Supreme Court of California Justia
Docket No. S098158
John L. v. Sup. Ct.

Filed 6/17/04

IN THE SUPREME COURT OF CALIFORNIA

JOHN L., Petitioner, v.
THE SUPERIOR COURT OF SAN DIEGO )
COUNTY, Respondent;
THE PEOPLE, Real Party in Interest.
S098158
Ct.App. 4/1 D035995,
THE PEOPLE, Petitioner, v.
) D036142,
and
D036290
THE SUPERIOR COURT OF SAN DIEGO )
COUNTY, Respondent;
) San
Diego
County
MATTHEW F., Real Party in Interest.
Super. Ct. Nos. 181504,
184070, and 189696
THE PEOPLE, Petitioner, v.
THE SUPERIOR COURT OF SAN DIEGO )
COUNTY, Respondent;
JONATHAN G., Real Party in Interest.

Effective March 8, 2000, the Gang Violence and Juvenile Crime Prevention
Initiative (Prop. 21, Primary Elec. (Mar. 7, 2000)) (Proposition 21) amended
Welfare and Institutions Code section 777.1 Section 777, subdivision (a)(2)
(section 777(a)(2)) establishes the juvenile court procedure for finding probation
violations and modifying prior dispositions when new misconduct is committed by
those on probation for crimes previously adjudicated under section 602.
As we recently explained in In re Eddie M. (2003) 31 Cal.4th 480, 494-502
(Eddie M.), former section 777 could be used to find a new criminal violation by
one already a probationer under section 602, and thus to increase the person’s

1
All unlabeled statutory references are to the Welfare and Institutions Code.
1


maximum term of juvenile confinement. Accordingly, case law established that
the new misconduct adjudicated under former section 777 must be proved beyond
a reasonable doubt by evidence competent in a criminal trial. (In re Arthur N.
(1976) 16 Cal.3d 226, 234-240 (Arthur N.).)
However, Proposition 21 prevents use of section 777(a)(2) to produce new
criminal adjudications and to thereby increase the maximum term of confinement
for the original section 602 offense. Even if criminal in fact, new misconduct may
be treated, under section 777(a)(2), only as a probation violation. If a violation is
found, the violator may, at most, receive a more restrictive juvenile placement
within the original maximum term.
Consistent with section 777’s changed role, and in an effort to streamline
proceedings under this statute, Proposition 21 reduced the standard of proof in
such proceedings from beyond a reasonable doubt to a preponderance of the
evidence. (§ 777, subd. (c) (section 777(c)).) Certain evidentiary changes also
were made. For example, Proposition 21 allows the use of reliable hearsay
evidence in section 777(a)(2) proceedings, insofar as such evidence is admissible
in adult probation revocation proceedings, to prove juvenile probation violations.
(§ 777(c); see In re Antonio A. (1990) 225 Cal.App.3d 700, 703-706.)
In Eddie M., supra, 31 Cal.4th 480, we unanimously held that the state and
federal due process clauses permit use of the “preponderance” standard in all
section 777(a)(2) proceedings covered by Proposition 21. As we explained,
contrary to what statutory law provided when Arthur N., supra, 16 Cal.3d 226,
adopted the old reasonable-doubt rule, juvenile probation violation proceedings
now “differ from criminal prosecutions in purpose, operation, and effect.”
(Eddie M., supra, 31 Cal.4th at p. 486.)
Here, we address another constitutional challenge to section 777.
Petitioners committed their section 602 offenses before the adoption of
2
Proposition 21. However, after Proposition 21’s effective date, they committed
alleged probation violations that the People seek to adjudicate under the amended
version of section 777. Petitioners claim that, as applied to them, the
preponderance and evidentiary provisions of new section 777(c) violate state and
federal guarantees against ex post facto laws. (U.S. Const., art. I, § 10; Cal.
Const., art. I, § 9.) Petitioners equate section 777(a)(2) proceedings with criminal
trials, in which the “quantum” and standard of proof cannot be retroactively eased.
Petitioners also claim that Proposition 21’s rules for proving probation violations
retroactively increase the “punishment” for their section 602 crimes.
The juvenile court issued conflicting rulings on the ex post facto defenses
in separate hearings below. In a consolidated writ proceeding, the Court of
Appeal found no ex post facto bar to applying Proposition 21 in this case.
We agree with the Court of Appeal’s conclusion that no ex post facto
problem is presented. Even if retroactivity is measured from the date of the
original section 602 crimes, as petitioners necessarily claim, no ex post facto law
is at stake. First, Proposition 21’s amendments to section 777 did not affect the
standards of proof or evidence used to adjudicate those crimes. There is no
authority for extending the ex post facto clause’s evidentiary concerns beyond the
criminal trial itself to subsequent probation violation proceedings in which
nothing akin to a criminal conviction is produced. Second, for reasons set forth at
length in Eddie M., supra, 31 Cal.4th 480, the challenged amendments do not
inflict new or increased punishment, in the ex post facto sense, for the original
section 602 crimes. While Proposition 21’s new procedural rules may increase the
chance that a probation violation will be found, there has been no material adverse
change in the standards used to modify the original disposition, or in the choice of
placements available as a result. Therefore, we will affirm the judgment of the
Court of Appeal.
3
I. FACTS
Petitioners underwent separate proceedings in juvenile court. The district
attorney filed section 602 petitions accusing each petitioner of violating one or
more laws “defining crime” while under the age of 18. (§ 602, subd. (a).) The
offenses occurred before Proposition 21 took effect on March 8, 2000, as
discussed further below.
At the jurisdictional phase of the section 602 proceedings, petitioners each
admitted at least one alleged offense. The juvenile court found such crimes true
beyond a reasonable doubt (§ 701), and dismissed the remaining counts.
At the dispositional phase of the section 602 proceedings, petitioners were
declared wards of the court, and were placed in the custody and control of the
probation department on various conditions. (See §§ 725, 726, 727, 730.) All
three dispositional orders specified a maximum period of physical confinement for
the section 602 crimes sustained against petitioners. (§ 726, subd. (c).)
As a result, John L. entered the Youth Correctional Center on the condition
that he follow all rules and instructions. Matthew F. was committed to a
residential program and ordered to undergo treatment for his sex crime.
Jonathan G. received at-home supervision on the condition that he remain drug
free and take random drug tests.
The probation department later learned that petitioners violated probation.
It appears the Youth Correctional Center ejected John L. because he breached
disciplinary rules and orders by provoking racial unrest and harassing Black
inmates. Matthew F.’s treatment program was reportedly ended because he
refused to participate. Jonathan G. apparently tested positive for drug use several
times.
The district attorney filed motions alleging probation violations on the
foregoing grounds, and seeking more restrictive placements under section
4
777(a)(2), as amended by Proposition 21. The alleged probation violations
occurred, and the section 777 proceedings began, after Proposition 21’s March 8,
2000 effective date.
In each case, petitioners moved both orally and in writing for a ruling
applying the former version of section 777 in effect when they committed their
section 602 crimes. All three petitioners argued against ex post facto application
of Proposition 21’s new standards of proof and evidence.
In John L.’s case, the juvenile court rejected the ex post facto claim and
denied the motion. As to Matthew F. and Jonathan G., another juvenile court
granted their motions, and exempted their section 777 proceedings from
Proposition 21.
The Court of Appeal summarily denied John L.’s petition for mandate, and
he sought review in this court. We granted and transferred the matter to the Court
of Appeal with directions to vacate its denial of mandate and to issue an order to
show cause. Meanwhile, the People, represented by the district attorney, sought
writs of mandate in the Court of Appeal to overturn the rulings granting both
Matthew F. and Jonathan G. relief on ex post facto grounds. The Court of Appeal
issued orders to show cause in the latter cases, and consolidated them with
John L.’s mandate proceeding.
The Court of Appeal concluded that insofar as the challenged amendments
are used to litigate probation violations committed after Proposition 21’s effective
date, “an essential element necessary to an ex post facto violation appears to be
absent; new section 777 does not appear to operate retroactively by applying to
conduct completed before its enactment.” Rejecting a contrary assumption in In
re Melvin J. (2000) 81 Cal.App.4th 742, the Court of Appeal declined to use the
section 602 offenses as the “pivotal date” for its constitutional analysis. (See post,
fn. 7.) Hence, the panel issued writs of mandate directing the juvenile court to
5
vacate its orders concerning Matthew F. and Jonathan G., and to conduct their
probation violation hearings under section 777, as amended by Proposition 21.
Mandate was denied in the John L. case, where the juvenile court had applied
Proposition 21.
We granted petitioners’ joint request for review.
II. DISCUSSION
A. Intended Scope of Amended Statute
Both sides had assumed throughout these proceedings, including in their
briefs on the merits in this court, that the challenged amendments were intended to
affect any section 777 proceeding held after the voters approved Proposition 21 on
March 7, 2000. However, after we requested supplemental briefs on this threshold
statutory question, petitioners argued for the first time that such provisions were
not meant to apply here. Insofar as an initiative statute “takes effect the day after
the election unless the measure provides otherwise” (Cal. Const., art. II, § 10,
subd. (a)), petitioners suggest the operative event is the section 602 offense
triggering the juvenile court’s jurisdiction, not the section 777 proceeding in which
Proposition 21’s new rules would otherwise apply. Since their section 602 crimes
occurred before March 8, 2000, petitioners insist pre-Proposition 21 law dictates
how their post-Proposition 21 probation violations should be litigated.
The statutory language belies this claim. (See Robert L. v. Superior Court
(2003) 30 Cal.4th 894, 900-901 [general rules of statutory construction govern
initiatives like Prop. 21]; People v. Birkett (1999) 21 Cal.4th 226, 231 [statute’s
plain meaning controls].) In making procedural changes to juvenile probation
violation proceedings, Proposition 21 did not amend section 777 to state that the
original section 602 offense must occur on or after March 8, 2000 in order for the
changes to apply. By its own terms, section 777(a)(2) broadly applies where the
person is “a court ward or probationer under Section 602 in the original matter and
6
the notice alleges a violation of a condition of probation not amounting to a
crime.” Section 777 also contemplates “a noticed hearing” conforming to the
statute’s requirements, including Proposition 21’s new standard of proof and
evidentiary rules. (§ 777, 1st par.)2
The quoted language is unqualified and its meaning seems plain. Any
“noticed hearing” held while Proposition 21’s changes to section 777 are in effect
is subject to their terms, regardless of when the section 602 offense “in the original
matter” occurred. (§ 777(a)(2).) If voters had intended to limit such amendments
to probationers who committed their section 602 crimes after the initiative’s
effective date, Proposition 21 could have so provided. (Cal. Const., art. II, § 10,
subd. (a).) We would have to rewrite the statute in order to restrict its scope in this
manner. (See People v. Ansell (2001) 25 Cal.4th 868, 881 (Ansell) [subjecting
convicted sex offenders to new restrictions on procedure for removing civil
disabilities even where qualifying crimes predated statutory change].)
The statute’s purpose, as reflected in Proposition 21 ballot materials, also
suggests an intent to affect the maximum number of juvenile probation violation

2
Section 777, as amended by Proposition 21, provides, in part, as follows:
“An order changing or modifying a previous order by [dictating a more restrictive
placement] . . . shall be made only after a noticed hearing. [¶] (a) The notice
shall be made as follows: [¶] . . . [¶] (2) By the probation officer or the
prosecuting attorney if the minor is a court ward or probationer under Section 602
in the original matter and the notice alleges a violation of a condition of probation
not amounting to a crime. The notice shall contain a concise statement of facts
sufficient to support this conclusion. [¶] . . . [¶] (c) The facts alleged in the notice
shall be established by a preponderance of the evidence at a hearing to change,
modify, or set aside a previous order. The court may admit and consider reliable
hearsay evidence at the hearing to the same extent that such evidence would be
admissible in an adult probation revocation hearing, pursuant to the decision in
People v. Brown [(1989) 215 Cal.App.3d 452] and any other relevant provision of
law.”
7


cases as soon as possible. In general, voters expressed alarm over the recent
increase in juvenile and gang-related crime, and the perceived inability of the
juvenile justice system to protect the public, particularly against violent and
recidivist offenders. (See Manduley v. Superior Court (2002) 27 Cal.4th 537, 574-
579.) Regarding changes to juvenile court procedures like section 777, ballot
materials emphasized the interest in reforming less serious offenders by holding
them more “ ‘accountab[le]’ ” for crimes and other misconduct. (Eddie M., supra,
31 Cal.4th 480, 500.) Indeed, by making it easier to prove a probation violation
alleged under section 777(a)(2), Proposition 21 ensures that new misconduct
otherwise immune from either an adult criminal prosecution or a new section 602
proceeding does not escape sanction altogether. (Eddie M., supra, 31 Cal.4th at
pp. 500-501.) The ballot materials convey a sense of urgency in this regard. (See
id. at p. 500; Manduley v. Superior Court, supra, 27 Cal.4th at pp. 575-576.)
In contrast, petitioners’ approach effectively means that the section 777
amendments at issue both here and in Eddie M., supra, 31 Cal.4th 480, would only
affect juvenile court cases in which all of the following events occurred after
Proposition 21’s effective date: (1) the person violated a criminal statute within
the meaning of section 602, (2) the juvenile court adjudicated such offense in a
section 602 proceeding and issued a dispositional order, including probation, (3)
the person thereafter violated such probation within the meaning of section
777(a)(2), and (4) authorities initiated a probation violation proceeding under
section 777(a)(2). Such a scenario could postpone — perhaps by many years —
the significant rehabilitative and public safety aims the changes were meant to
achieve. Thus, to ensure accountability for new misconduct alleged as juvenile
probation violations, it seems reasonable to conclude that Proposition 21 covers
any probationer whose section 777 hearing takes place after March 7, 2000,
whether or not the original section 602 crime occurred before that time.
8
Finally, this conclusion is consistent with how similar initiative measures
have long been judicially construed. For instance, Tapia v. Superior Court (1991)
53 Cal.3d 282, 299 (Tapia), concerned Proposition 115, the Crime Victims Justice
Reform Act, which changed criminal trial procedure by, among other things,
limiting counsel’s role on voir dire and expanding the People’s discovery rights.
A capital defendant (Tapia) claimed these statutory changes did not apply in his
trial because the charged crimes occurred before the initiative’s effective date.
(Tapia, supra, 53 Cal.3d at pp. 286-287, 299-300.) Tapia emphasized that both
Proposition 115 and related ballot materials were “entirely silent on the question
of retrospectivity” (Tapia, supra, 53 Cal.3d at p. 287), and that all statutes were
“presumed to operate prospectively” absent clear evidence to the contrary. (Ibid.;
see Pen. Code, § 3; People v. Hayes (1989) 49 Cal.3d 1260, 1274.)
However, we determined that these general principles of statutory
construction supported, rather than defeated, application of Proposition 115’s new
procedural rules in Tapia’s case. “Even though applied to the prosecution of a
crime committed before the law’s effective date, a law addressing the conduct of
trials still addresses conduct in the future. This is a principle that courts in this
state have consistently recognized. Such a statute ‘ “is not made retroactive
merely because it draws upon facts existing prior to its enactment . . . . [Instead,]
[t]he effect of such statutes is actually prospective in nature since they relate to the
procedure to be followed in the future.” ’ [Citations.] For this reason, we have
said that ‘it is a misnomer to designate [such statutes] as having retrospective
effect.’ [Citation.] [¶] . . . [¶] . . . [Thus,] a law governing the conduct of trials is
being applied ‘prospectively’ when it is applied to a trial occurring after the law’s
effective date, regardless of when the underlying crime was committed.” (Tapia,
supra, 53 Cal.3d 282, 288-289, italics added; accord, Albertson v. Superior Court
(2001) 25 Cal.4th 796, 804 [new statute making mental health data available for
9
use against sexually violent predators in civil commitment proceedings applies in
both pending and future cases].)
We must assume that Proposition 21 voters knew about and followed
Tapia, supra, 53 Cal.3d 282. (See Eddie M., supra, 31 Cal.4th 480, 495-496
[electorate presumed to be aware of existing law when amending statutes].) Much
like the initiative statutes that Tapia construed, Proposition 21’s standard of proof
and evidentiary provisions concern the conduct and procedure to be followed in
future section 777 proceedings, i.e., juvenile probation violation hearings held
after March 7, 2000. (Tapia, supra, 53 Cal.3d at p. 288.) Nothing in the relevant
text or history suggests an intent to postpone this effective date, or to otherwise
limit Proposition 21 depending upon when criminal conduct in the original section
602 proceeding occurred. We reject petitioners’ contrary construction.
B. Ex Post Facto Challenge to Amended Statute
1. General Principles
Petitioners insist Proposition 21 cannot cover any section 777(a)(2)
proceeding in which the probationer committed his section 602 crime before the
initiative took effect, even where the disputed probation violation occurred after
that date. The claim rests on parallel federal and state ex post facto guarantees.
(See U.S. Const., art. I, § 10; Cal. Const., art. I, § 9; Tapia, supra, 53 Cal.3d 282,
295-297 [placing no different meaning on federal and state ex post facto clauses,
and following United States Supreme Court cases on the subject].)
In general, the high court has established that no statute falls within the ex
post facto prohibition unless “two critical elements” exist. (Miller v. Florida
(1987) 482 U.S. 423, 430 (Miller); Weaver v. Graham (1981) 450 U.S. 24, 29
(Weaver).) First, the law must be retroactive. Such a law “ ‘change[s] the legal
consequences of an act completed before [the law’s] effective date,’ namely the
defendant’s criminal behavior.” (Tapia, supra, 53 Cal.3d 282, 288, quoting
10
Weaver, supra, 450 U.S. at p. 31, italics added.) In other words, the operative
event for retroactivity purposes, and the necessary reference point for any ex post
facto analysis, is criminal conduct committed before the disputed law took effect.
Second, only certain changes in the statutory effect of past criminal
conduct implicate ex post facto concerns. Since its decision in Collins v.
Youngblood (1990) 497 U.S. 37, 41-42 (Collins), the United States Supreme Court
has followed the original intent of the Constitution, and reaffirmed the principles
first announced in Calder v. Bull (1798) 3 U.S. (3 Dall.) 386, 390 (opn. of Chase,
J.) (Calder). (Accord, Stogner v. California (2003) 539 U.S. 607, __ [156 L.Ed.2d
544, 552] (Stogner); Carmell v. Texas (2000) 529 U.S. 513, 521-522 (Carmell).)
Specifically, retroactive amendments to penal statutes do not violate ex post facto
principles unless they implicate at least one of four categories described in Calder,
supra, 3 U.S. (3 Dall.) at page 390 (opn. of Chase, J.).3
Critical here are Calder’s last two categories. The third category concerns
laws that “inflict[ ] a greater punishment” than what was authorized when the
crime occurred. (Calder, supra, 3 U.S. (3 Dall.) 386, 390 (opn. of Chase, J.).)
The fourth Calder category involves laws that adopt new “rules of evidence” and

3
Calder’s familiar description of ex post facto laws reads as follows: “1st.
Every law that makes an action done before the passing of the law, and which was
innocent when done, criminal; and punishes such action. 2d. Every law that
aggravates a crime, or makes it greater than it was, when committed. 3d. Every
law that changes the punishment, and inflicts a greater punishment, than the law
annexed to the crime, when committed. 4th. Every law that alters the legal rules
of evidence, and receives less, or different testimony, than the law required at the
time of the commission of the offence, in order to convict the offender.” (Calder,
supra
, 3 U.S. (3 Dall.) 386, 390 (opn. of Chase, J.); see id. at p. 389 (opn. of
Chase, J.) [similar statement of test]; see also, Stogner, supra, 539 U.S. 607, __
[156 L.Ed.2d 544, 552].) We will summarily refer to this list as the “Calder
categories,” focusing on the third and fourth items.

11


allow “less[ ] or different testimony” than what was required “to convict the
offender” when he committed the crime. (Ibid.) By design, these principles allow
individuals to rely on existing penal statutes, and to avoid being unjustly convicted
and punished because the law thereafter changed. (Stogner, supra, 539 U.S. 607,
__ [156 L.Ed.2d 544, 551]; Carmell, supra, 529 U.S. 513, 531-533.)
In the nearly 200 years between the decisions in Calder, supra, 3 U.S. (3
Dall.) 386, and Collins, supra, 497 U.S. 37, more expansive definitions of ex post
facto laws arose. However, Collins disavowed them. (Ansell, supra, 25 Cal.4th
868, 884; accord, California Dept. of Corrections v. Morales (1995) 514 U.S. 499,
506, fn. 3 (Morales); In re Rosenkrantz (2002) 29 Cal.4th 616, 639-640.)
In particular, the high court criticized some of its own decisions for
disallowing any “procedural change” that withdraws “ ‘substantial protections’ ”
or “ ‘substantial personal rights’ ” existing at the time of the crime. (Collins,
supra, 497 U.S. 37, 45.) Collins explained that regardless of its label or form (id.
at p. 46), a law does not raise ex post facto concerns unless it works in the manner
Calder, supra, 3 U.S. (3 Dall.) 386, proscribes.
Collins also overruled two high court cases invalidating statutes merely
because they “ ‘ “alter[ed] the situation of a party to his disadvantage” ’ ” after the
crime occurred. (Collins, supra, 497 U.S. 37, 47.) The court made clear in
Collins (id. at pp. 47-52) that this test is too amorphous, and contravenes the
exclusive ex post facto definition in Calder, supra, 3 U.S. (3 Dall.) 386.
Finally, Collins and its progeny show that adjustments in “the procedures
by which a criminal case is adjudicated” rarely implicate ex post facto concerns.
(Collins, supra, 497 U.S. 37, 45.) Such laws do not typically enhance punishment
under the third Calder category. (See Lynce v. Mathis (1997) 519 U.S. 433, 447,
fn. 17 (Lynce) [contrasting “procedural” statute that permissibly alters “ ‘the
methods employed in determining’ ” punishment with laws impermissibly
12
changing “ ‘the quantum of punishment’ ”].) Also, absent reductions in the
“quantum of evidence required to convict” under Calder’s fourth category
(Carmell, supra, 529 U.S. 513, 532), the high court has permitted the retroactive
withdrawal of statutory protections regulating the conduct of criminal trials. (See,
e.g., Collins, supra, 497 U.S. at pp. 39-40 [allowing correction of flawed verdict
on appeal and denying new jury trial]; see id. at pp. 50-52, overruling both Kring
v. Missouri (1883) 107 U.S. 221 [barring withdrawal of acquittal defense to first
degree murder based on prior guilty plea to lesser offense], and Thompson v. Utah
(1898) 170 U.S. 343 [barring reduction in size of criminal juries].)
We now use these principles and authorities to analyze the elements of the
ex post facto violation alleged here.
2. Retroactivity Claim
Petitioners argue that amended section 777 is retroactive as applied to them,
because it affects probation ordered for section 602 crimes predating Proposition
21. Though triggered by new misconduct committed and litigated after
Proposition 21 took effect, the new statutory rules for proving probation violations
assertedly relate back to the prior criminal acts for ex post facto purposes.
No federal or state authority compels acceptance of this claim. Both this
court and the Courts of Appeal have long held that someone who was convicted
and sentenced for one crime, and who commits a new crime or other misconduct
while either on conditional release or in custody for the original conviction, is
subject to new penalties and adverse procedural laws enacted between the time of
the two acts.4 Rejecting ex post facto claims like the one raised here, these cases

4
E.g., People v. Helms (1997) 15 Cal.4th 608, 614-616 (new crime
committed on probation triggers revocation and imprisonment for term that
includes new consecutive sentence authorized under “Three Strikes” law); In re

(footnote continued on next page)
13


reason that the new law merely alters the legal consequences of new misconduct
(as opposed to prior crimes), and that it therefore has prospective (as opposed to
retroactive) effect.5 Hence, under the foregoing authorities, section 777, as
amended by Proposition 21, is not retroactive as to the section 602 crimes
supporting the ex post facto claims.
Petitioners nonetheless rely on dictum in Johnson v. United States (2000)
529 U.S. 694 (Johnson), as persuasive authority for their retroactivity claim.
There, a convicted felon, Johnson, committed new misconduct that violated the

(footnote continued from previous page)

Ramirez (1985) 39 Cal.3d 931, 936-937 (new misconduct committed in prison
triggers new statute increasing amount of credits that can be withdrawn as to
sentence being served); In re Etie (1946) 27 Cal.2d 753, 759-760 (new crime
committed on parole triggers revocation and recalculation of prison term under
new procedural rules limiting right to contest sentence change); In re Nolasco
(1986) 181 Cal.App.3d 39, 42-43 (new misconduct committed while confined for
parole violation triggers new statute extending parole revocation release date); In
re LeDay
(1985) 177 Cal.App.3d 461, 464-465 (same); cf. In re Valenzuela (1969)
275 Cal.App.2d 483, 487 (refusing to apply law enacted after juvenile offense that
allowed, based on continuing dangerousness, extension of Youth Authority’s
jurisdiction and transfer to adult prison for indefinite confinement, where no jury
trial on dangerousness was provided).

5
Under a parallel line of authority, convicted criminals who commit a
second crime after completing their sentence, including any probation or parole,
are subject to harsher treatment as recidivists under new laws enacted between the
time of the two crimes. California courts have held that such statutes are not
retroactive and that no ex post facto violation thus occurs. (E.g., People v. Mesce
(1997) 52 Cal.App.4th 618, 621-624 [new crime of possessing firearm following
misdemeanor assault conviction]; People v. Hatcher (1995) 33 Cal.App.4th 1526,
1528 [enhanced sentence for prior conviction]; People v. Mills (1992) 6
Cal.App.4th 1278, 1283-1289 [expanded definition of acts constituting possession
of firearm by ex-felon]; People v. Williams (1983) 140 Cal.App.3d 445, 448-449
[enhanced sentence for prior conviction]; People v. Venegas (1970) 10 Cal.App.3d
814, 822-823 [increased sentence for possession of firearm by ex-felon].)
14


terms of his federal “supervised release,” which is not unlike parole. The district
court revoked Johnson’s supervised release, resentenced him to prison, and
ordered him to serve an additional year of supervised release when he left prison.
(Id. at pp. 697-698.) The statutory source of the last requirement was unclear.
In the Sixth Circuit Court of Appeals, Johnson argued that the additional
period of supervised release was not authorized by federal law when he committed
the crime for which he was originally convicted. Johnson also claimed that his
sentence could not be upheld under a new statute explicitly authorizing additional
terms of supervised release. Because the new statute was enacted before the new
misconduct but after the original crime, Johnson claimed its application would
retroactively increase punishment for that crime in violation of the ex post facto
clause. (Johnson, supra, 529 U.S. 694, 698.)
The Sixth Circuit agreed with Johnson that only the new statute permitted
an additional period of supervised release of the kind he received. Nevertheless,
Johnson’s ex post facto challenge to the new statute failed. The appellate court
held that because revocation and related provisions of the new statute penalized
Johnson for violating the conditions of his initial term of supervised release, they
were prospective only and did not impermissibly enhance punishment for the
original crime. (Johnson, supra, 529 U.S. 694, 698-699.)
The United States Supreme Court found it “unnecessary” to reach and
resolve this ex post facto question in order to uphold Johnson’s sentence.
(Johnson, supra, 529 U.S. 694, 696.) Instead, as reflected in the bulk of the
court’s opinion, Johnson affirmed the judgment solely on statutory grounds.
Although it found no evidence that Congress intended the new statute to cover
past crimes like Johnson’s, the high court held that an additional period of
supervised release was implicitly authorized under prior law in existence when the
original crime occurred. (Id. at pp. 701-713; see id. at pp. 713-715 (conc. opn. of
15
Kennedy, J.); id. at p. 715 (conc. opn. of Thomas, J.); id. at pp. 715-727 (dis. opn.
of Scalia, J.).)
In a brief passage divorced from its statutory analysis, Johnson discussed
whether applying the new statute would involve retroactivity in the constitutional
sense. The high court questioned the Sixth Circuit’s view that revocation and
related sanctions do not “relate to the original offense” (Johnson, supra, 529 U.S.
694, 701), and only constitute “punishment for the violation of the conditions of
supervised release.” (Id. at p. 700.) Johnson noted, for instance, that “[a]lthough
such violations often lead to reimprisonment, the violative conduct need not be
criminal and need only be found by a judge under a preponderance of the evidence
standard, not by a jury beyond a reasonable doubt.” (Ibid.) In other words, unless
postrevocation penalties are deemed punishment for the crime originally proven
beyond a reasonable doubt, due process problems might arise insofar as the
reasonable doubt standard is not otherwise used to prove new misconduct in a
parole or probation revocation matter. (Ibid., citing Gagnon v. Scarpelli (1973)
411 U.S. 778, 782 [reasonable doubt standard excluded from list of due process
protections required to revoke adult probation]; see Morrissey v. Brewer (1972)
408 U.S. 471, 488-489 [same as to adult parolees].)
As noted, California cases predating Johnson, supra, 529 U.S. 694, have
analyzed retroactivity similar to the Sixth Circuit view questioned therein.
Moreover, consistent with the instant Court of Appeal decision, Johnson’s
suggestion that “postrevocation penalties” are “attribute[d]” to the original offense
is not binding here. (Id. at p. 701.) Such language had no bearing on Johnson’s
statutory holding or rationale. Nor, as discussed below, do Proposition 21’s
changes to section 777 extend the maximum term of confinement for prior section
16
602 crimes, increase the maximum level of restraint, or otherwise trigger penalties
like those challenged in Johnson, supra, 529 U.S. 694.6
Nevertheless, in light of the dictum in Johnson, we will assume, without
deciding, that the relevant conduct or reference point for assessing petitioners’ ex
post facto claim is the pre-Proposition 21 criminal conduct producing the section
602 adjudications, rather than the post-Proposition 21 misconduct triggering the
alleged probation violations. Thus, for purposes of argument only, application of
Proposition 21 to the present section 777 proceedings “ ‘change[s] the legal
consequences’ ” of acts committed before the law’s effective date. (Tapia, supra,

6
The court in Johnson, supra, 529 U.S. 694, 701, cited Greenfield v. Scafati
(D.Mass. 1967) 277 F.Supp. 644, summarily affirmed sub nomine Scafati v.
Greenfield
(1968) 390 U.S. 713 (per curiam), for the proposition that revocation
and related sanctions are generally attributed to the original crime. In Greenfield,
a parole violator lost the right to earn good conduct credits during his first six
months back in prison under a statute enacted after he committed his original
crime but before he violated parole. Greenfield, supra, 277 F.Supp. at pages 645-
646, found an ex post facto violation because the new statute disadvantaged the
inmate by delaying his eligibility for early release. Greenfield did not explain its
apparent assumption that the loss of credits was part of the punishment for the
original crime. Nor did Greenfield consider whether the new statute operated
prospectively by sanctioning parole violations committed after it took effect.
Though not cited in Johnson, supra, 529 U.S. 694, various federal and out-of-state
cases have concluded, notwithstanding the approach in Greenfield, supra, 277
F.Supp. 644, that postrevocation sanctions do not necessarily relate to the original
crime for ex post facto purposes. These courts also have declined to invalidate
statutes as impermissibly retroactive under circumstances similar to those present
in both Greenfield and Johnson. (E.g., U.S. v. Byrd (5th Cir. 1997) 116 F.3d 770,
772-773; U.S. v. Reese (6th Cir. 1995) 71 F.3d 582, 590-591; Souza v. State
(Alaska Ct. App. 1990) 792 P.2d 289, 290; Gasper v. Gunter (Colo. 1993) 851
P.2d 912, 917-918; Anderson v. Bruce (Kan. 2002) 50 P.3d 1, 7-8; Still v. State
(Me. 1969) 256 A.2d 670, 672-673; Petition of Beaton (Mass. 1968) 241 N.E.2d
845, 847-848; State v. Serena (Minn. Ct. App. 2003) 673 N.W.2d 182, 187-188;
State v. Monson (N.D. 1994) 518 N.W.2d 171, 172-173; People ex rel. Newland v.
Travis
(N.Y Sup. Ct. 2000) 714 N.Y.S.2d 627, 632; Watkins v. Class (S.D. 1997)
566 N.W.2d 431, 433-434.)
17


53 Cal.3d 282, 288, quoting Weaver, supra, 450 U.S. 24, 31.) We now decide
whether those “consequences” are constitutionally allowed.
3. Calder/Carmell Claim
Petitioners emphasize the fourth category under Calder, supra, 3 U.S. (3
Dall.) 386, 390 (opn. of Chase, J.), which concerns rules allowing “less[ ] or
different testimony” than what was previously required “to convict the offender.”
Petitioners complain that by easing the standards of proof and evidence in section
777 hearings over what existed when the section 602 crimes occurred, Proposition
21 makes it easier for the state to prove a probation violation and to modify
disposition in punitive ways. Petitioners rely on Carmell, supra, 529 U.S. 513
the lone high court case to bar use of a statute under Calder’s fourth category.
(See id. at p. 569 (dis. opn. of Ginsburg, J.).)
In Carmell, and as pertinent here, the defendant was charged in a Texas
criminal court with sexually molesting his stepdaughter while she was between 14
and 16 years old. When the crimes occurred, state law provided that “ ‘[a]
conviction [for sexual assault] . . . is supportable’ ” either if it was corroborated by
evidence independent of the victim’s testimony, or if the victim informed a third
person of the offense within six months of its commission. (Carmell, supra, 529
U.S. 513, 517.) The same statute recognized an exception to the corroboration and
“outcry” requirements for victims under the age of 14, such that their testimony
could sustain a conviction even in the absence of any corroboration or outcry
evidence. If the statutory requirements were not met, either because corroboration
or outcry was lacking, or because the victim was not under the age of 14 when the
crime occurred, then the defendant could not be convicted and the trial court
would be compelled to enter an acquittal. However, compliance with the statute
allowed the jury to decide the case and enter a guilty verdict. (Id. at pp. 517-518
& fn. 2.)
18
After the defendant committed the charged crimes, an amendment to the
relevant statute expanded the child-victim exception, and allowed sexual assault
convictions to rest solely on the testimony of victims under the age of 18. The
amendment, which was applied in the defendant’s trial, relieved the prosecution of
its duty under prior law either to corroborate the stepdaughter’s account or to
establish that she disclosed the crime within six months. The trier of fact
convicted the defendant based solely on the stepdaughter’s testimony. (Carmell,
supra, 529 U.S. 513, 518-519 & fn. 4.) The judgment was affirmed on appeal in
state court. To reach this result, the appellate court used a principle approved in
Collins, supra, 497 U.S. 37, that exempted ordinary “evidentiary rules” from the
ex post facto ban. (Id. at p. 43, fn. 3, citing Hopt v. Utah (1884) 110 U.S. 574, 590
[upholding retroactive statute making felons competent to testify as witnesses].)
In a five-to-four decision, the United States Supreme Court rejected the
intermediate court’s approach in Carmell. The majority first examined the 300-
year-old Fenwick’s case. There, Parliament retroactively reduced the number of
witnesses needed to sustain a treason conviction in order to successfully prosecute
certain political enemies of the Crown. (Carmell, supra, 529 U.S. 513, 526-530.)
The majority observed that Justice Chase, who studied both Fenwick’s case and
common law treatises on the subject, framed the fourth ex post facto category in
Calder, supra, 3 U.S. (3 Dall.) 386, 390, to prevent such a scenario. (Carmell,
supra, 529 U.S. at pp. 522-524 & fn. 13, 526.) The majority explained that just as
the law in Fenwick’s case originally required more than one witness’s testimony to
sustain a treason conviction, Texas law at the time of the defendant’s crimes
required more than the stepdaughter’s testimony to support a sex crime conviction.
Postcrime changes requiring only one witness in Fenwick’s case, and eliminating
the corroboration and outcry requirements in the defendant’s case, suffered from
19
the same flaw in the majority’s view — reducing “the quantum of evidence
necessary to sustain a conviction.” (Carmell, supra, 529 U.S. at p. 530.)
The Carmell majority further explained that this view of the fourth Calder
category serves interests similar to other ex post facto proscriptions against laws
altering the definition of crimes or the quantum of punishment. “In each of these
instances, the government subverts the presumption of innocence by reducing the
number of elements it must prove to overcome that presumption; by threatening
such severe punishment so as to induce a plea to a lesser offense or a lower
sentence; or by making it easier to meet the threshold for overcoming the
presumption. Reducing the quantum of evidence necessary to meet the burden of
proof is simply another way of achieving the same end. . . . [T]he government
refuses, after the fact, to play by its own rules, altering them in a way that is
advantageous only to the State, to facilitate an easier conviction.” (Carmell,
supra, 529 U.S. 513, 532-533, fn. omitted.)
Responding to an argument made by both the State and the dissenting
justices, the Carmell majority declined to view the statute as merely a rule
affecting the admissibility and competency of evidence under Hopt v. Utah, supra,
110 U.S. 574. (See Carmell, supra, 529 U.S. 513, 542-552.) The majority noted
that such rules do not implicate ex post facto concerns because they benefit each
side in a given case. (Carmell, supra, at pp. 533, fn. 23, 546.) However, both
before and after the Texas law changed, the victim’s testimony was competent and
admissible in a sexual assault prosecution. (Id. at p. 544.) The majority thus
could only infer that the amendment altered the “sufficiency” of such evidence to
meet the state’s burden of proof. (Id. at p. 545.) The majority stressed that such
postcrime changes always favor the prosecution, “because they always make it
easier to convict the accused.” (Id. at p. 546.)
20
Finally, Carmell, supra, 529 U.S. 513, rejected any suggestion that the
relevant ex post facto principles had been previously abandoned or disapproved.
The majority cited many high court decisions endorsing the fourth Calder
category. (Id. at p. 525.) The Carmell majority also noted (id. at pp. 537-538) that
Collins, supra, 497 U.S. 37, 42, embraced the complete four-part test in Calder,
supra, 3 U.S. (3 Dall.) 386, 390 (opn. of Chase, J.). Concluding that retroactive
application of the revised Texas law violated the fourth Calder category, the
majority reversed the convictions obtained in Carmell. (Id. at p. 553.)
It seems clear that Carmell neither concerns nor precludes amendments like
those at issue here. As we have seen, the proscribed retroactive change is one
affecting the criminal trial for the act subject to ex post facto protection. The
fourth Calder category, as approved in Collins, supra, 497 U.S. 37, 42, and
applied in Carmell, supra, 529 U.S. 513, 522, is limited on its face to amendments
reducing the quantum of evidence or otherwise easing the burden of proof required
to “convict” someone of a charged crime. (Calder, supra, 3 U.S. (3 Dall.) 386,
390 (opn. of Chase, J.).) At numerous points, Carmell indicates that convictions
in adult criminal court, and, presumably, their juvenile court counterparts,
represent the sole concern of this ex post facto rule. (Carmell, supra, 529 U.S. at
pp. 530, 531, 532, 533, 534, 538, 540, 541, 543, 545, 546, 547, 548, 549, 550,
551, 552 & fn. 35; see In re Winship (1970) 397 U.S. 358, 365-368 (Winship)
[drawing due process analogy between adjudicatory stage of juvenile delinquency
proceeding and adult criminal prosecution, and applying reasonable doubt
standard to any juvenile crime triggering conviction if committed by adult].)
Here, petitioners cannot show any impermissible procedural change
affecting the criminal acts at the heart of their ex post facto claim. Consistent with
statutory and due process requirements, the original section 602 adjudications
were obtained by “[p]roof beyond a reasonable doubt supported by evidence[ ]
21
legally admissible in the trial of criminal cases.” (§ 701; see Winship, supra, 397
U.S. 358, 368; Eddie M., supra, 31 Cal.4th 480, 487.) Indeed, no section 602
adjudication is “ ‘supportable’ ” unless this standard is met, whether pre- or post-
Proposition 21 law otherwise applies. (Carmell, supra, 529 U.S. 513, 517.) There
has been no reduction in the sufficiency of evidence or standard of proof needed to
find petitioners or any other juvenile guilty of a section 602 offense. Proposition
21 simply altered the rules for determining whether persons who are probationers
as the result of prior section 602 adjudications violated the terms of their
probation under section 777(a)(2).
We further reject any attempt to extend Carmell, and to apply the fourth
Calder category here. As discussed further below, section 777 proceedings do not
produce the equivalent of criminal “conviction[s]” under Carmell, supra, 529 U.S.
at page 530. When Proposition 21 added the preponderance and evidentiary
standards in section 777(c), it also limited section 777(a)(2) to alleged probation
violations “not amounting to . . . crime[s].” (Eddie M., supra, 31 Cal.4th 480, 491;
see id. at pp. 501-502 [Prop. 21 followed adult probation revocation procedures in
Pen. Code, § 1203.2].) Whatever the nature of the acts, section 777 cannot be
used to plead substantive crimes as such, to obtain new criminal adjudications, or
to increase sanctions imposed for the original section 602 offense. (Eddie M.,
supra, 31 Cal.4th at pp. 486, 501, 506-507; see id. at pp. 489-490 [before Prop. 21,
§ 777 operated much like § 602’s “new crime” procedure].) Hence, the
challenged amendments do not implicate Carmell, supra, 529 U.S. 513, insofar as
that case preserves the state’s duty to prove a charged crime beyond a reasonable
doubt by the evidence required when the act occurred. (Cf. Eddie M., supra, 31
Cal.4th at pp. 502-508 [juvenile probation violations need not be proven beyond a
reasonable doubt, and § 777(c)’s preponderance standard survives due process
22
scrutiny]; People v. Rodriguez (1990) 51 Cal.3d 437, 441-442 [same as to adult
probation violations].)
Moreover, petitioners’ insistence on evaluating the present proceedings
under Carmell, supra, 529 U.S. 513, seems inconsistent with their retroactivity
claim under Johnson, supra, 529 U.S. 694. Petitioners allegedly violated
probation after voters amended section 777 to include the procedural rules
challenged here. By complaining under Carmell, about the manner in which their
probation violations are litigated, petitioners arguably make such post-Proposition
21 misconduct the reference point of their ex post facto claim. However, as
implied by their reliance on Johnson, petitioners suffer no ex post facto violation
absent an impermissible retroactive change with respect to the section 602 crimes
committed before Proposition 21 took effect. It seems illogical for petitioners to
invoke Carmell, supra, 529 U.S. 513, while claiming to satisfy the retroactivity
component of an alleged constitutional violation.7

7 In
In re Melvin J., supra, 81 Cal.App.4th 742, the juvenile court found
probation had been violated under section 777, and committed the section 602
probationer to the Youth Authority. All events (i.e., crime, probation violations,
and section 602 and 777 proceedings) occurred before Proposition 21 amended
section 777. In a decision issued after Proposition 21 took effect, the Court of
Appeal determined that the juvenile court erred in not making certain findings
under former section 777. In addition, the appellate court remanded for a new
hearing under former section 777, because the new version of the statute — which
made the omitted findings unnecessary — could not be applied consistent with ex
post facto guarantees. In so holding, the court assumed that Proposition 21’s new
procedures related to the original crime and were retroactive under Johnson,
supra
, 529 U.S. 694, 701. (In re Melvin J., supra, 81 Cal.App.4th at p. 757 &
fn. 6.) Critical here is In re Melvin J.’s further conclusion that the section 777
amendments violated the fourth Calder category, as construed in Carmell, supra,
529 U.S. 513. To the extent In re Melvin J., supra, 81 Cal.App.4th 742, 756-760,
is inconsistent with this opinion, it is disapproved.
23


4. Calder/Punishment Claim
Petitioners also allude to the third Calder category, which concerns ex post
facto laws inflicting “greater punishment” than what was authorized when the
crime occurred. (Calder, supra, 3 U.S. (3 Dall.) 386, 390 (opn. of Chase, J.).)
The basic contention is that because section 777(c)’s new preponderance and
evidentiary standards increase the chance that the juvenile court will find a
probation violation and order a more restrictive placement, Proposition 21
retroactively increases punishment for the original section 602 crimes.
First and foremost, we reject the suggestion that Proposition 21’s new
procedures for modifying disposition under section 777 are themselves
punishment. As we have seen, an ex post facto violation does not occur simply
because a postcrime law withdraws substantial procedural rights in a criminal
case. (Collins, supra, 497 U.S. 37, 45-46.) Even new methods for determining a
criminal sentence do not necessarily involve punishment in the ex post facto sense.
(Lynce, supra, 519 U.S. 433, 447, fn. 17, foll. Dobbert v. Florida (1977) 432 U.S.
282, 292-294 [final decision on death penalty moved from jury to trial court,
subject to automatic appellate review].) Otherwise, the high court would have
retained the expansive principles that Collins, supra, 497 U.S. 37, disapproved.
There also would have been no need to revitalize the fourth Calder category in
Carmell, supra, 529 U.S. 513. If “punishment” increased whenever new standards
of proof and evidence disadvantaged a criminal offender, the third Calder category
would always apply, and the fourth category would be superfluous.
Contrary to what petitioners imply, the ex post facto clause regulates
increases in the “ ‘ “quantum of punishment.” ’ ” (Lynce, supra, 519 U.S. 433,
443, quoting Morales, supra, 514 U.S. 499, 508, italics added.) Although no
universal definition exists (Morales at p. 509), this concept appears limited to
substantive measures, standards, and formulas affecting the time spent
24
incarcerated for an adjudicated crime. For example, an ex post facto violation
occurs where laws setting the length of a prison sentence are revised after the
crime to contain either a longer mandatory minimum term (Lindsey v. Washington
(1937) 301 U.S. 397, 400), or a higher presumptive sentencing range (Miller,
supra, 482 U.S. 423, 432-433). Impermissible increases in punishment also have
been found where a new postcrime formula for earning gain-time credits
postpones an inmate’s eligibility for early release (Weaver, supra, 450 U.S. 24,
33), or where retroactive cancellation of overcrowding credits requires
reimprisonment of an inmate who has been freed. (Lynce, supra, 519 U.S. at
p. 445.)
However, not every amendment having “any conceivable risk” of
lengthening the expected term of confinement raises ex post facto concerns.
(Morales, supra, 514 U.S. 499, 508.) In Morales, a California law allowed the
parole board, after holding an initial hearing, to defer subsequent parole suitability
hearings up to three years for inmates convicted of multiple homicides, provided it
found parole was not reasonably likely to occur sooner. (Id. at p. 503.) Finding
no retroactive increase in punishment, the high court emphasized that there had
been no change in the applicable indeterminate term, in the formula for earning
sentence reduction credits, or in the standards for determining either the initial
date of parole eligibility or the prisoner’s suitability for parole. (Id. at p. 507.)
The court also observed that the statute, by its own terms, affected a small class of
prisoners not likely to be paroled, and allowed the board to shorten the time
between hearings based on the particular circumstances. (Id. at pp. 510-513.) At
bottom, no ex post facto violation occurred because the risk of longer confinement
was “speculative and attenuated” (id. at p. 509), and because the prisoner’s release
date was essentially “unaffected” by the postcrime change. (Id. at p. 513; cf.
Garner v. Jones (2000) 529 U.S. 244, 255 [concluding that new Georgia rule
25
allowing up to eight years between parole hearings for life prisoners did not
necessarily increase confinement, and remanding to determine whether rule
created “significant risk” of greater punishment “as applied” in that case].)
Here, any penal consequences attributable to petitioners’ section 602 crimes
are “unaffected” by the section 777 procedures that Proposition 21 introduced.
(Morales, supra, 514 U.S. 499, 513.) A brief look at the juvenile court’s
dispositional role under section 602 and section 777 illustrates the point.
For 20 years, the express purpose of the statutory scheme has been to
rehabilitate juvenile offenders while both protecting the public and holding the
person accountable for his misconduct. (§ 202, added by Stats. 1984, ch. 756, § 2,
p. 2726.) Thus, under both pre- and post-Proposition 21 law, a crime alleged and
sustained beyond a reasonable doubt under section 602 triggers broad discretion in
the juvenile court to order probation under various conditions, to keep the
probationer in the physical custody of a parent or guardian, or to declare the
probationer a court ward and to place him in one of several kinds of juvenile
facilities. (See §§ 202, subd. (e), 725, 726, 727, 730, 731, 734.) Whenever a
section 602 ward and probationer is removed from the custody of a parent or
guardian, the order must specify that physical confinement cannot exceed the
maximum term of imprisonment that could be imposed upon an adult convicted of
the same crime. (See §§ 726, subd. (c), 731, subd. (b).) The juvenile court may
aggregate terms of confinement for multiple section 602 counts or petitions,
including previously sustained petitions. (§ 726, subd. (c); see Eddie M., supra,
31 Cal.4th 480, 488-489.)
Before it was amended by Proposition 21, section 777 could be used in
different ways against section 602 wards and probationers. Specifically, between
1986 and 2000, officials could (1) allege a probation violation “not amounting to a
crime,” and seek a more restrictive placement than the one already in effect,
26
and/or (2) allege a probation violation “amounting to a crime” (i.e., a new section
602 offense), and seek the full range of consequences attending a new section 602
petition. (§ 777, former subd. (a)(2), as amended by Stats. 1986, ch. 757, § 5,
p. 2478; see Eddie M., supra, 31 Cal.4th 480, 489-490.)8 In either case,
jurisdictional hearings held under former section 777, as amended in 1986,
followed the same procedures as section 602 jurisdictional hearings, including
proof beyond a reasonable doubt supported by evidence admissible in criminal
trials. (See Arthur N., supra, 16 Cal.3d 226, 240; Cal. Rules of Court, former rule
1392(d)(1), adopted eff. July 1, 1977.)
In 2000, of course, Proposition 21 deleted the reference to probation
violations “amounting to . . . crime[s]” from section 777(a)(2), and adopted the
procedures challenged here. (See § 777(c).) Proposition 21 thereby ended use of
the statute to plead and prove probation violations as crimes, and to increase the

8
The version of section 777 in effect when Proposition 21 became law
provided, in part, as follows: “An order changing or modifying a previous order
by [dictating a more restrictive placement] . . . shall be made only after noticed
hearing upon a supplemental petition. [¶] (a) The supplemental petition shall be
filed as follows: [¶] . . . [¶] (2) By the probation officer or the prosecuting
attorney, after consulting with the probation officer, if the minor is a court ward or
probationer under Section 602 in the original matter and the supplemental petition
alleges a violation of a condition of probation not amounting to a crime. The
petition shall contain a concise statement of facts sufficient to support the
conclusion that the previous disposition has not been effective in the rehabilitation
or protection of the minor. The petition shall be filed by the prosecuting attorney,
after consulting with the probation officer, if a minor has been declared a ward or
probationer under Section 602 in the original matter and the petition alleges a
violation of a condition of probation amounting to a crime. The petition shall
contain a concise statement of facts sufficient to support the conclusion that the
previous disposition has not been effective in the rehabilitation or protection of the
minor.” (Stats. 1989, ch. 1117, § 18, p. 4127.)
27


maximum period of confinement for crimes previously adjudicated under section
602. (Eddie M., supra, 31 Cal.4th 480, 486, 501, 507.)
However, no other drastic change in the court’s dispositional role occurred
when Proposition 21 amended section 777. After finding a probation violation
and considering any other evidence bearing on disposition, the juvenile court
crafts an order that promotes rehabilitation, public safety, and accountability under
section 202 — aims the voters explicitly reaffirmed under Proposition 21.
(Eddie M., supra, 31 Cal.4th 480, 500, 507.) In addition, the court selects the
appropriate disposition from the same array of statutory options available both
before Proposition 21 took effect and when the section 602 offense was
adjudicated. Thus, under post-Proposition 21 law, the dispositional order in a
section 777 proceeding may make little or no change in probationary terms and
placement. (See, e.g., In re Emiliano M. (2003) 31 Cal.4th 510, 513-514.) Or it
may involve a more restrictive placement of the kind that has long been used, and
could have been employed, upon appropriate findings, at the outset of the case.
(See, e.g., Eddie M., supra, 31 Cal.4th at pp. 492-493.)9

9
Between 1961 and 1986, former section 777 permitted a more restrictive
placement where any circumstance — new crime, probation violation, or other
state of facts — showed that “the previous disposition has not been effective in the
rehabilitation” of the person. (Id., former subd. (a), added by Stats 1961, ch. 1616,
§ 2, p. 3460; see In re Michael B. (1980) 28 Cal.3d 548, 552-553.) The quoted
phrase remained in the statute when it was otherwise amended in 1986 to cover
“[probation] violation[s]” either “amounting to a crime” or “not amounting to a
crime.” (§ 777, former subd. (a)(2), as amended by Stats. 1986, ch. 757, § 5,
p. 2478.) In addition to the changes we have already described, Proposition 21
deleted language from section 777(a)(2) concerning the “effective[ness]” of the
previous disposition with respect to rehabilitation. However, as Proposition 21
voters otherwise made clear, rehabilitation continues to be a core concern of
proceedings under section 777, including any new placement ordered thereunder.

28


Furthermore, both before and after Proposition 21, a change in placement
under section 777 need not follow any particular order, including from the least to
the most restrictive. The juvenile court also does not necessarily abuse its
discretion by ordering the most restrictive placement under section 777 before
other options have been tried. (Eddie M., supra, 31 Cal.4th at pp. 507, 508.)
Similar principles have long guided section 602 dispositional proceedings. (Id. at
pp. 488, 507.)10
In sum, the challenged amendments merely enhance the juvenile court’s
opportunity to exercise authority and discretion similar to what it possessed in
both the original section 602 proceeding and under section 777, in its pre-
Proposition 21 form. Proposition 21 created no mandatory term or level of
confinement for probation violations found under section 777(a)(2). Nor do such
proceedings increase either the maximum length of confinement or the maximum
level of restraint over those initially permissible for the section 602 crime itself.
Accordingly, we see no “significant risk” that Proposition 21’s new rules for

10
Many years have passed since juvenile courts lacked such flexibility under
sections 602 and 777. Before current section 202 was enacted in 1984, its
predecessors favored juvenile court treatment “in [the person’s] own home.”
(Former § 202, added by Stats. 1976, ch. 1068, § 1.5, p. 4741, and repealed by
Stats. 1984, ch. 756, § 1, p. 2726; former § 502, added by Stats. 1961, ch. 1616,
§ 2, p. 3460, and repealed by Stats. 1976, ch. 1068, § 14, p. 4781.) Until this
preference was removed from the statutory scheme, persons within the juvenile
court’s jurisdiction under section 602 received the most lenient disposition
initially, and experienced more restrictive placements incrementally, after less
restrictive options were tried. (See Arthur N., supra, 16 Cal.3d 226, 237, citing In
re Aline D
. (1975) 14 Cal.3d 557, 564; In re Donna G. (1970) 6 Cal.App.3d 890,
894 [removal from parental custody is “last resort”].) Hence, under this older,
more rigid approach, new placements ordered for section 602 wards and
probationers under section 777 were deemed primarily punitive, and were
necessarily more restrictive than what could have been ordered earlier in the
proceedings. (Eddie M., supra, 31 Cal.4th 480, 507, fn. 16.)
29


conducting section 777 hearings will increase punishment for petitioners’ pre-
Proposition 21 crimes. (Garner v. Jones, supra, 529 U.S. 244, 255.)
Petitioners insist that under Arthur N., supra, 16 Cal.3d 226, the juvenile
court aggravates punishment whenever it orders a more restrictive placement
under section 777(a)(2). We are asked to find an ex post facto violation insofar as
Proposition 21 increases the chance of such an outcome for probation violators
whose section 602 crimes predated the statutory change. We reject the claim.
In Arthur N., supra, 16 Cal.3d 226, 229-230, the juvenile court sustained a
robbery allegation under the pre-1986 version of section 777, and committed the
section 602 ward and probationer to the Youth Authority. This court found a due
process violation insofar as the robbery was not adjudicated under a reasonable
doubt standard of proof. We reasoned that no juvenile could be confined for
violating the criminal law “ ‘on proof insufficient to convict him were he an
adult.’ ” (Arthur N., supra, 16 Cal.3d at p. 240, quoting Winship, supra, 397 U.S.
358, 367.) In the process, Arthur N. declined to analogize section 777 hearings to
proceedings in which adult probation violations are found by a preponderance of
the evidence, and in which revocation triggers the prison sentence imposed for the
original conviction. Arthur N. explained that “while the adult whose probation is
revoked may not be subjected to any greater punishment than that provided for the
original offense, a juvenile adjudged a [section 602 ward may be] . . . subjected to
increasingly severe and restrictive custody which exceeds that which would have
been permissible initially.” (Arthur N., supra, 16 Cal.3d at p. 237.) The Arthur N.
court was similarly concerned (id. at p. 239) that the length of confinement under
section 777 was not “proportionate” to the original section 602 crime.
However, as Eddie M., supra, 31 Cal.4th 480, explained in rejecting
Arthur N.’s due process rule concerning the reasonable doubt standard, subsequent
changes in statutory law have undermined the reasoning of that case. Arthur N.,
30
supra, 16 Cal.3d 226, 237, based its concern with “greater punishment” on the
assumption that new crimes could be pled and proved under section 777 — a
practice ended by Proposition 21. In a related vein, the rule requiring the juvenile
court to calculate the maximum period of confinement for the original section 602
offense was added, and then refined, shortly after Arthur N. was decided. (§ 726,
subd. (c), added by Stats. 1976, ch. 1071, § 29, p. 4827, and amended by Stats.
1977, ch. 1238, § 1, p. 4158, eff. Oct. 1, 1977.) This feature ensures that
confinement is proportionate to the original crime, and prevents section 777 from
having any contrary effect. (Eddie M., supra, 31 Cal.4th at pp. 506, 508.)
Furthermore, the statutory scheme no longer requires that placement
alternatives run from the least to the most restrictive, and that they be “ratcheted
up” gradually based on the person’s behavior at earlier levels. The juvenile court
has broad discretion at disposition to implement the priorities in section 202 — a
statute codified after Arthur N. was decided. We cannot assume that any new
placement ordered under section 777 necessarily exceeds what was permissible
before. (Eddie M., supra, 31 Cal.4th at pp. 488, 507, 508.) For these reasons, we
find no ex post facto increase in punishment for petitioners’ section 602 crimes.
31
III. CONCLUSION
Section 777, as amended by Proposition 21, can be applied to petitioners
without offending ex post facto principles. The judgment of the Court of Appeal
is affirmed.
BAXTER, J.
WE CONCUR:

GEORGE, C.J.
KENNARD, J.
WERDEGAR, J.
CHIN, J.
BROWN, J.
MORENO, J.


32
See next page for addresses and telephone numbers for counsel who argued in Supreme Court.

Name of Opinion John L. V. Superior Court
__________________________________________________________________________________

Unpublished Opinion


Original Appeal
Original Proceeding
Review Granted
XXX 88 Cal.App.4th 715
Rehearing Granted

__________________________________________________________________________________

Opinion No.

S098158
Date Filed: June 17, 2004
__________________________________________________________________________________

Court:

Superior
County: San Diego
Judge: John L. Davidson, Judge and William R. McAdams, Referee

__________________________________________________________________________________

Attorneys for Appellant:

Steven J. Carroll, Public Defender, Matthew Braner, Gary Nichols and Jo Pastore, Deputy Public
Defenders, for Petitioner John L. and for Real Parties in Interest Matthew F. and Jonathan G.

__________________________________________________________________________________

Attorneys for Respondent:

Paul J. Pfingst and Bonnie M. Dumanis, District Attorneys, Thomas F. McArdle and Peter J. Cross, Deputy
District Attorneys, for Petitioner and for Real Party in Interest the People.

No appearance for Respondent.


33

Counsel who argued in Supreme Court (not intended for publication with opinion):

Matthew Braner
Deputy Public Defender
233 “A” Street, Suite 500
San Diego, CA 92101-4009
(619) 338-4700

Peter J. Cross
Deputy District Attorney
330 West Broadway, Suite 920
San Diego, CA 92101
(619) 531-3573

34


Opinion Information
Date:Docket Number:
Thu, 06/17/2004S098158

Parties
1L., John Dennis (Petitioner)
Represented by Matthew Curt Braner
Deputy Public Defender, San Diego County
233 A Street, Suite 500
San Diego, CA

2L., John Dennis (Petitioner)
Represented by Jo Pastore
Deputy Public Defenders County of San Diego
8525 Gibbs Drive, Suite 105
San Diego, CA

3Superior Court Of San Diego County (Respondent)
4The People (Real Party in Interest)
Represented by Peter John Cross
Deputy District Attorney
330 W. Broadway, Suite 920
San Diego, CA

5The People (Real Party in Interest)
Represented by Attorney General - San Diego Office
P.O. Box 85266
P.O. Box 85266
San Diego, CA

6F., Matthew (Real Party in Interest)
Represented by Appellate Defenders, Inc.
233 A Street, 13th Floor
233 A Street, 13th Floor
San Diego, CA

7F., Matthew (Real Party in Interest)
Represented by Jo Pastore
Deputy Public Defenders County of San Diego
8525 Gibbs Drive, Suite 105
San Diego, CA

8G., Jonathan (Real Party in Interest)
Represented by Jo Pastore
Deputy Public Defenders County of San Diego
8525 Gibbs Drive, Suite 105
San Diego, CA


Disposition
Jun 17 2004Opinion: Affirmed

Dockets
Jun 4 2001Petition for review filed
  in San Diego by attorney for John Dennis L., Matthew F. and Jonathan G. (petitioner and RPI's).
Jun 7 2001Received Court of Appeal record
  D035995 - file jacket & loose briefs D036142 - file jacket
Jul 6 2001Received Court of Appeal record
  One manila jacket D036290
Jul 18 2001MPetition for Review Granted (criminal case)
  votes: GCJ,Ken,Bax,Wer,Chi,Brn JJ.
Aug 3 2001Application for Extension of Time filed
  by counsel for Petnr/RPIs (minors) to file opening brf on the merits, to 9-16. ***perm gtd, ord being prep.
Aug 8 2001Extension of Time application Granted
  to 9-17-01 for petnr & RPIs (minors) to file the opening brief on the merits.
Sep 17 2001Opening brief on the merits filed
  by counsel for petnr John L. and RPIs Matthew F. & Jonathan G. (in companion cases)
Oct 15 2001Answer brief on the merits filed
  by RPI the People
Oct 29 2001Application for Extension of Time filed
  counsel for Petitioner and Real Parties in Interest request 30-day extension of time to December 4, 2001 to file reply brief. *** granted*** order being prepared
Oct 31 2001Received letter from:
  District Attorney/San Diego dated 10/26/2001 enclosing errata pages to Answer Brief on the Merits
Nov 6 2001Extension of Time application Granted
  Petitioner and Real Parties time to serve and file the reply brief is extended to and including December 4, 2001.
Dec 4 2001Reply brief filed (case fully briefed)
  by counsel for petnr John L. and RPIs Matthew F. & Jonathan G. (in companion cases)
Sep 25 2002Filed letter from:
  Matthew Braner, counsel for petnr, re possible oral arg. scheduling
Oct 29 2003Supplemental letter briefs requested
  Simultaneous letter briefs due by 11-10-03. Replies due 11-20-03.
Nov 10 2003Supplemental brief filed
  by petitioner (in S.D.)
Nov 10 2003Supplemental brief filed
  by RPI the People (in S.D.)
Nov 19 2003Supplemental brief filed
  (reply) by RPI
Nov 20 2003Supplemental brief filed
  (reply) by petnr
Mar 10 2004Case ordered on calendar
  4-6-04, 2pm, L.A.
Apr 6 2004Cause argued and submitted
 
Jun 17 2004Opinion filed: Judgment affirmed in full
  Majority opinion by Baxter, J. ----------joined by George, C.J., Kennard, Werdegar, Chin, Brown, Moreno, JJ.
Jul 21 2004Remittitur issued (criminal case)
 

Briefs
Sep 17 2001Opening brief on the merits filed
 
Oct 15 2001Answer brief on the merits filed
 
Dec 4 2001Reply brief filed (case fully briefed)
 
If you'd like to submit a brief document to be included for this opinion, please submit an e-mail to the SCOCAL website