OPINION
Before BOOCHEVER, C. J., and RABI-NOWITZ, CONNOR and BURKE, JJ.
RABINO WITZ, Justice.
Appellant Mike Smiloff was indicted for the crime of lewd 'and lascivious acts towards a child in violation of AS 11.15.134. Prior to trial Smiloff moved to dismiss the indictment on the grounds that AS 11.15.-134 is unconstitutionally void for vagueness, and that the grand jury selection procedures did not comport with either applicable statutory requirements or constitutional mandate. Smiloff also filed a pretrial motion in which he sought to prevent the prosecution’s exercise of any peremptory challenges to petit jurors. The three motions were subsequently denied.
After the jury had been selected and immediately prior to opening statements, Smiloff’s counsel requested the superior court to examine the accused’s competency to stand trial in light of the problems he had encountered in attempting to obtain assistance from Smiloff. The superior court, relying on the prior reports of the examining physician, concluded that there was “no evidence to suggest Mr. Smiloff is other than competent to stand trial.” After trial, the jury returned a verdict of guilty, and the superior court sentenced Smiloff to a term of imprisonment of 5 years. This appeal followed.
Before this court, appellant has asserted five separate specifications of error. We turn first to Smiloff’s contention that AS 11.15.134 is unconstitutionally vague and overbroad.
This specification of error is controlled by
Anderson v. State,
562 P.2d 351 (Alaska 1977). There, in the face of assertions of vagueness and overbreadth, we upheld the constitutionality of AS 11.-15.134(a), stating, in part:
However, the State argues that AS 11.-15.134(a) is meant to punish only lewd and lascivious physical contact with children. We agree. We construe the words ‘lewd or lascivious act . . upon or with the body of a child’ to require physical contact of the child’s body by the adult or by some instrumentality controlled by the adult.
Smiloff next contends that the superior court erred in denying his motion to dismiss the indictment because unlawful and unconstitutional procedures were utilized in selecting grand jurors. Smiloff’s assertions of illegality are bottomed on the contention that the Area Court Administrator from the Third Judicial District added an additional requirement for jury service, namely, that the prospective jurors have lived in the State of Alaska for at least one year. In appellant’s view, this one year residency requirement is violative of AS 09.20.050(b)
and the equal protection pro-
visions of both the Federal and Alaska Constitutions. In
Hampton v. State,
569 P.2d 138 (Alaska 1977), we were presented with a challenge that went to the array of both the grand and petit jurors. Parallel arguments were advanced in that case to these now urged by Smiloff. In rejecting Hampton’s attack upon the jury array, we said, in part:
There is a one-year residency requirement for jury service in the federal courts. The legislative history of the provision illustrates that the purpose of the provision is to guarantee ‘some substantial nexus between a juror and a community whose sense of justice the jury as a whole is expected to reflect.’ The constitutionality of the provision has been uniformly upheld.
Applying the ‘cognizable group’ standards to less-than-one-year residents, we conclude that Hampton’s sixth amendment right to an impartial jury was not impaired. The excluded group is not a static one with definite parameters. There is no common thread, ‘a basic similarity in attitudes or ideas or experience,’ except the lack of familiarity with the community. While circumstances can be imagined in which bias against a defendant member of the excluded group might exist, that possibility is too remote to justify reversal in the absence of a more specific suggestion of prejudice.
(footnotes omitted)
Thus, we conclude that
Hampton
is disposi-tive of Smiloff’s constitutional attack on the grand jury selection procedures employed in the case at bar. As to the contention that the jury selection procedures were also violative of AS 09.20.050(b),
we hold that
Hampton,
as well as the provisions of AS 09.20.040 mandate that Smiloff’s assertions of statutory violation be rejected.
Smiloff also challenges the constitutionality of Criminal Rule 24(d)
insofar
as it purports to allow the prosecution peremptory challenges of jurors. Prior to the commencement of his trial, Smiloff sought a protective order arguing that the substantive right of peremptory challenges could not be conferred by rule. The superior court denied the motion; at the trial the state exercised one peremptory challenge.
Smiloff argues that in “American jurisprudence, the prosecutorial peremptory challenge is solely the creature of the legislature — absent any express grant, it is merely an inactive historical oddity.” He then points to the fact that the right to prosecutorial peremptories in Alaska stems not from the legislature but from this court in Criminal Rule 24(d). Thus, he argues Rule 24(d) is not merely a procedural rule but confers a substantive right as well. From the foregoing, Smiloff concludes that the rule was not promulgated within the constitutional powers of this court
and is thus unconstitutional.
The state takes the position that the prosecution at common law was allowed the functional equivalent of a peremptory challenge and, thus, that AS 01.10.010
operates to preserve that right. Furthermore, the state argues Rule 24(d) is procedural rather than substantive, since it merely implements the constitutional right to an impartial jury. Lastly, the state argues that the legislature has provided for supreme court authority to promulgate Criminal Rule 24(d) in AS 09.20.090.
The prosecution’s authority to peremptorily challenge jurors is rooted in the common law. The Ordinances for Inquests (1305), an act of Parliament during the reign of Edward I, limited prosecutorial challenges to those for cause. Prior to that act, the Crown could challenge peremptorily without limitation as to number.
However, by rule of the court, the Crown was not required to show cause until the entire panel had been called.
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OPINION
Before BOOCHEVER, C. J., and RABI-NOWITZ, CONNOR and BURKE, JJ.
RABINO WITZ, Justice.
Appellant Mike Smiloff was indicted for the crime of lewd 'and lascivious acts towards a child in violation of AS 11.15.134. Prior to trial Smiloff moved to dismiss the indictment on the grounds that AS 11.15.-134 is unconstitutionally void for vagueness, and that the grand jury selection procedures did not comport with either applicable statutory requirements or constitutional mandate. Smiloff also filed a pretrial motion in which he sought to prevent the prosecution’s exercise of any peremptory challenges to petit jurors. The three motions were subsequently denied.
After the jury had been selected and immediately prior to opening statements, Smiloff’s counsel requested the superior court to examine the accused’s competency to stand trial in light of the problems he had encountered in attempting to obtain assistance from Smiloff. The superior court, relying on the prior reports of the examining physician, concluded that there was “no evidence to suggest Mr. Smiloff is other than competent to stand trial.” After trial, the jury returned a verdict of guilty, and the superior court sentenced Smiloff to a term of imprisonment of 5 years. This appeal followed.
Before this court, appellant has asserted five separate specifications of error. We turn first to Smiloff’s contention that AS 11.15.134 is unconstitutionally vague and overbroad.
This specification of error is controlled by
Anderson v. State,
562 P.2d 351 (Alaska 1977). There, in the face of assertions of vagueness and overbreadth, we upheld the constitutionality of AS 11.-15.134(a), stating, in part:
However, the State argues that AS 11.-15.134(a) is meant to punish only lewd and lascivious physical contact with children. We agree. We construe the words ‘lewd or lascivious act . . upon or with the body of a child’ to require physical contact of the child’s body by the adult or by some instrumentality controlled by the adult.
Smiloff next contends that the superior court erred in denying his motion to dismiss the indictment because unlawful and unconstitutional procedures were utilized in selecting grand jurors. Smiloff’s assertions of illegality are bottomed on the contention that the Area Court Administrator from the Third Judicial District added an additional requirement for jury service, namely, that the prospective jurors have lived in the State of Alaska for at least one year. In appellant’s view, this one year residency requirement is violative of AS 09.20.050(b)
and the equal protection pro-
visions of both the Federal and Alaska Constitutions. In
Hampton v. State,
569 P.2d 138 (Alaska 1977), we were presented with a challenge that went to the array of both the grand and petit jurors. Parallel arguments were advanced in that case to these now urged by Smiloff. In rejecting Hampton’s attack upon the jury array, we said, in part:
There is a one-year residency requirement for jury service in the federal courts. The legislative history of the provision illustrates that the purpose of the provision is to guarantee ‘some substantial nexus between a juror and a community whose sense of justice the jury as a whole is expected to reflect.’ The constitutionality of the provision has been uniformly upheld.
Applying the ‘cognizable group’ standards to less-than-one-year residents, we conclude that Hampton’s sixth amendment right to an impartial jury was not impaired. The excluded group is not a static one with definite parameters. There is no common thread, ‘a basic similarity in attitudes or ideas or experience,’ except the lack of familiarity with the community. While circumstances can be imagined in which bias against a defendant member of the excluded group might exist, that possibility is too remote to justify reversal in the absence of a more specific suggestion of prejudice.
(footnotes omitted)
Thus, we conclude that
Hampton
is disposi-tive of Smiloff’s constitutional attack on the grand jury selection procedures employed in the case at bar. As to the contention that the jury selection procedures were also violative of AS 09.20.050(b),
we hold that
Hampton,
as well as the provisions of AS 09.20.040 mandate that Smiloff’s assertions of statutory violation be rejected.
Smiloff also challenges the constitutionality of Criminal Rule 24(d)
insofar
as it purports to allow the prosecution peremptory challenges of jurors. Prior to the commencement of his trial, Smiloff sought a protective order arguing that the substantive right of peremptory challenges could not be conferred by rule. The superior court denied the motion; at the trial the state exercised one peremptory challenge.
Smiloff argues that in “American jurisprudence, the prosecutorial peremptory challenge is solely the creature of the legislature — absent any express grant, it is merely an inactive historical oddity.” He then points to the fact that the right to prosecutorial peremptories in Alaska stems not from the legislature but from this court in Criminal Rule 24(d). Thus, he argues Rule 24(d) is not merely a procedural rule but confers a substantive right as well. From the foregoing, Smiloff concludes that the rule was not promulgated within the constitutional powers of this court
and is thus unconstitutional.
The state takes the position that the prosecution at common law was allowed the functional equivalent of a peremptory challenge and, thus, that AS 01.10.010
operates to preserve that right. Furthermore, the state argues Rule 24(d) is procedural rather than substantive, since it merely implements the constitutional right to an impartial jury. Lastly, the state argues that the legislature has provided for supreme court authority to promulgate Criminal Rule 24(d) in AS 09.20.090.
The prosecution’s authority to peremptorily challenge jurors is rooted in the common law. The Ordinances for Inquests (1305), an act of Parliament during the reign of Edward I, limited prosecutorial challenges to those for cause. Prior to that act, the Crown could challenge peremptorily without limitation as to number.
However, by rule of the court, the Crown was not required to show cause until the entire panel had been called. Thus, through the “stand aside” procedures employed, the Crown was limited in its challenges only when there was a deficiency of veniremen in the box.
In this country Congress enacted a statute in 1790 which established the right of defendants to 35 peremptories in trials for treason and 20 in trials for specified capital felonies.
However, the courts held that the government’s right to have jurors “stand aside” was inherited as part of the common law
and that the 1790 statute did not abrogate that right. The right to a specified number of peremptories was given to the government by Congress
in 1865. Although there is no constitutional requirement of the United States or the states to grant peremptory challenges to either the accused or the prosecution,
most jurisdictions provide for such challenges by either rule or statute.
Assuming,
arguendo,
that Smiloff is correct in his assertion that Criminal Rule 24(d) concerns substantive rights, we conclude that the rule is not unconstitutional. AS 09.20.090 provides, in part, that “the prospective jurors shall be examined, challenged, and sworn as provided by the rules of the supreme court.”
We construe AS 09.20.090 as a legislative declaration of the right to peremptory challenges, as well as authorization to this court to deal with the procedural aspects of the right through our rule-making powers.
We next examine the contention that the superior court erred in its denial of defense counsel’s request for a competency hearing. After the jury had been sworn, defense counsel raised the issue of Smiloff’s competency to stand trial.
The prosecution had recently made an offer, in the context of a plea bargain, to Smiloff which defense counsel had recommended accepting; Smiloff refused it. Counsel had had other problems in securing Smiloff’s assistance with the defense of the case.
A psychiatrist had previously examined Smi-loff and found him competent to stand trial.
The superior court chose not to conduct an evidentiary hearing, finding no ba
sis to support an assertion of incompetency.
Smiloff argues that the superior court’s refusal to conduct an evidentiary hearing to determine his competency to stand trial resulted in a denial of due process.. He asserts that he had the right to examine the experts as to the basis of their opinions; that the new factors presented by his trial counsel mandated a fresh determination; and that he had met the burden prerequisite to a hearing. The state, on the other hand, argues that Smiloff’s competency to stand trial had been fully and adequately explored. Thus, the state contends that the superior court did not abuse its discretion by refusing to hold an evidentiary hearing on the issue of Smiloff’s competency.
AS 12.45.100,
patterned after 18 U.S.C. § 4244,
provides that defendants who lack the capacity to understand the proceedings or to assist in the defense may not be tried, convicted or sentenced so long as the incapacity endures. The statute provides that if the examining psychiatrist reports that the defendant is incompetent to stand trial, “the court shall hold a hearing, upon due notice.” However, the statute is silent on the procedures to be employed if the psychiatrist’s reports indicate that the accused is competent. In
Schade v. State,
512 P.2d 907, 914 (Alaska 1973), we held that where “the psychiatric examination of the defendant yields professional findings that the defendant is competent to stand trial, the question of whether to hold . . . evi-dentiary hearings is addressed to the sound discretion of the trial court.” Thus, the question is whether the problems that counsel had encountered mandated an independent determination by the superior court of Smiloff’s competency to stand trial at that time.
In
Fajeriak v. State,
520 P.2d 795, 802-03 (Alaska 1974), the court stated:
Great deference is to be accorded defense counsel’s assessment in [competency] matters, insofar as he is better able than the trial judge or the prosecutor to assess the defendant’s ability to participate in his defense and to understand the nature of the proceedings against him.
(footnote omitted)
Fajeriak
was subsequently distinguished in
McKinney v. State,
566 P.2d 653, 660,
opinion on rehearing,
570 P.2d 733 (Alaska 1977). There we stated:
In
Fajeriak,
the defense counsel indicated that his client was competent. Obviously, the same weight need not be given to a defense counsel’s assertions of incompetence. An attorney’s duty as an advocate will often require him to present those arguments on behalf of his client, and while his opinion is still relevant, it is not determinative.
Thus, the evaluation by defense counsel of the defendant’s competency is only of evi-dentiary value and is not dispositive of the issue.
One of the leading cases in the competency area is
Pate v. Robinson,
383 U.S. 375, 86 S.Ct. 836, 15 L.Ed.2d 815 (1966). Robinson had been convicted of murder in the Illinois state court system. The Illinois Supreme Court affirmed the conviction, finding that no competency hearing had been requested, and-that the evidence failed to raise sufficient doubt as to Robinson’s competency to require the court to conduct a hearing on its own motion. The United States Supreme Court reversed the conviction on Robinson’s petition for habeas corpus, concluding that he was constitutionally entitled to a hearing on the issue of the competence to stand trial
The evidence suggested that Robinson had a long history of remarkably irrational behavior. Despite the presence in the record of colloquies between the trial judge and Robinson showing alertness and understanding by Robinson, the Supreme Court held that the evidence entitled Robinson to a competency hearing.
The importance of competency determinations was reiterated by the Supreme Court in
Drope v. Missouri,
420 U.S. 162, 95 S.Ct. 896, 43 L.Ed.2d 103 (1975). Drope had been indicted with two others for the forcible rape of his wife. In procedures replete with attorney error and oversight, the case proceeded to trial despite the objection of his counsel that Drope was not of “sound mind” and needed a second psychiatric examination before trial. Midway through trial, Drope attempted suicide; the trial proceeded without him. The Supreme Court avoided the question as to whether the evidence was sufficient to require a competency examination, holding that when the attempted suicide was considered, together with the psychiatric information available before trial and the testimony of Drope’s wife at trial, a sufficient doubt as to Drope’s competence to stand trial was presented so as to require further inquiry.
The Court noted that even when a defendant is competent to stand trial at the beginning of his trial, the trial court must always be alert to circumstances indicating that the accused is no longer competent to stand trial.
In
Hansford v. United States,
124 U.S.App.D.C. 387, 365 F.2d 920 (1966), the court of appeals also considered the need for re-determination of competency. There, the hospital to which the defendant was sent for narcotics detoxification reported that he was competent to stand trial, and the district court, without a hearing, determined
that he was competent. However, the circuit court found a duty on the part of the trial court to conduct a competency hearing during trial where it appeared that the defendant had been using drugs and may have been suffering from acute brain syndrome produced by narcotics during trial. The court stated:
In the present case, the predictive value of the [h]ospital report and of the initial judicial determination of appellant’s competency was vitiated by appellant’s resumption of his use of narcotics following his examination. This fact, brought out at trial, should have put the trial court on notice that appellant might then have become incompetent.
From these cases, we conclude that the duty to determine competency is not one that can be once determined and then ignored. Thus, the question becomes one of possible abuse of discretion by the superior court in denying defendant’s request for an evidentiary hearing. There are many federal cases decided under 18 U.S.C. § 4244, or on habeas corpus petitions, which hold that where the medical witness has reported that the accused is competent to stand trial the refusal to hold a hearing is not denial of due process.
In
Chenault
v.
Stynchcombe,
546 F.2d 1191, 1193 (5th Cir.),
cert. denied,
434 U.S. 878, 98 S.Ct. 231, 54 L.Ed.2d 158 (1977), the Court of Appeals for the Fifth Circuit noted that three factors should be considered: a history of irrational behavior, defendant’s demeanor at trial, and prior medical opinion. Although this court has never laid down specific criteria to be used in judging incompetence to stand trial, we have noted that memory loss, whether partial or total, is not an adequate ground for a declaration of incompetency.
Concerning the question of “understanding,” we have stated:
But this does not mean that a defendant must possess any high degree of legal sophistication or intellectual prowess. In determining competency, the standard of judgment must be a relative one. Some comparison, must be made between the apparent competency of the accused and the ability level of the average criminal defendant. That level of ability is often not great. Numerous persons are subjected to criminal prosecution, and properly so, even though they are of relatively low intelligence or are suffering from some significant emotional or physical impairment. Not every emotional flaw renders one incompetent to stand trial.
(footnote omitted)
In the case at bar, we have concluded that the showing made by the defense was not sufficient to trigger the holding of a competency hearing. The main thrust of the trial counsel’s showing was the fact that he had encountered difficulties and disagreements with Smiloff over whether to accept a plea bargain and whether to have a jury trial. Defense counsel did not refer to any bizarre behavior on Smiloff’s part or any specific facts indicating Smi-loff’s incompetency. In these particular circumstances, we hold that the superior court did not err in ruling that a fresh competency hearing was not required.
In his final specification of error, Smiloff claims that the superior court erred in failing to give instructions on assault and battery
and contributing to the delinquency of a child
as lesser included offenses of the crime of lewd or lascivious acts toward children. Defense counsel requested the assault and battery instruction, but did not request the other instruction.
The state has asserted that the assault and battery instruction was not requested timely. The record shows during the trial the superior court ordered that respective counsel were to submit requested instructions by Friday morning. On the following Monday morning, just prior to submission of the case to the jury for deliberation, the court and counsel discussed the instructions which the superior court proposed to give to the jury. It was during the conference that Smiloff’s counsel, for the first time, requested an instruction concerning the offense of assault and battery on the theory that the offense is a lesser included offense of the lewd and lascivious acts toward a child. At this point in the proceedings, the state objected to this requested instruction on the ground that it was requested untimely. The superior court, in denying the request, based its ruling, in part, on the failure to timely request the instruction.
We think the superior court’s ruling was correct in light of Smiloff’s untimely request. Criminal Rule 30(a) authorizes the trial court to set a reasonáble time for the submission of written requested instructions. In this regard, the rule provides, in part:
At the close of the evidence or at such earlier time during the trial as the court reasonably directs, any party may file written requests that the court instruct the jury on the law as set forth in the requests.
There is no contention made that the time set for the submission of requested instructions by the trial court was unreasonable. The rationale of the above-quoted portion of Criminal Rule 30(a) is to accord the trial court adequate time to consider
the requested instructions and to prepare appropriate instructions. This portion of Criminal Rule 30(a) is one of the procedural devices given to the trial courts to enable them to govern trial proceedings. Given the authorization of Criminal Rule 30(a) and its purposes, we conclude that the superior court did not err in refusing to give Smiloff’s untimely requested instruction on assault and battery.
Affirmed.