s.54(3):
“In subsection (1)(c) the reference to “the circumstances of D” is a reference
to all of D’s circumstances other than those whose only relevance to D’s
conduct is that they bear on D’s general capacity for tolerance or self-
restraint.”
26. The reference to “tolerance” excludes the person with unacceptable attitudes as
well as those with an unacceptable temper. Guidance was proffered by the Lord
Chief Justice as to how this limb of the defence ought to be applied in a case
where D is voluntarily intoxicated in Asmelash.866 There is now no positive
requirement that D’s individual circumstances have to affect the gravity of the
triggering conduct in order for them to be included in the jury’s assessment of
what the person of D’s age and sex might have done. Section 54(3) only
appears to exclude a circumstance on which D seeks to rely if its sole relevance
is to diminish D’s self-restraint. The circumstance has to be relevant to D’s
conduct and not to the conduct or words of those that triggered D’s loss of
control.
Defendants with diagnosed mental conditions
27. A mental condition may be relevant to the gravity of the qualifying trigger under
section 55(3) and (4) but not to “the circumstances of D” for the purposes of
section 54(3) if its only relevance is to his general capacity for tolerance or self-
restraint. In the conjoined appeals of Rejmanski and Gassman,867 D1, a former
soldier, was diagnosed as suffering from PTSD and D2 from Emotionally
Unstable Personality Disorder. In each case the CACD decided that the jury
should be directed to ignore the medical condition when considering the third
element of the defence, as it bore on the defendant’s general capacity for
tolerance and self-restraint. In a judgment delivered by Hallett LJ, the Court said
that
“in assessing the third component, the defendant is to be judged against the
standard of a person with a normal degree, and not an abnormal degree, of
tolerance and self-restraint. If, and in so far as, a personality disorder reduced
the defendant's general capacity for tolerance or self-restraint, that would not
be a relevant consideration. Moreover, it would not be a relevant
consideration even if the personality disorder was one of the "circumstances"
of the defendant because it was relevant to the gravity of the trigger. Expert
evidence about the impact of the disorder would be irrelevant and
inadmissible on the issue of whether it would have reduced the capacity for
tolerance and self-restraint of the hypothetical "person of D's sex and age,
with a normal degree of tolerance and self-restraint".
28. If the mental disorder has a relevance to D’s conduct other than a bearing on D’s
general capacity for tolerance or self-restraint, it is not excluded by subsection
(3) and the jury will be entitled to take it into account as one of D’s
circumstances. The court emphasised that it will be necessary to identify “with
some care” how the mental disorder is said to be relevant as one of D’s
circumstances. The court also emphasised that it must not be relied upon to
undermine the principle that the conduct of D is to be judged against ‘normal’
standards, rather than the abnormal standard of an individual defendant.
29. The court explicitly rejected the argument that if a disorder is relevant to the
gravity of the qualifying trigger, and evidence of the disorder is admitted in
relation to the gravity of the trigger, the jury would also be entitled to take it into
account in so far as it bore on D’s general capacity for tolerance and self-
restraint.
30. It follows that psychiatric evidence as to impaired ability to exercise self-control
may be relevant to a defence of Diminished Responsibility and / or to the gravity
of a qualifying trigger, but not to the third limb of Loss of Control: see McGrory
868
Directions
31. The need for a direction about loss of control will arise only if sufficient evidence
is adduced to raise the defence, as to which see ss.54(5) and (6) of the
Coroners and Justice Act 2009.
32. In practice, this defence is often raised in conjunction with others such as self-
defence (Chapter 18-1) lack of intent (see Chapter 8-1) and abnormality of
mental functioning (Chapter 19-1).
33. It is suggested that the direction to the jury should follow the provisions of ss.54
and 55 of the 2009 Act as closely as possible, and should avoid as far as
possible efforts to paraphrase or re-state those provisions.
34. Given the complexity of the defence, it will be essential in almost all cases to
provide the jury with a written summary of the law and/or a list of questions
(route to verdict).
35. The direction must refer to the following essential features of the defence.
(1) The defence of loss of control reduces what would otherwise be an offence
of murder to one of manslaughter (s.54(7)).
(2) It is not for D to prove that the defence applies. It is for the prosecution to
make the jury sure that it does not (s.54(5)).
(3) The defence does not apply if, when D killed V, D was acting in a
considered desire for revenge (s.54(4)).
(4) The defence is available to D only if:
(a) D's killing or being a party to the killing of V resulted or might have
resulted from D's loss of self-control, whether sudden or not (s.54(1)(a)
and (2)); and
(b) the loss of control was or might have been caused by D's fear of
serious violence from V against D or another identified person and/or
by a thing or things done or said, or both, which constituted
circumstances of an extremely grave character and caused D to have a
justifiable sense of being seriously wronged (ss.54(1)(b) and 55(1) to
(5) - and note that it may be necessary to expand this part of the
direction by reference to s.55(6)); and
36. The direction should identify in summary form any evidence which is capable of
supporting or undermining any of the propositions referred to at 5(3) and (4)
above that arise as issues in the case.
Example
D admits that he/she killed V by stabbing V and that at the time D did so D
intended to kill or cause V really serious injury. That would normally make D guilty
of murder. However, D relies on the defence of loss of self-control. If that defence
applies to D in this case, it would not excuse D completely, but it would reduce D
crime from murder to manslaughter.
Because it is the prosecution's task to make you sure of D's guilt, it is for them to
prove that the defence of loss of self-control does not apply in this case. D does
not have to prove that it does.
The first matter to consider is whether or not D stabbed V as the result of a loss of
self-control. If you are sure that D did not in fact lose self-control at all, then the
defence of loss of self-control would not apply and your verdict would be ‘Guilty of
Murder’. Or, if you are sure that D acted as he/she did in a considered desire for
revenge, whether this was done calmly or in anger, then D would not have lost
self-control and the defence would not apply. [Here summarise the evidence about
this and arguments relied on by the prosecution and the defence.]
If you decide that D did lose or may have lost self-control the next matter to
consider is what triggered it.
D cannot rely on a loss of self-control unless it was triggered by either or both of
the following two things:-
(1) D feared serious violence from V against D [or another identified person].
(2) Something(s) done or said (or both) which constituted circumstances of an
extremely grave character and caused D to have a justifiable sense of being
seriously wronged.
[If necessary expand this part of the direction by reference to s. 55(6).]
If you are sure that D's loss of self-control was not triggered by either of these
things, the defence of loss of self-control would not apply and your verdict would
be ‘Guilty of Murder’. [Here summarise the evidence about this and arguments
relied on by the prosecution and the defence.]
If you decide that D's loss of self-control was or may have been triggered by one or
both of these things, you will then have to consider, finally, whether a person of D's
sex and age, with a normal degree of tolerance and self-restraint and in D’s
circumstances, might have reacted in the same or a similar way to D. [If necessary
expand this part of the direction by reference to s.54(3).]
If you are sure that such a person would not have reacted in such a way, the
defence of loss of self-control would not apply and your verdict would be ‘Guilty of
Murder’. If however you decide that such a person would or may have reacted in
such a way then the defence of loss of self-control would apply and your verdict
would be ‘Not Guilty of Murder but Guilty of Manslaughter’. [Here summarise the
evidence and arguments relied on by the prosecution and the defence.]
Route to Verdict
Question 1
When D caused the fatal injury to V, are you sure that D had not lost his self-
control?
• If Yes, your verdict will be ‘Guilty of Murder’ and you will go no further.
• If No, go on to answer question 2.
Question 2
Are you sure that any loss of self-control was not triggered by:-
(a) D's fear of serious violence from V against D [or another identified person];
and/or
(b) Something(s) said or done (or both) which amounted to circumstances of
an extremely grave character and caused D to have a justifiable sense of
being seriously wronged?
• If Yes, your verdict will be ‘Guilty of Murder’ and you will go no further.
• If No, go on to answer question 3.
Question 3
Are you sure that a person of D's sex and age, with a normal degree of tolerance
and self-restraint, and in D's circumstances, would not have reacted in the same or
a similar way to D?
• If Yes, your verdict will be ‘Guilty of Murder’.
• If No, your verdict will be ‘Not Guilty of Murder, but Guilty of Manslaughter’.
Kennedy (No 2) [2008] 2 AC 169, D cannot be convicted of unlawful act manslaughter on the
basis of the act of supply to V who self-administers the drugs.
872 See Sellu [2016] EWCA Crim 1716, Rudling [2016] EWCA Crim 741; Bawa-Garba [2016]
(c) It was reasonably foreseeable that the breach of that duty gave rise to
a serious and obvious risk of death.
(d) The breach of that duty caused the death of the victim.
(e) The circumstances of the breach were truly exceptionally bad and so
reprehensible as to justify the conclusion that it amounted to gross
negligence and required criminal sanction.
(3) The question of whether there is a serious and obvious risk of death must
exist at, and is to be assessed with respect to, knowledge at the time of the
breach of duty.
(4) A recognisable risk of something serious is not the same as a recognisable
risk of death.
(5) A mere possibility that an assessment might reveal something life-
threatening is not the same as an obvious risk of death. An obvious risk is a
present risk which is clear and unambiguous, not one which might become
apparent on further investigation.874
Duty
5. Whether a duty of care exists is a matter for the jury once the judge has decided
that there is evidence capable of establishing a duty.875 That decision is to be
made by applying the ‘ordinary principles of negligence’ to determine whether
the defendant owed a duty to the victim, albeit not all civil law principles will be
relevant. (The duty is not displaced by relying on the victims’ being jointly
engaged with D in a criminal enterprise: ex turpi causa876; nor by a plea of
volenti non fit injuria.877) Particular care will be needed in several situations
including:
(1) Where the allegation is a breach of duty by omission, it must be established
that D owes a duty to act.
(2) In the context of drug supply followed by neglect, a duty could arise if, inter
alia, D had created or contributed to the creation of a state of affairs (V’s
danger) which D knew, or ought reasonably to have known, had become life-
threatening. The duty on D is to act by taking reasonable steps to save the
other’s life by calling medical assistance.878
Breach
6. Expert evidence will be critical in establishing whether there has been a breach
of the duty. The duty may be set out in statute, arise under contract, by custom
etc. The standards to be expected of the person in complying with that duty
could derive from numerous sources.
Risk of death
7. As the Court of Appeal made clear in Rudling,879 at the time of the breach of
duty, there must be a risk of death, not merely serious harm or illness; the risk
must be serious; and the risk must be obvious. “A mere possibility that an
assessment might reveal something life-threatening is not the same as an
obvious risk of death”. An obvious risk is a present risk which is clear and
unambiguous, not one which might become apparent on further investigation.880
In assessing either the foreseeability of the risk of death or the grossness of the
conduct in question, the jury are not entitled to take into account information
which would, could or should have been available to the defendant had he not
breached the duty in question.881
Grossness
8. The question is whether the risk would have been obvious to the reasonably
prudent and skilful doctor, anaesthetist, electrician, etc. The courts have recently
emphasised that to repeat the word ‘gross’ is insufficient. The jury need to
understand that they must be sure of a failure that was not just serious or very
serious but ‘truly exceptionally bad’.882 The offence does not require mens rea.
There is no need to prove the defendant’s state of mind and in particular their
foresight of the risk of harm or death. However, the courts have held that there
may be cases in which the defendant’s state of mind is ‘relevant to the jury’s
consideration when assessing the grossness and criminality of his conduct’.883
This approach has been endorsed on a number of occasions, and it has been
recognised that it may operate in the accused’s favour.884
Causation
9. The ordinary principles of causation apply: see Chapter 7.1. D’s breach of duty
must have caused or made a significant contribution to the death.885
Directions
10. Duty: Identify the duty alleged by the Crown and direct the jury on which facts
they need to be sure for that duty to exist in law. Direct that if they are sure of
such facts, then there is, as a matter of law, a relevant duty on D.
11. Breach: Identify the alleged breach of that duty whether by act or omission. In
some cases the Crown may rely on the cumulative effect of breaches; in others
a single breach may be the exclusive focus.886 The jury will need explicit
(Admin).
885 Zaman [2017] EWCA Crim 1783.
886 See eg Sellu [2016] EWCA Crim 1716.
Cr App R 21 was cited with approval. See also Bawa-Garba [2016] EWCA Crim 1841, [36].
894 Zaman [2017] EWCA Crim 1783.
895 [2016] EWCA Crim 1841, [33].
Legal Summary
1. In D898 the Court of Appeal accepted that a judge may give appropriate
directions to counter the risk of stereotypes and assumptions about sexual
behaviour and reactions to non-consensual sexual conduct. In short, these were
that (i) experience shows that people react differently to the trauma of a serious
sexual assault, that there is no one classic response; (ii) some may complain
immediately whilst others feel shame and shock and not complain for some time;
and (iii) a late complaint does not necessarily mean it is a false complaint. The
court also acknowledged that a judge is entitled to refer to the particular feelings
of shame and embarrassment which may arise when the allegation is of sexual
assault by a partner.
2. This approach has been endorsed on numerous occasions by the Court of
Appeal, as explained in Miller 899
“In recent years, the courts have increasingly been prepared to acknowledge
the need for a direction that deals with what might be described as
stereotypical assumptions about issues such as delay in reporting allegations
of sexual crime and distress (see, for example, R v. MM [2007] EWCA Crim
1558, R v. D [2008] EWCA Crim 2557 and R v. Breeze [2009] EWCA Crim
255).”
3. In Miller, the Court of Appeal endorsed the following passage from the 2010
Benchbook “Directing the Jury”
“The experience of judges who try sexual offences is that an image of
stereotypical behaviour and demeanour by a victim or the perpetrator of a
non-consensual offence such as rape held by some members of the public
can be misleading and capable of leading to injustice. That experience has
been gained by judges, expert in the field, presiding over many such trials
during which guilt has been established but in which the behaviour and
demeanour of complainants and defendants, both during the incident giving
rise to the charge and in evidence, has been widely variable. Judges have, as
a result of their experience, in recent years adopted the course of cautioning
juries against applying stereotypical images of how an alleged victim or an
alleged perpetrator of a sexual offence ought to have behaved at the time, or
ought to appear while giving evidence, and to judge the evidence on its
intrinsic merits. This is not to invite juries to suspend their own judgement but
to approach the evidence without prejudice.”
898 [2008] EWCA Crim 2557 .see also Breeze [2009] EWCA Crim 255.
899 [2010] EWCA Crim 1578.
4. The use of such a direction, properly tailored to the case does not offend the
common-law principle that judicial notice can be taken only of facts of particular
notoriety or common knowledge.900 Parties are not permitted to adduce generic
expert evidence of the range of known reactions to non-consensual sexual
offences.
5. This direction may be given at the outset of the case [see Chapter 1-5] and/or as
part of the summing up. Whenever it is given it is advisable to discuss the
proposed direction with counsel.901 Considerable care is needed to craft the
direction to reflect the facts of the case902 and to retain a balanced approach.903
6. In GJB904 the CA approved the direction of the trial judge in Miller on the delay
issue. “We entirely accept that in a suitable case, and this was one, the judge is
entitled to and should comment on the reluctance or difficulty of the victim of
sexual abuse to speak about it for long afterwards. In this connection, we refer to
the judgments of this Court in D (JA)905 and in Miller.906 However, it is important
that the comment should not assume the guilt of the defendant, and that the
defendant’s case should be made clear. The direction in Miller was described as
a model in this respect. The summing up in that case included the following
passage:
“You are entitled to consider why these matters did not come to light sooner.
The defence say that it is because they are not true. They say that the
allegations are entirely fabricated, untrue and they say that had the
allegations been true you would have expected a complaint to be made
earlier and certainly once either defendant … was out of the way … of the
complainant. The defence say that she could have complained to her mother
or her grandmother before she left the country or to her mother on the plane,
or to the headmaster of the school … or to the social worker who came on
one occasion to speak to her (although again bear in mind there is no
evidence that the complainant was ever given any contact details or
instructions as to how to make such a complaint), or that she could have
complained sooner to a family or extended family member once she was safe
in Jamaica.
On the other hand the prosecution say that it is not as simple as that. When
children are abused they are often confused about what is happening to them
and why it is happening. They are children and if a family member is abusing
them in his own home or their own home, to whom can they complain? A
sexual assault, if it occurs, will usually occur secretly. A child may have some
idea that what is going on is wrong but very often children feel that they are to
blame in some way, notwithstanding circumstances which an outsider would
not consider for one moment them to be at blame or at fault. A child can be
inhibited for a variety of reasons from speaking out. They may be fearful that
900 Miller.
901 Miller.
902 Smith [2012] EWCA Crim 404.
903 CE [2012] EWCA Crim 1324.
904 GJB [2011] EWCA Crim 867; F [2011] EWCA Crim 1844.
905 [2008] EWCA Crim 2557.
906 [2010] EWCA Crim 1578.
they may not be believed, a child's word against a mature adult, or they may
be scared of the consequences or fearful of the effect upon relationships
which they have come to know, or their only relationship.”
Directions
7. There is a possibility that juries will make and/or be invited by advocates to
make unwarranted assumptions. It is important that the judge should alert the
jury to guard against this. This must be done in a fair and balanced way and put
in the context of the evidence and the arguments raised by both the prosecution
and the defence. The judge must not give any impression of supporting a
particular conclusion but should warn the jury against approaching the evidence
with any preconceived assumptions.
8. Depending on the evidence and arguments advanced in the case, guidance may
be necessary on one or more of the following supposed indicators relating to the
evidence of the complainant:
(1) Of untruthfulness:
(a) Delay in making a complaint.
(b) Complaint made for the first time when giving evidence.
(c) Inconsistent accounts given by the complainant.
(d) Lack of emotion/distress when giving evidence.
(2) Of truthfulness:
(a) A consistent account given by the complainant.
(b) Emotion/distress when giving evidence.
(3) Of consent and/or belief in consent:
(a) Clothing worn by the complainant said to be revealing or provocative.
(b) Intoxication (drink and/or drugs) on the part of the complainant whilst in
the company of others.
(c) Previous knowledge of, or friendship/sexual relationship between, the
complainant and the defendant. In this regard it may be necessary to
alert the jury to the distinction between submission and consent.
(d) Some consensual sexual activity on the occasion of the alleged
offence.
(e) Lack of any use or threat of force, physical struggle and/or signs of
injury. Again it may be necessary to alert the jury to the distinction
between submission and consent.
(4) Background of defendant
(a) A defendant who is in an established sexual relationship;
(b) Sexual orientation if that has the potential to be an issue.
9. Such directions must be crafted with care and should always be discussed with
the advocates in advance. Thought should be given as to when may be the most
appropriate time to give such directions: at the outset of the trial and in the
course of summing up?
10. It is of particular importance in cases of this nature to listen to the closing
speeches of the advocates with care and if necessary review the directions to be
given.
11. The examples given below will need to be adjusted so as to fit in with the
circumstances of the particular case in which they are to be used. It will also be
necessary to elide that which is said about assumptions with the directions
necessary as to consent and reasonable belief in consent as dealt with in 20-4
below. Reference should be had to that section when settling upon the totality of
that which needs to be said to the jury on this topic.
A late complaint does not render the allegation untrue. Similarly, an allegation is
not necessarily true just because complaint was made about it immediately. I am
explaining these points so that you will think about them. I am not expressing any
opinion. It is for you to decide whether or not V’s evidence is true.
Example 3: Complaint made for the first time when giving evidence
Until V gave evidence V had not mentioned {specify} to anyone before. The
defence say this shows V has invented this allegation. The defence say that V
was “making it up as s/he went along” [if applicable: and that all of V’s story is
untrue]. The prosecution say that {e.g. it is not surprising that when V was having
to think about things which happened a long time ago and answer detailed
questions about them this triggered V’s memory so that V was then able to
remember this for the first time}.
You will want to consider these arguments. When you do, you should bear in mind
that just because someone does not mention something from the start and only
mentions it at a later stage does not mean that he/she cannot be telling the truth.
In the same way, just because someone consistently makes the same allegation
does not mean it must be true.
If someone has a shocking or upsetting experience of the kind the prosecution
alleges took place their memory may be affected in different ways. This may have
a bearing on that person’s ability to take in, register and recall the experience.
Also, some people may go over and over an event afterwards in their minds and
their memory may be clearer. But other people may try to avoid thinking about an
event at all, and they may have difficulty recalling the event accurately or even at
all. [If it is in dispute that there was anything shocking or upsetting consider
adding: Your assessment of this factor will be influenced by your conclusions as to
the facts of this case.]
I am explaining these points so you will think about them. I am not expressing
any opinion. It is for you to decide whether or not V’s evidence is true. When you
consider this you should look at all of the circumstances of V’s original complaint.
These include the account V gave to the police officer in the interview, the way V
gave evidence and what V said in response to the suggestion that V had invented
this [if applicable: and all of V’s account.]
If you are sure V’s account is true, then you may rely on it in reaching your verdict.
But you cannot rely on it if you are not sure it is true, or if you are sure it is untrue.
Just because V has not given consistent accounts does not necessarily mean that
V’s evidence is untrue. Experience has shown that inconsistencies in accounts can
happen whether a person is telling the truth or not. This is because if someone has
an experience of the kind alleged in this case, their memory may be affected in
different ways. It may affect that person’s ability to take in, register and recall the
experience. Also, some people may go over and over an event afterwards in their
minds and their memory may be clearer or can develop over time. But other
people may try to avoid thinking about an event at all, and they may have difficulty
in recalling the event accurately. Your assessment of this factor will be influenced
by your conclusions as to the facts of this case.
I am explaining these points so that you think about them. I am not expressing any
opinion. It is for you to decide whether or not V’s evidence is true. To answer this
question, you must look at all of the evidence. This includes any inconsistencies.
And you must decide what effect these have on V’s truthfulness. If you are sure
that V’s account is true, then you can rely on it in reaching your verdict. But you
cannot rely upon it in reaching your verdict if you are not sure it is true, or if you
are sure that it is untrue.
Example 10: Previous sexual activity between the complainant and the
defendant
It is agreed that V and D knew one another and that they have had sexual
intercourse on a number of previous occasions. It is important to recognise that
just because V had consensual sexual intercourse with D on other occasions, this
does not mean that V must have consented to sexual intercourse with D on this
occasion. It also does not mean that this would have given D grounds for
reasonably believing that V consented to sexual intercourse on this occasion. A
person who has freely chosen to have sexual activity with another person in the
past does not, as a result, give general consent to sexual intercourse with that
person on any other occasion. Each occasion is specific. A person may want to
have sex with someone on one occasion, but at another time that person may not
want to have sex with that same person and will not consent to it.
If and when you consider whether D may reasonably have believed that V
consented to sex, you must not assume that because V had had sexual
intercourse with D on a number of previous occasions this, in itself, gave D
grounds for reasonably believing that V was consenting on this occasion. You
must decide this issue by looking at all of the evidence.
Example 11: Some consensual sexual activity on the occasion of the alleged
offence
It is agreed that on the night in question V took D back to V’s home. There V gave
D a cup of coffee and for a while they kissed one another, and this was something
V consented to. According to V, he/she then said that he/she had to get up early
the next morning and asked D to leave but D refused to go and then forcibly had
sexual intercourse with V against his/her will. According to D, the kissing led to
further sexual touching and then to sexual intercourse to which V fully consented.
It is for the prosecution to prove that V did not consent to sexual intercourse with
D, and you must decide this issue by looking at all the evidence. When you do so it
is important that you recognise that just because V let D into his/her home and
willingly engaged in kissing D, this does not mean that V must have wanted to go
on to have sexual intercourse and must have consented to it. A person who
engages in sexual activity is entitled to choose how far that activity goes. And that
person is also entitled to say “No” if the other person tries to go further. The fact
that V willingly engaged in kissing D does not mean that V must have wanted to
have sexual intercourse with D.
If you are sure that V did not consent to sexual intercourse with D, the prosecution
must also prove that D did not reasonably believe V was consenting to sexual
intercourse. This too is an issue which you must decide by looking at all of the
evidence. But you must not assume that because V had been kissing D willingly
before sexual intercourse took place this in itself gave D reasonable grounds for
believing that V consented to having sexual intercourse with D.
Example 12: Fear; although no use or threat of force, physical struggle
and/or injury
It is not suggested that D threatened V with force or that D used any force on V,
either before or at the time that D had sexual intercourse with V. V accepts that
he/she did not put up a struggle against D, and it is agreed that V did not suffer
any injury.
The defence say this is because V fully consented to what took place. But V told
you that when D started to undo D’s trousers and then undid V’s jeans he/she was
so frightened that they could not move. V said he/she was “petrified with fear”. By
looking at all of the evidence you will have to decide which account you believe.
But it is important for you to recognise that just because D did not use or
threatened to use any force on V, and V did nothing to prevent D from having
sexual intercourse with him/her and was not injured, this does not mean that V
consented to what took place or that what V said happened cannot be true.
Experience has shown that different people may respond to unwanted sexual
activity in different ways. Some may protest and physically resist throughout the
event. But others may be unable to protest or physically resist, through fear or
personality.
907 See 20-4 4. Below: In Zafar, Pill J directed that: ‘C may not particularly want sexual
intercourse on a particular occasion, but because it is her husband or her partner who is
asking for it, she will consent to sexual intercourse. The fact that such consent is given
reluctantly or out of a sense of duty to her partner i[t i]s still consent.’
Legal Summary
1. It is important in historic cases that the judge gives full and detailed reasons for
decisions and provides clear guidance for the jury on the difficulties faced by the
defence as a result of the lapse of time.
2. As the Court made clear in PS.908 The essential matters that a direction should
address were identified as being:
“i) delay can place a defendant at a material disadvantage in challenging
allegations arising out of events that occurred many years before, and this
was particularly so in this case when the defence was essentially a simple
denial (the defendant was saying that he had not acted as alleged);
ii) the longer the delay, the more difficult meeting the allegation often
becomes because of fading memories and evidence is no longer available –
indeed, it may be unclear what has been lost;
iii) when considering the central question whether the prosecution has proved
the defendant's guilt, it is necessary particularly to bear in mind the prejudice
that delay can occasion; and
iv) a summary of the main elements of prejudice that were identified during
the trial.” [35] per Fulford LJ
3. Having reviewed a number of authorities909 Fulford LJ remarked that
“no two cases are the same and whether a direction on delay is to be given
and the way in which it is formulated will depend on the facts of the case. We
stress, therefore, that the need for a direction, its formulation and the matters
to be included will depend on the circumstances of, and the issues arising in,
the trial.”
4. The court suggested that the problems of delay are:
“often (although not necessarily always) best addressed by a short, self-
contained direction that focuses on the defendant rather than amalgamating it
with other aspects of the relevance of delay, for instance as regards the victim
or victims. The risk of combining and interweaving the potential
consequences of delay for the accused with the other delay-related
considerations ("putting the other side of the coin") is that the direction, as the
principal means of protecting the defendant, is diluted and its force is
diminished.”[37]
5. As regards the absence of documents and witnesses, see D910 where D was
convicted of sexual offences on his nieces and daughter between 39 and 63
years earlier. The Court was clear – the length of delay is nothing more than a
statement of fact. What matters is not how long it is since the alleged offence but
whether the delay has an effect on the fairness of the trial and the safety of any
resultant convictions.
Directions
6. In some cases of alleged historical sexual abuse, complaints may have been
made before, sometimes a long time before, the complaint which has given rise
to the investigation and prosecution with which they jury are concerned. In some
cases such earlier complaints may have been made to a friend or a family
member, in others they may have been made to the police or some other person
in authority. There may be one or more records of such complaints.
7. In these cases, evidence of such complaints may be adduced as hearsay, to
establish consistency or inconsistency, to rebut a suggestion of recent
fabrication or, possibly, to refresh memory. If such evidence is adduced in this
way, appropriate directions must be given: see Chapter 15-12 above.
8. If the jury are being invited to make the assumption that if the allegation were
true, complaint would have been made at the time, the jury should be directed
accordingly: see Chapter 20-1 above.
9. Judges should be alert to the date of any alleged offence and to D’s age at that
time. If the alleged offence was before 30th September 1998 and D was aged
between 10 and 13 inclusive at that time doli incapax must be considered: see
Chapter 7-1 above.
10. Such directions must be crafted with care and discussed with the advocates. It
may also be necessary to discuss these directions after speeches, depending on
the arguments advanced by the advocates.
Examples
See the Examples in Chapter 14-12 and Example 1 in Chapter 20-1.
Legal Summary
1. Although an offence of meeting a child following sexual grooming is created by
section 15 Sexual Offences Act 2003, other behaviour, often innocent itself but
intended to gain favour with and/or the trust of a child with a view to sexual
activity, is properly described as “grooming”. See also now section 15A Sexual
Offences Act 2003911.
Directions
2. Where grooming is alleged to have occurred, whether or not this gives rise to a
separate count on the indictment, the concept of grooming and the potential
difficulties of a witness’ realisation and/or recollection of innocent attention
becoming sexual should be explained.
NOTE: For a further comprehensive direction on the difference between consent and
compliance or submission, approved by the CACD, see Ali and Ashraf.912
Legal Summary
1. When the charges involved are those under ss. 1 – 4 of the Sexual Offences Act
2003, the Crown must prove that V was not consenting to the act alleged.
General consent cases
2. Otherwise than in the exceptional cases under ss. 75 and 76 [see below] the jury
is to determine whether V was consenting, applying the definition of consent
provided in s. 74:
‘For the purposes of this part, a person consents if he or she agrees by choice
and has the freedom and capacity to make that choice'.
3. An absence of consent can therefore arise by reason of mere lack of agreement
as well as by force, threat of force, fear of force, a lack of capacity owing to
unconsciousness,913 sleep,914 drink or drugs: for capacity and voluntary
intoxication see Chapter 20-5.
4. The jury may need to be alerted to the distinction between consent and mere
submission: see Doyle915 in which the Court of Appeal described the distinction
between (i) reluctant but free exercise of choice, especially in a long-term loving
relationship, and (ii) unwilling submission due to fear of worse consequences. In
Zafar, Pill J directed that: ‘C may not particularly want sexual intercourse on a
particular occasion, but because it is her husband or her partner who is asking
for it, she will consent to sexual intercourse. The fact that such consent is given
reluctantly or out of a sense of duty to her partner i[t i]s still consent.’
5. There have been a number of recent cases in which judges have had to direct
juries in cases where apparent consent, particularly of young victims or those in
ongoing relationships, arises out of prior abuse. 916
6. In some cases, particularly where there is evidence of exploitation of a young
and immature person who may not understand the full significance of what
he/she is doing, that is a factor the jury can take into account in deciding
whether or not there was genuine consent. 917
7. There is no requirement that V must communicate his/her lack of consent to
D.918
8. Where the suggestion is that V lacks mental capacity to consent the jury should
be directed that a person lacks capacity if s/he lacks the capacity to choose,
Directions
14. The prosecution must prove that V did not consent to the sexual activity alleged.
15. The prosecution must also prove that D did not reasonably believe that V
consented.
16. The absence of consent may be proved by evidence of one or more of the
following:
(1) submission
(2) fear, without threat or use of force
Example 1: Consent
The prosecution must prove, so that you are sure of it, that when D {specify act}, V
did not consent to it. A person consents to something if he/she agrees to it and is
capable of making a choice and is free to do so.
Question 2
Are you sure that D did not genuinely believe that V consented?
• If your answer to Question 2 is “Yes”, which means you are sure that D did not
genuinely believe that V consented, then your verdict will be “Guilty”. If this
happens then you have reached your verdict and you do not consider Question
3
• If your answer to Question 2 is “No”, which means you decide that D did
genuinely believe or may genuinely have believed that V consented, you must
go on to answer Question 3 before you can reach a verdict.
Question 3
Are you sure that D’s belief in V’s consent was unreasonable?
• If your answer to Question 3 is “Yes”, which means you are sure that D’s belief
in V’s consent was unreasonable, your verdict will be “Guilty”.
• If your answer to Question 2 is “No”, which means you decide that D’s belief in
V’s consent was or may have been reasonable, then your verdict will be “Not
Guilty”.
Legal Summary
1. When the charges involved are those under ss. 1 - 4 of the Sexual Offences Act
2003, V’s voluntary intoxication may be relevant to (a) V’s ability to consent or
(b) whether V consented to sexual activity. D’s voluntary intoxication may be
relevant to D’s belief in consent, but is not relevant to the reasonableness of
such belief: see Chapter 20-4.
2. If in proceedings for such an offence it is alleged that D did the relevant act, at a
time when V was unconscious and D knew that, under s. 75 of the Act V is to be
taken not to have consented to the relevant act unless sufficient evidence is
adduced to raise an issue as to whether V consented, and D is to be taken not
to have reasonably believed that the complainant consented unless sufficient
evidence is adduced to raise an issue as to whether D reasonably believed it.925
3. Otherwise than in such cases, the jury is to determine whether V was
consenting, applying the definition of consent provided in s. 74:
‘For the purposes of this part, a person consents if he or she agrees by choice
and has the freedom and capacity to make that choice'.
V’s voluntary intoxication is a factor which may bear upon consent and the
issues of capacity and freedom to agree. 926
4. Applying section 74, if V has voluntarily consumed alcohol and/or drugs but
remains capable of choosing whether or not to have sexual activity and agrees
to do so, V has consented to it. Consumption of alcohol or drugs may cause
someone to become disinhibited and behave differently, but consent given in
such a state is still a valid consent if a person has the capacity to agree by
choice. Where V through intoxication no longer has the capacity to agree, there
will be no consent. V will not have capacity if V’s understanding and knowledge
are so limited that V was not in a position to decide whether or not to agree to
the act.
5. The Court of Appeal has addressed the question of how a judge should direct
the jury when V was intoxicated and may have lacked capacity. The leading
case is that of Bree 927 where Lord Judge stated:
“We should perhaps underline that, as a matter of practical reality, capacity to
consent may evaporate well before a complainant becomes unconscious.
Whether this is so or not, however, is fact specific, or more accurately,
depends on the actual state of mind of the individuals involved on the
particular occasion.”928
Directions
12. Depending on the evidence, the prosecution may put its case in the alternative:
(a) that V lacked the capacity to give consent and (b) that V did not consent, in
which event the jury should be given directions about each. The jury should not
be directed about lack of capacity if this has not been a live issue in the case.
13. If the jury are sure that V was unconscious, V could not have consented
because V would not have had the freedom or capacity to do so.
14. If the jury are sure that, although V was not unconscious, V was so intoxicated
by reason of drink or drugs that V was unable to make a free choice, V was not
consenting.
15. If the jury consider that V had, or may have had, the capacity to make a choice
they must go on to consider whether V did in fact consent bearing in mind:
(1) that alcohol (and some drugs) can make a person less inhibited than he/she
might be when sober;
(2) consent given when a person is under the influence of drink and/or drugs is
still consent even if it would not have been given when sober.
16. If the jury are sure that V did not consent, when considering whether D
reasonably believed that V was consenting:
(1) whether or not D held that belief is to be decided having regard to D’s state,
which includes whether D was sober or drunk;
(2) The reasonableness of D’s belief is to be decided on the basis of whether it
would have been reasonable had D been sober.
such a choice, then you will have to decide whether the amount V drank affected
V’s decision about whether or not to have sexual intercourse with D.
If you decide V was so drunk that V was in fact unconscious, then V would not
have been able to make a free choice and V could not have consented. Also, if
you find that V was not unconscious but was so drunk that V was not capable of
making any choice, then in this situation V also could not have consented.
On the other hand V will have consented if you decide that, despite what V had to
drink, V was, or may have been, able to make a choice and V chose, or may have
chosen, to have sexual intercourse with D. In law, consent given when disinhibited
by drink, even if it would not have been given if sober, is nevertheless consent.
Once you have considered these issues, if you find that V consented, or may have
consented, you will find D not guilty.
If you are sure V did not consent then you will also have to consider D’s state of
mind:
If you are sure D did not believe that V consented then you will find D guilty.
But if you decide that D believed, or may have believed, V consented you must go
on to decide whether that belief was reasonable.
To decide this question you should look at all of the circumstances, including
whether D took any steps to find out whether or not V was consenting. You must
take no account of the fact that D was drunk. You must decide this question by
considering what D would have believed if D had been sober.
If you are sure that D should have realised V was incapable of making any choice
about whether or not to have sexual intercourse because of the state V was in, you
will find D guilty. If you are sure that D, if sober, should have realised V was not
agreeing to sexual intercourse by choice, then D’s belief will not have been
reasonable, and you will find D guilty. On the other hand if you decide D’s belief
that V was consenting was, or may have been, reasonable, you will find D not
guilty.
Example
[After the defendant has been re-arraigned and pleaded guilty in their presence.]
“You have heard the defendant change his/her plea to guilty in your presence to
the indictment. That means D has admitted the charge. However you may
remember that when this trial began, and after you had taken your oaths and
affirmation, the clerk of the court read out the charges to you and told you that it
was your charge to decide whether D was guilty or not. The procedure is that
because you are in charge of the defendant, you must return the verdict. Therefore
I am inviting you upon hearing the defendant’s confession to return a verdict of
guilty. The clerk of the court will ask you in a few seconds to confirm that that is
your verdict. I will select one of your number to return this verdict and traditionally
that is the juror sitting closest to me.”
[The clerk then reads out the particular form of words.]
Example
[Where there is insufficient evidence to prove a constituent element.]
Although you are in charge of deciding the facts of this case, there are
circumstances where a judge may decide that there is insufficient evidence in
support of a count on the indictment for a jury to properly convict. I have decided
that there is insufficient evidence on Count 1 of the indictment. This is because the
prosecution have to prove amongst other things the element of [explain briefly a
constituent element of the offence]. You may remember that the witness gave
evidence and did not say that [explain the evidence missing]. In those
circumstances the prosecution cannot prove the offence. Therefore, I have made
the decision that this count cannot proceed further. This is no reflection on the
credibility of the witness. That is a matter for you to decide. The procedure is for
you to enter a not guilty verdict upon my direction. That is because you are in
charge of returning the verdict. Therefore, I will ask the clerk of the court to confirm
with the juror I will choose to perform the role of spokesperson for this purpose,
who is traditionally the juror sitting closest to me, that upon my direction, you find
the defendant not guilty on Count 1, and that that is the verdict of you all.
Example
It is important that you try to reach a verdict/verdicts which are unanimous: that is
to say a verdict/s on which all of you agree.
Example
I shall not ask you to continue your deliberations any further today: we will now
adjourn until tomorrow morning at {time}.
In the meantime not only is it essential that you do not speak to anyone outside
your own number about the case, but you must also not even talk about it to one
another until you have come back into the court room tomorrow morning when,
after the ushers have been re-sworn, I shall ask you to go to your jury room and
continue with your deliberations.
The reason for this is that if you were to talk to one another about the case now, or
in the morning before you have returned to your jury room, you would not be
deliberating together as a jury but simply chatting on the stairs or in the jury waiting
area in ones and twos; and not all members of the jury would be involved.
I must also remind you, though I am sure that you need no reminder, that the
evidence is now closed and that you must decide the case only on the evidence
and the arguments that you have seen and heard in court, that you must not do
any work on the case at all between now and when you continue your
deliberations together in the morning. This means that there must be no research,
for example on the internet, no private study or making notes and no
communication of any kind. This is because you work together on this case as a
team when you are at court and not as individuals when you are away from it.
Procedure
1. In most cases the jury will and should return their verdicts on all counts in
respect of all defendants at the same time.
2. When a jury have indicated that they have reached some, but not all, verdicts it
may, depending on the particular case, be preferable not to take any verdict until
all verdicts have been reached. This discretion is now reflected in the Crim PD,
26Q.7. It states that the circumstances of the case may dictate that it is more
desirable to give the majority direction before the recording of any unanimous
verdicts. If that is the situation, instead of being asked about each count in turn,
they should be asked “Have you reached verdicts upon which you are all agreed
in respect of all defendants and/or all counts?”
3. If verdicts are taken on some, but not all, counts consideration should be given
to the need for orders under s.4(2) Contempt of Court Act 1981 to postpone the
reporting of the verdicts initially returned, until the jury have completed their
deliberations and returned all verdicts.
4. If there are counts upon which a jury cannot ultimately agree, publicity of the
verdicts which they have returned may prejudice a further trial and a further
postponement of reporting of these verdicts must be considered.
Example
In a moment I shall ask you to go back to your room to continue to consider your
verdict. It is important that, if you can, you continue to reach a verdict on which all
of you agree.
But if you find that you really cannot all agree on your verdict, I may now accept a
verdict on which fewer than 12 of you agree. However I can only accept such a
verdict, whether of Guilty or Not Guilty, if at least 10 of you are agreed: that is to
say there must be a majority of either 10 to 2 or 11 to 1.
Please will you now return to your room and continue with your deliberations.
935 Arthur [2013] EWCA Crim 1852; Malcolm [2014] EWCA Crim 2508.
936 [2015] 2 Cr.App.R. 17.
937 [1988] QB 690, 87 Cr.App.R. 1 CA.
22. APPENDIX I
EXAMPLE OF OFFENCE DIRECTIONS, ROUTE TO VERDICT AND
FLOW CHART
Scenario
Prosecution case:
On Friday 10th July an argument developed between D and V in the White Horse
public house in the course of which D picked up a pint glass from the bar and struck
V on the side of the head with the glass and with such force that it broke causing a
serious wound to V’s face.
Defence case:
D agrees there was an argument. D says it was started by V who was threatening to
strike D. D denies picking up a glass and says he/she had been drinking and had it
in his/her hand throughout. D says V raised his/her arm as though V was going to
punch D. D lifted his/her arm in self-defence not realising that he/she was holding a
glass. D says V’s wound was caused as the glass broke on impact.
Charges
Count 1: S18 wounding with intent
Count 2: S20 unlawful wounding.
Directions
Written Directions may take a number of forms and it may be appropriate to provide
more than one e.g. a narrative direction and route to verdict.
Narrative direction
1. It is agreed that on Friday 10th July D and V were drinking in the White Horse
and an argument broke out between them. In the course of the argument V
sustained a serious wound to his/her face.
2. It is agreed that the wound was caused as a pint glass held by D broke against
the side of V’s face.
3. D faces two alternative counts alleging:
Count 1
Wounding with intent, contrary to section 18 Offences against the Person
Act 1861.
Count 2 (the alternative and less serious count)
Unlawful wounding, contrary to section 20 Offences against the Person Act
1861.
4. In order to prove guilt on Count 1 the prosecution must make you sure that:
(a) D struck a deliberate blow to V’s face.
(b) The blow caused the V’s wound.
(c) D was acting unlawfully i.e. D was not acting in lawful self-defence.
(d) D intended to cause V a really serious injury.
5. In order to prove guilt on Count 2 (the alternative) the prosecution must make
you sure that:
(a) D struck a deliberate blow to V’s face.
(b) The blow caused V’s wound.
(c) D was acting unlawfully i.e. D was not acting in lawful self-defence.
(d) D realised he/she might cause V some injury.
6. Explaining the offences:
(a) A Deliberate Blow
The prosecution must make you sure that the wound was caused by a
deliberate blow. The defence say there was no deliberate blow; they say D
raised his/her arm to fend off a blow from V.
If you are not sure there was a deliberate blow you would find D not guilty of
both Count 1 and Count 2.
If you are sure there was a deliberate blow you will have to go on to
consider self-defence and the issue of intention.
(b) Self Defence
(i) If a person is attacked or believes he/she is about to be attacked
he/she is entitled to use reasonable force to defend him/herself and if
he/she does so he/she is acting in lawful self-defence.
(ii) Because it is for the prosecution to prove the case against D it is for the
prosecution to prove that D was not acting in lawful self-defence.
(iii) If you are sure that D was the aggressor and did not believe he/she
was about to be attacked by V then self-defence does not arise; D was
acting unlawfully.
(iv) If you are sure the blow struck by D was deliberate but that this was or
may have been because D believed that V was about to strike him/her
and that D needed to defend him/herself then you must go on to
consider whether D’s response was reasonable.
(v) When you are considering this, if you think that what D did was no
more than D thought was necessary in the light of the circumstances as
D believed them to be, that would provide strong support for the view
that what D did was reasonable.
(vi) Your decision whether D knew he/she had a glass in his/her hand when
D struck V may help you to decide whether D was or may have been
acting in lawful self-defence.
(vii) If you decide that D was or may have been acting in lawful self-defence
you will find D not guilty of both Count 1 and Count 2.
(viii) If you are sure that D was not acting in lawful self-defence you must go
on to consider D’s intent at the time that D struck V with the glass.
Route to Verdict
It is agreed that V sustained a wound and that this was caused when a pint glass
held by D broke against the side of V’s face.
Questions for Verdicts
Question 1
Are you sure that D struck V deliberately?
• If your answer is “No” your verdict will be one of Not Guilty on Count 1 and Count
2.
• If your answer is “Yes”, go on to Question 2.
Question 2
Are you sure that when D struck V, D was not acting in lawful self-defence?
• If your answer is “No” your verdict will be one of Not Guilty on Count 1 and
Count 2
• If your answer is “Yes”, go on to Question 3.
Question 3
Are you sure that when D struck V, D intended to cause a really serious injury?
• If your answer is “No” your verdict will be Not Guilty on Count 1 and you must go
on to consider Question 4.
• If your answer is “Yes” your verdict will be Guilty on Count 1 and you will not
consider Count 2.
Question 4
Are you sure that when D struck V, D realised he/she might cause V some injury?
• If your answer is “No” your verdict will be one of Not Guilty on Count 2.
• If your answer is “Yes” your verdict will be one of Guilty to Count 2.
Flow Chart
23. APPENDIX II
SAMPLE JUROR QUESTIONNAIRE
The following questionnaire incorporates examples which have been produced from
a number of court centres. It is provided as an example only. The questionnaire
created for any particular case will need to be tailored to its location, subject matter
and length. It is a matter for the judge, with the assistance of the advocates, to craft
a questionnaire suitable for the case which is about to start.
JUROR QUESTIONNAIRE
You will be required to sit on this case up to the week ending Friday [insert
date]. You will be required between [insert time] and [insert time] each
weekday. Please take account of the time you will need to get to and from
court when deciding whether you will have difficulty in sitting on this trial.
1. Please read and consider each question carefully.
2. Please answer every question. If you need to check information with
family, friends, employers, etc., please do so before answering.
3. If the answer to any question is “Yes”, please give details in the box
provided.
4. Please hand your completed questionnaire to the usher.
5. WHEN ANSWERING PLEASE USE BLOCK CAPITALS.
JUROR NAME:
ANSWER
QUESTION
Please circle your
answer
1. Do you know or recognise [insert name] who is the
YES NO
defendant in this case? Do you know any members of his
family?
If you answered YES, please provide details.
4. Have you booked and paid for a holiday to be taken at any YES NO
time between now and the estimated end of the trial?
If you answered YES, please provide dates and details. Please be ready to
provide document(s) to support this. If you do not have documents with you, you will
be asked to provide them when you next come to court.
6. Are you caring for a young child or a sick or elderly relative YES NO
and cannot arrange this to be covered by others during the
time you are needed at court?
If you answered YES, please provide details:
11. Are you aware of any other factor that could prevent you YES NO
from serving as a juror on this case, or is there any other
information which you think the court would find helpful in
deciding whether you could serve as a juror on this case?
If you answered YES, please provide full details:
Notice Does NOT replace or change the Judge’s opening remarks to the jury
in any way
• The Notice does not replace the judge’s oral directions to the jury on their legal
responsibilities. It only reinforces not replaces existing directions. Judges should
continue to give the same homily as before.
939 http://www.justice.gov.uk/courts/procedure-rules/criminal/docs/october-2015/j001-eng.pdf
/ http://www.justice.gov.uk/courts/procedure-rules/criminal/docs/j001-cym.pdf
Notifying Parties:
While the parties to the case should be aware of the Notice from the new Practice
Direction, you may wish to notify the parties of the court’s use of the new Notice in either
(or both) of the following ways during the roll out in your court:
(1) The Judge shares a copy of the Notice with the parties (this can be done electronically)
before the jury panel is brought into court for empaneling, and explains that:
o The Notice is a summary of jurors’ legal responsibilities that has been approved by
the Criminal Procedure Rule Committee, and a new Practice Direction (26G: Juries:
Preliminary instructions to juries) requires this Notice to be distributed to all sworn
jurors.
(2) A copy of the Notice can be posted in the Robing Room with the same explanation.