Posts Tagged ‘Dr. DUI’

LAPD DUI Arrest Policy and Procedures from DR. DUI Okorie Okorocha

Monday, April 19th, 2010

343. UNDER ‑ THE ‑ INFLUENCE DRIVERS.

343.10 DRIVING ‑ UNDER ‑ THE ‑ INFLUENCE ARRESTS. An arrest for driving under the influence shall be made when:

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An officer witnesses a person commit the elements of driving while under the influence; or,
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The under‑the‑influence driver was lawfully detained by an officer of this or another law enforcement agency; or,
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The under‑the‑influence driver was lawfully arrested or detained by a private person who witnessed the driving element of the offense.

An arrest may be made for 23152(a) VC per authority of 40300.5 VC when a traffic collision has occurred but the arresting officer did not witness driving, when:

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The arresting officer has reasonable cause to believe that a person involved in the traffic collision was driving a vehicle while under the influence of intoxicating liquor, or the combined influence of intoxicating liquor and any drug; and,
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The arrest is effected as a continuous uninterrupted portion of the investigation.

Note: The arrest shall be limited to the location of the traffic collision or the location of any timely follow‑up investigation.

The element of being under‑the‑influence shall be based on the objective symptoms observed by the arresting officer. Results of other examinations shall be corroborative evidence only.

343.20 SOBRIETY EXAMINATION. The physical phases of the sobriety examination shall be given when an under‑the‑influence driver is able and willing to perform them and, when practicable, shall be conducted at the scene of the incident in the presence of witnesses.

A sobriety examination, as per Form 05.02.05, shall be completed when an officer:

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Arrests a person whom he/she witnesses commit the elements of driving while under the influence; or,
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Arrests a driver suspected of being intoxicated who was lawfully arrested or detained by another peace officer or a private person (Manual Section 4/343.10); or,
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Is investigating a suspect for driving‑under‑the‑influence; or,
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Is investigating a traffic collision and an involved driver displays any objective symptoms of being under‑the‑influence, regardless of whether the driver is arrested.

When a suspected under‑the‑influence driver refuses to submit to a field sobriety test, the investigating officer shall, read the Field Sobriety Test Admonition to the driver.
343.25 DRIVING – UNDER – THE – INFLUENCE (DUI) DRUG ARREST PROCEDURES.

Arresting Officer’s Responsibility. When an arrest is made for driving under‑the‑influence of drugs or combination of drugs and alcohol, the arresting officer shall:

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Admonish the arrestee regarding a chemical test as per the Chemical Test Admonition on the DUI Arrest Report, Form 05.02.05.
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Administer a chemical test to the arrestee.

Note: Whenever possible, a breath test should be administered to determine alcohol intoxication.

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If the breath test is obtained and the results are .08% or higher, book the arrestee for Section 23152(a) (DUI) V.C. When the results are below .08%, complete the following:
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Read to the arrestee verbatim the Drug Admonition from the DUI Arrest Report.
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Obtain a urine or blood sample from the arrestee.

Note: If urine is the only chemical examination administered, officers shall obtain the first void for possible detection of drugs, and the second void for the possible detection of alcohol. Both samples shall be marked accordingly and booked as evidence.

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If the breath test is obtained and the results are .30% or higher, the arrestee shall be examined by medical personnel pursuant to Manual Section 4/648.17.
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Request a Drug Recognition Expert (DRE) or, if none available, a Narcotics Expert.
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If an on‑duty DRE or Narcotics Expert is not available within the concerned bureau, the arresting officer shall obtain an MT for the arrestee and request the examining physician to include an opinion regarding objective symptoms and possible drug ingestion.

Exception: If a traffic death or traffic felony arrest is involved and a DRE or Narcotics Expert is not available within the concerned bureau, the arresting officer shall contact Communications Division and request an on‑duty DRE or Narcotics Expert from anywhere in the City. If no on‑duty DRE or Narcotics Expert is available, the officer shall contact the Administrative Unit, Detective Support and Vice Division, and request that an off‑duty DRE be dispatched.

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When applicable, include the Drug Influence Evaluation Form (completed by an expert) as a page of the arrest report.

Drug Recognition Expert (DRE)/Narcotics Expert’s Responsibility. A DRE or Narcotics Expert is responsible for evaluating and rendering an opinion of the drug influence of DUI Drug arrestees. As part of that examination, the expert shall:

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Advise the arresting officer of any additional tests required.
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Determine if an MT is needed.
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Complete the Drug Influence Evaluation Form.
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Enter a brief description of the findings and the examining officer’s name and serial number in the Remarks Section of the Booking Approval, Form 12.31.00.

Note: If during a drug evaluation, the expert determines that he/she is not qualified to render an opinion, the watch commander approving the booking shall determine if another expert should be called.
343.28 ADMINISTRATIVE PER SE ORDER OF SUSPENSION.

343.30 ARRESTING OFFICER’S RESPONSIBILITY. An officer making an arrest for driving-under-the-influence (DUI) shall complete a DUI arrest report in the usual manner and confiscate the California driver’s license of the arrestee when the arrestee:

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Refuses to submit to and complete a chemical test; or

Note: The Chemical Test Admonition portion must be read to the arrestee in its entirety, even when the arrestee refuses to submit to or complete a chemical test.

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Takes a breath test which shows a blood alcohol concentration (BAC) level of .08 percent or more; or,
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Takes a urine or blood test and the officer believes that subsequent test results will show that the driver is at or above a blood alcohol concentration of .08 percent.

Note: Out-of-state/foreign licenses are not included under California law and cannot be confiscated.

Upon completion of the DUI arrest report and confiscation of the arrestee’s California driver’s license, the arresting officer shall complete:

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A Department of Motor Vehicles (DMV) Officer’s Statement, Form DS367, and write the arrestee’s booking number in the upper right corner; and,
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A DMV Administrative Per Se Order Of Suspension/Revocation Temporary License Endorsement, Form DS360.

Upon approval of the DUI arrest report and Administrative Per Se documentation, officers shall:

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Attach page two of the DMV Form DS360 to the DUI arrest report;
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Issue page three of the DMV Form DS360 to the arrestee; and,
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Mail the original Form DS367; page one of the Form DS360; the arrestee’s original California Driver License; and Intoxicator EC/IR Operator Checklist, Form 05.20.07, to the DMV location which corresponds with the geographic bureau of arrest.

Note: The law requires that all reports and forms be received by DMV within five working days of the date of arrest.

Page two of the DMV Form DS360, issued to the arrestee, will serve as a temporary driver’s license for 45 days from the date of arrest for an arrestee with a valid California Driver License in his or her possession. Once the arrestee’s driver’s license has been confiscated, the arrestee will have 10 days to request a DMV hearing. Failure by the arrestee to request a hearing will result in an automatic suspension of the arrestee’s California Driver License.

Exception: The arresting officer shall check the “No Temporary License Issued” box on the DMV Form DS360, and complete the explanation why no temporary license was issued, if:

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The arrestee has an out-of-state/foreign driver license; or,
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The arrestee has not been issued a valid California Driver License; or,
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The arrestee’s California Driver License is suspended, revoked, or not in possession.

Packaging Blood or Urine Samples. If an arrestee chooses a blood or urine test, the arresting officer shall follow procedures described in Manual Sections 4/343.40 or 4/343.42. Additionally, the arresting officer shall complete the top half of the DMV Form, DS367A, and mail all three copies of the form to Scientific Investigation Division.

Supervisor’s Responsibility. Supervisors approving DUI arrest reports shall ensure that arresting officers have complied with Administrative Per Se procedures (23158.5 VC), when applicable.

343.33 INDEPENDENT TEST BY QUALIFIED PERSON. When qualified persons appear at the place of confinement by requests of the prisoner (Manual Sections 4/658.12 and 4/658.17) or other person, for the purpose of obtaining a breath, blood, or urine sample, they shall be permitted to do so upon consent of the prisoner.

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Only a duly licensed doctor, laboratory technologist, bioanalyst, or registered nurse shall be permitted to withdraw a sample of the arrestee’s blood. This limitation shall not apply to the taking of breath or urine specimens;
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The doctor must be a physician or surgeon (M.D. or osteopath) licensed to practice in the State of California. If there is a question as to the identification of the doctor, Detective Support and Vice Division shall be called to see if the doctor is listed in the Directory of the State Board of Osteopathic Examiners;
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The laboratory technologists or bio‑analysts must be licensed to practice in the State of California. If there is a question as to their identification, Detective Support and Vice Division shall be called to see if they are listed in the Department of Public Health directory for licensed laboratory technologists and bioanalysts; and,
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The registered nurse must be licensed to practice in the State of California and must perform the blood extraction under the supervision or at the immediate direction, of a doctor.

A Follow‑Up Report, Form 03.14.00, shall be used, by the officer having custody of the prisoner, to record:

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The time the telephone call was made by or for the prisoner;
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The time the person arrived at the place of confinement and requested to see the prisoner;
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The person’s name, address, and telephone number, including business office address and telephone number;
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The time the sample was taken;
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The amount of blood taken as stated by the person;
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The names and serial numbers of the officers witnessing the telephone call and the taking of the breath, blood, or urine sample;
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The name of the doctor employing or supervising the registered nurse; and,
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Any other appropriate information.

343.36 CHEMICAL TEST ADMONITIONS. Prior to administering a chemical test to a driving‑under‑the‑influence arrestee, the Chemical Test Admonition (23157 VC) section of the Driving‑Under‑ The‑Influence Arrest Report, Form 05.02.05, shall be read to the arrestee. The name and serial number of the admonishing officer shall be entered in the space provided in this section.

Note: The Chemical Test Admonition (23157VC) (Spanish) contained in the Los Angeles Police Department Citation Guide, Form 16.65.00, shall be read to Spanish speaking driving‑under‑the‑influence arrestees, by an officer fluent in, and capable of, testifying in Spanish.

After a breath test, if the arrestee is suspected of driving under the influence of alcohol, the Additional Chemical Test Admonition (23157.5 VC) section of the Driving‑Under‑The‑Influence Arrest Report shall be read to the arrestee. The name and serial number of the admonishing officer shall be entered in the space provided in this section. If drug use is suspected, the Drug Admonition of the Driving‑Under‑The‑Influence Arrest Report shall be read to the arrestee instead of the Additional Chemical Test Admonition. The name and serial number of the admonishing officer shall be entered in the space provided in this section.
343.38 BREATH TEST.

Use of Equipment. Breath‑testing equipment is located at Metropolitan Jail Section (Parker Center), Valley Headquarters Building, 77th Street Jail Section, and all geographic Areas except Central, Newton Street, Hollenbeck, and Rampart Areas. Operation of the breath‑testing equipment shall be restricted to personnel who have been trained in its use. Arresting officers not trained in the use of the breath‑testing equipment shall ensure that the examination is administered by an officer trained in its use.

An Intoximeter EC/IR Operator Check List, Form 05.20.07, shall be completed each time the Intoximeter EC/IR is set up for a test and for each subject to whom a test is administered.

Note: Breath‑testing equipment may be used as an investigative aid in driving‑under‑ the‑influence arrests involving narcotics, non‑narcotic drugs, or dangerous drugs, or for other purposes at the discretion of the concerned watch commander.

Watch commanders shall ensure that breath‑testing equipment receives timely calibration by qualified personnel.

Administering Test. Prior to administering the test, the testing officer shall observe the subject for a 15‑minute period, during which the subject shall not have eaten, drunk, smoked, regurgitated, or vomited.

Note: If the subject regurgitates, vomits, eats, drinks, or smokes between samplings, the pre-testing observation shall be repeated.

At least two breath samples shall be collected. (No waiting period is required between samples.) If the readings of the two samples vary more than .02 percentage points, additional samples shall be collected until the results of any two samples are within .02 percentage points. If five samples have been collected and the test is not complete (two samples, within .02 percentage points), the officer shall direct the subject to submit to either a blood or urine test. Failure to complete a test shall be deemed a “refusal.”

Note: Arrestees who obtain a EC/IR reading of .30 percent or higher shall be examined by medical personnel pursuant to Manual Section 4/648.17

Recording Results. The EC/IR test tape shall be separated from the machine only when:

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The test is completed (two samples, within .02 percentage points); or,
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Five samples have been collected and the test is not completed.

The date/time stamp shall be applied on the front of the test tape with each sample, and the time of each sampling shall be recorded.

Note: The date/time stamp and the required entries shall not cover any portion of the test results.

The EC/IR test tape shall be stapled to the EC/IR Check List on the space provided. The staple shall be positioned in a manner that will not interfere with reading the test results. When the test tape is longer than the Check List, the tape shall be folded in a manner that will not interfere with reading the test results.

The Intoximeter EC/IR Operator Check List shall be completed by the administering officer and:

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Attached to the Arrest Report; or,
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Submitted with the officer’s DFAR and a DUI Arrest Report, Form 05.02.05, when no arrest report is completed.

343.40 BLOOD TEST.

Criteria for Requesting. A blood sample may be requested in the following situations:

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The arrestee indicates a willingness to submit to a blood test incidental to the arrest; or,
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The arrestee is in custody for a felony and the level of intoxication would be an essential element in the alleged violation; or,
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The arrestee is unconscious or is so impaired and is unable to consent to a chemical test. When such a condition exists, the following steps shall be taken in order to determine if the arrestee is a hemophiliac or a heart patient possibly using anticoagulant medication:
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Check for medical information on the arrestee’s person such as a “Medic Alert” bracelet or necklace, or any other item indicative of the arrestee’s medical background;
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If a relative or a friend of the arrestee is present who can provide information about the arrestee’s medical condition, record the name, the relationship to the arrestee, and the statements of that person in the arrest report; and,
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Inform the attending physician of all information in the officer’s possession which may have a bearing on the arrestee’s physical condition.

Requesting Forced Blood Sample Withdrawal. A forced blood sample may be obtained from an arrestee only when all of the following conditions have been met:

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The arrestee is in custody for a felony traffic offense where the injury occurred to a person other than the arrestee; and,
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Intoxication is an essential element of the alleged violation; and,
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The arrestee refuses to voluntarily submit to any of the available chemical tests; and,
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Prior approval from a traffic supervisor has been obtained; and,
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A traffic or patrol supervisor is present at the medical facility (e.g., jail dispensary, contract hospital, etc.) to witness the withdrawal of blood from the suspect.

Note: The name and serial number of the approving supervisor and the supervisor present during the forced blood withdrawal, if different from the approving supervisor, shall be written in the arrest report.

Exception: An arrestee whose medical condition prohibits a blood sample from being taken shall not be forced to submit to a blood test.

Traffic Division Supervisor’s Responsibility. Upon being advised of a request for a forced blood withdrawal, the concerned traffic division supervisor shall determine if the criteria for forced blood withdrawal is met. The approving supervisor, if readily available, should be the supervisor present during the procedure.

The supervisor who is present at the scene of a forced blood withdrawal where the use of force becomes necessary shall ensure that the use-of-force investigation is conducted by a non-involved supervisor.

Requesting Withdrawal. Whenever a blood sample is to be obtained from an arrestee, the arresting officer shall direct a Request for Withdrawal of Blood, Form 04.35.00, to any of the following hospital personnel:

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Physician.
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Registered nurse.
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Licensed clinical laboratory technologist.
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Licensed clinical bio‑analyst.

Physician or Hospital Employee Refusal. When a physician or hospital employee authorized by Vehicle Code Section 23158 VC refuses to withdraw a blood sample, the officers having custody of the arrestee shall request a supervisor to respond to their location. Upon arrival, the responding supervisor shall:

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Become familiarized with the situation including a determination that the arrest and officer’s actions conformed with Department policy;
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Verify the refusal by the hospital employee to withdraw blood; and,
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Attempt to contact an administrator of the hospital who may advise the refusing employee as to responsibilities according to the contract provisions of the hospital, to the City.

When the employee still refuses to withdraw a blood sample, the supervisor shall then request the arrestee to submit to one of the other two remaining chemical tests. When the arrestee refuses the other tests, the supervisor shall advise the officers to complete the appropriate arrest report, including a notation regarding the absence of a chemical test.

Note: If a hospital employee refuses to withdraw a blood sample and the arrestee declines the remaining tests, the arrestee may be transported to a Jail Division Dispensary to obtain the blood sample.

After the arrestee is booked and all appropriate reports are completed, the concerned supervisor and officers shall each complete an Employee’s Report, Form 15.07.00, recording all pertinent information regarding the refusal to withdraw blood. The completed Employee’s Reports shall be forwarded through channels to Detective Support and Vice Division-Attention Medical Evaluation Unit.

Obtaining and Packaging. The withdrawal of all blood samples shall be witnessed by the requesting officer. Officers obtaining blood samples for alcohol or drug analysis shall, in addition to following the procedures outlined on the Analyzed Evidence To Be Refrigerated Envelope, Form 12.51.01, place the defendant’s booking number above the officer’s serial number when completing the Sealed Evidence Label. If there is no arrestee, the DR number shall be placed in the space above the booking officer’s serial number. When there is more than one suspect and a DR number is used, both the DR number and the last name of the suspect shall be used.

Officers obtaining whole blood samples from hospital employees for other than alcohol or drug analysis shall:

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Tilt the vial slowly and gently for approximately twenty seconds to ensure the preservative in the vial mixes with the blood;
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Complete the label on the vial with the suspect’s name, the DR number, and the booking officer’s initials;
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Check the “Blood Grouping” box on the Analyzed Evidence To Be Refrigerated Envelope, and complete all other applicable reports;
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Place the vial in the Analyzed Evidence Envelope and seal the envelope with a Sealed Evidence Label bearing the date and DR number and the officer’s payroll signature and serial number signed in ink; and,
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Affix the Biohazard Label to the upper left corner of the front of the Analyzed Evidence To Be Refrigerated Envelope.

Supervisor Approving. The supervisor approving the booking of the sample shall inspect the sample vial or container label to ensure that the required identifying information is included.

Booking. Whole blood samples shall be booked in the SID courier refrigerated temporary storage locker most convenient for the booking employee. The SID courier shall be responsible for transporting items to be analyzed to SID.
343.42 URINE TEST.

Location Obtained. A urine sample shall be obtained from a male arrestee at the booking location, and from a female at:

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Female Jail Unit, Valley Section, when arrested in West Los Angeles, Pacific, or the Valley Areas; and,
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The Area of arrest, when arrested in the metropolitan area.

Administering Test. An officer or detention officer of the same sex as the arrestee shall:

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Escort the arrestee to an appropriate restroom facility;
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Instruct the arrestee that he/she must empty his/her bladder;
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Remain present while the arrestee empties his/her bladder;
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Wait twenty minutes, or as soon as possible thereafter, before attempting to collect a urine sample;
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Provide the arrestee with a pretreated urine sample container;
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Ensure that the container is not rinsed prior to sample collection;
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Remain present while the arrestee provides a urine sample; and,
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Ensure that the label identifying the chemist responsible for preparation of the container is not removed.

Note: A protective glove shall be worn when handling a urine sample.

The Driving‑Under‑the‑Influence Arrest Report (Continuation), Form 05.02.05, shall indicate:

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The time the bladder of the arrestee was first emptied,
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The time the urine sample was collected, and,
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The name of the employee who administered the urine test.

Note: When an arresting officer becomes aware that an arrestee has emptied his/her bladder after coming into the custody of the officer, the twenty‑minute waiting period shall begin at the time the bladder was first emptied. The time and circumstances of the emptying shall be recorded on the Driving‑Under‑the‑Influence Arrest Report (Continuation), Form 05.02.05.

Booking Sample. The officer booking a urine sample shall:

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Ensure that the lid is placed tightly on the container;
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Place a completed Sealed‑Evidence Label on the side of the container, and place the defendant’s booking number above the officer’s serial number when completing the Sealed‑Evidence Label. If there is no arrestee, the DR number shall be placed in the space above the booking officer’s serial number. When there is more than one suspect and a DR number is used, both the DR number and the last name of the suspect shall be used;
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Complete the Analyzed Evidence To Be Refrigerated Envelope, Form 12.51.01, and check the appropriate box, “Alcohol Analysis” or “Drug Analysis;”
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Place the container in the Analyzed Evidence Envelope;
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Seal the flap of the envelope with a completed Sealed Evidence Label; and,
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Affix the Biohazard Label to the upper left corner of the front of the Analyzed Evidence Envelope.

Alcohol and/or opiate urine samples shall be booked in the SID courier refrigerated temporary storage locker most convenient for the booking employee. The SID courier shall be responsible for transporting items to be analyzed to SID.

Supervisor Approving. The supervisor approving the booking of the sample shall inspect the sample vial or container label to ensure that the required identifying information is included.

343.57 REFUSAL TO SUBMIT TO OR COMPLETE CHEMICAL TEST – NOTIFICATION TO DMV. When a person who has been arrested for operating a motor vehicle while under the influence of intoxicating liquor and/or drugs refuses to submit to or complete a chemical test, the arresting officer shall mark the left margin of the related Driving‑Under‑The‑Influence Arrest Report, “Copy to Bureau Traffic Division Auditor.”

343.60 DRIVING ‑ UNDER ‑ THE ‑ INFLUENCE ARREST-OFFICER REPORTING. When an arrest is made for any offense committed while driving a vehicle under the influence of alcohol and/or drugs, one officer shall normally complete the report and be prepared to testify regarding all phases of the arrest. That officer’s name shall be placed in the upper portion of the “Reporting Officer’s” box on page 1 of the Arrest Report and in the appropriate boxes of Form 05.02.05.

343.65 MISDEMEANOR TRAFFIC COLLISION RELATED DRIVING ‑ UNDER ‑ THE ‑ INFLUENCE BOOKINGS. When an arrestee involved in a traffic collision is booked for driving under the influence (23152(a) VC) the officer responsible for completing the arrest and traffic collision reports shall cause the arrest report and a copy of the traffic collision report to be submitted together at the location of booking for processing and distribution.

Exception: When the arrestee is booked into the Los Angeles County‑USC Medical Center jail ward or Los Angeles County Jail, the reports shall be submitted to the approving supervisor at the Communications Division Telephonic Report Counter, Parker Center.

Note: Records unit personnel shall ensure that one copy of the Traffic Collision Report is forwarded, with the copies of the DUI arrest report, to the appropriate custodial detention officer. The original reports and subsequent copies shall be processed and distributed according to current procedures.

343.70 DRIVING – UNDER – THE – INFLUENCE BOOKINGS. A teletype request shall be sent to DMV concerning each arrestee booked for 23152(a) VC. This request shall be teletyped by divisional record clerks immediately upon receipt of the Booking and Identification Record, Form 05.01.00, from the location of the arrestee’s detention. Requests may be sent using either the driver’s license number or the full name of the arrestee.

When using the driver’s license number, the teletype shall be sent in the following form:

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ID.
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(Information code, driver’s license number.)

When no driver’s license number is available, the teletype shall contain: (Manual Section 4/155.15)

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STATUS AND RECORD.
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Arrestee’s full name.
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Arrestee’s address.
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Arrestee’s birthdate (if unknown, give age).

Teletype requests shall originate from the division at which the arrest reports are completed for distribution. The employee shall use the appropriate teletype code to ensure that the docket number and the court of prior conviction, if applicable, appear on the reply from DMV. The employee making the inquiry shall attach the return teletype information to the court copy of the arrest report and forward them to the detention officer having custody of the arrestee.
344. TRAFFIC CASES INVOLVING PHYSICIANS.

344.50 ARREST OF PHYSICIAN ENROUTE TO TREAT EMERGENCY CASE. When a physician is taken into custody while enroute to treat an emergency case, the arresting officer shall immediately cause the patient to be notified. If this is not possible, the person who summoned the physician shall be notified.

A physician traveling in response to an emergency shall be exempt from the provisions of Vehicle Code Section 22351 (Speed Law Violations) and 22352 (Prima Facie Speed Limits), if the vehicle so used by the physician displays an insignia approved by the Department of Motor Vehicles indicating that the vehicle is owned by a licensed physician (21058 VC).

Note: The caduceus, symbol of the American Medical Association, is the approved insignia.
346. TRAFFIC CASES INVOLVING JUVENILES.

346.10 CITING PROCEDURE – TRAFFIC NOTICE TO APPEAR (CITATION). When a juvenile is issued a Traffic Notice to Appear, Form 04.50.00 for a moving or non‑moving violation, the juvenile shall be advised that a parent or guardian’s presence is required when at Juvenile Traffic Court in answer to the citation.

346.20 REFUSAL TO SIGN CITATION – JUVENILES. When a juvenile refuses to sign a citation, the juvenile shall be processed according to Manual Section 4/334.40.

346.40 MISDEMEANOR TRAFFIC VIOLATION – JUVENILE ARRESTED. When a juvenile is booked for a misdemeanor Vehicle or Municipal Code (traffic-related) violation, the arresting officer shall:

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Complete a Traffic Notice to Appear in the normal manner and have the juvenile sign the citation.
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Cite the juvenile to the morning or afternoon session (Manual Section 4/320.45) of the Juvenile Traffic Court on the appropriate citing date.
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Give the juvenile the defendant’s copy.

Note: If the juvenile is to be released to a parent or guardian, the defendant’s copy of the citation should be given to the parent or guardian at the time of release.

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Complete an Arrest Report, Form 05.02.00, and include the citation number and the notation that the court copy of the citation is attached to the investigating officer’s copy of the arrest report.
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Attach the court copy of the citation to the arrest report.
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When the juvenile is to be released to a parent or guardian, provide the adult with a copy of the Juvenile, Notice to Appear, Form 09.03.00.

Exception: Juveniles arrested for violation of Section 23152 VC shall be processed in the same manner as a non‑traffic misdemeanor arrest. A Traffic Notice to Appear shall not be issued for driving under the influence.

The investigating officer shall:

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When the juvenile is not detained, forward one copy of the arrest report and the court copy of the citation to Traffic Court Liaison, Traffic Coordination Section.
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When continued detention is deemed necessary, process the detained petition request, court copy of the citation, and related reports in the same manner as a detained petition request for any other charge.

346.45 JUVENILE OFFENSES INVOLVING ALCOHOL. Officers citing a juvenile for a violation of 23140(a) VC shall:

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Document probable cause for administering the Intoximeter EC/IR Test in the narrative section of a Traffic Notice to Appear or on a Continuation of Notice to Appear, if necessary;
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Write the corresponding citation number in the box entitled “DR NO.” in the upper right corner of the completed Intoximeter EC/IR Operator Check List, Form 05.20.07;
*

Attach the completed Form 05.20.07 to the Traffic Notice to Appear “court copy” (green), and forward it to the appropriate Juvenile Traffic Court; and,
*

Release the juvenile to a parent or guardian.

Note: Section 23140(a) VC does not require a Field Sobriety Test (FST); however, should an officer administer an FST, the results of the FST shall be documented on a Driving-Under-the-Influence Arrest Report (Continuation), Form 05.02.05. The completed Form 05.02.05 shall include the corresponding citation number in the upper right corner in the box entitled “DR” and be attached to the Traffic Notice to Appear “court copy” (green) and forwarded to the appropriate Juvenile Traffic Court. Enforcement of Section 23140(a) VC does not preclude the enforcement of 23152(a) VC, Driving-Under-the-Influence of Alcohol or Drugs.

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1983 actions and judges

Tuesday, March 30th, 2010

Plaintiffs also challenge the district court’s grant of absolute immunity from plaintiffs’ claims of injunctive relief to the defendant judges. Judges are entitled to absolute judicial immunity from damages for those acts taken while they are acting in their judicial capacity unless they acted in the “`clear absence of all jurisdiction.’” Stump v. Sparkman, 435 U.S. 349, 356-57, 98 S.Ct. 1099, 55 L.Ed.2d 331 (1978); Simmons v. Conger, 86 F.3d 1080, 1084-85 (11th Cir.1996). This immunity applies even when the judge’s acts are in error, malicious, or were in excess of his or her jurisdiction. See Stump, 435 U.S. at 356, 98 S.Ct. 1099.

1240 In Pulliam v. Allen, 466 U.S. 522, 104 S.Ct. 1970, 80 L.Ed.2d 565 (1984), however, a divided Supreme Court held that judicial immunity did not protect a state judge from claims for injunctive relief in a § 1983 action. In making this determination, the Court concluded that, consistent with the development of immunity in English common law, American courts had never adopted a rule of absolute judicial immunity to claims for injunctive relief. Id. at 536, 104 S.Ct. 1970. In addition, the Court noted that, as of the time of its opinion, seven circuits had indicated that there was no immunity from prospective injunctive relief and that the limitations already imposed by the requirements for obtaining injunctive relief “severely curtail the risk that judges will be harassed and their independence compromised by the threat of having to defend themselves against suits by disgruntled litigants.” Id. at 537-38, 104 S.Ct. 1970. Finally, the Court addressed the concern that allowing federal judges to grant injunctive relief against state judges under § 1983 would be inconsistent with the doctrines of comity and federalism. In this regard, the Court stated that nothing in § 1983 indicates that Congress intended to insulate state judges completely from federal review of their actions, and, because that statute allowed for suits against state officials and did not limit the relief available against judges, the Court declined to create such a limit. See id. at 540-42, 104 S.Ct. 1970.

The dissent in Pulliam disagreed with the majority’s analysis of English common law, arguing instead that the common-law remedies pointed to by the majority were not analogous to suits for injunctive relief against judges and therefore did not support the majority’s position that such relief was available. Further, the dissenting Justices were of the opinion that the prerequisites for injunctive relief did not provide a sufficient protection to judicial independence from the threat of vexatious litigation and pointed to the case before them as an example. As a result, the dissent concluded that there was “no principled reason why judicial immunity should bar suits for damages but not for prospective injunctive relief.” Id. at 557, 104 S.Ct. 1970.

The precise question of whether this Pulliam limit on judicial immunity applies to federal judges as well, when sued pursuant to Bivens v. Six Unknown Named Agents of the Federal Bureau of Narcotics, 403 U.S. 388, 91 S.Ct. 1999, 29 L.Ed.2d 619 (1971), is one of first impression in our circuit. It has been addressed, however, by several district courts and the Ninth Circuit Court of Appeals. See Mullis v. United States Bankr. Court for the Dist. of Nev., 828 F.2d 1385 (9th Cir.1987); Kampfer v. Scullin, 989 F.Supp. 194, 201-02 (N.D.N.Y.1997); Stephens v. Herring, 827 F.Supp. 359, 361-65 (E.D.Va.1993); Page v. Grady, 788 F.Supp. 1207 (N.D.Ga. 1992); Wightman v. Jones, 809 F.Supp. 474 (N.D.Tex.1992); Neville v. Dearie, 745 F.Supp. 99 (N.D.N.Y.1990); see also Dorman v. Higgins, 821 F.2d 133, 139 (2d Cir.1987). Most of these courts have held that the doctrine of absolute judicial immunity serves to protect federal judges from injunctive relief as well as money damages.

In Mullis, the Ninth Circuit pointed out several “anomalies” in the potential application of the Pulliam exception to judicial immunity to federal judges. Specifically, the court stated that in cases in which a federal judge meets the preconditions for judicial immunity—that he or she acted in his or her judicial capacity—there will “invariably” be an adequate remedy at law through either ordinary appeals or an extraordinary writ. Further, the court stated that the availability of these alternate remedies would diminish a plaintiff’s ability to show a serious risk of irreparable harm as well. See Mullis, 828 F.2d at 1392.

The Mullis court also noted that to allow injunctive relief against federal judges would be to permit a “horizontal appeal” from one district court to another or even “reverse review” of a ruling of the court of appeals by a district court. Id. at 1392-93. 1241 The court then went on to conclude that these problems suggested that the Pulliam exception should not apply in suits against federal judges. Finally, the Mullis court noted that this conclusion was supported by the absence of explicit statutory authority for a suit against a federal judge as was present in the § 1983 action against a state judge at issue in Pulliam. Id. at 1393-94.

Similarly, in Page v. Grady, 788 F.Supp. 1207 (N.D.Ga.1992), the Northern District of Georgia concluded that the rationale of Pulliam does not apply in suits against federal judges. In Page, the court noted that suits against state officials are explicitly allowed by § 1983 and that suits for injunctive relief against state judges were necessary to effectuate the historical practice of federal court oversight of state courts. Id. at 1211. Because these policies are not at issue in suits against federal judges, and Bivens actions against federal officials are judicially created remedies anyway, the Page court found that it was inappropriate to limit absolute judicial immunity in Bivens suits against federal judges. Id. at 1211-12. The court also noted that to find otherwise would be to allow a new method of oversight of federal court actions by co-equal or inferior federal courts. Id. at 1212; Stephens, 827 F.Supp. at 361-65; Wightman, 809 F.Supp. at 476-79.

There is an opposing position that warrants discussion, however. Specifically, the dissent in Mullis quotes Pulliam’s conclusions that the absence of immunity from prospective relief prior to that time had not chilled judicial independence and that such independence was adequately protected by the requirements for injunctive relief as follows:

We never have had a rule of absolute judicial immunity from prospective relief, and there is no evidence that the absence of that immunity has had a chilling effect on judicial independence … The limitations already imposed by the requirements for obtaining equitable relief against any defendant—a showing or an inadequate remedy at law and of a serious risk of irrevocable harm (citations omitted), — severely curtail the risk that judges will be harassed and their independence compromised by the threat of having to defend themselves against suits by disgruntled litigants.

Mullis, 828 F.2d at 1394-95 (O’Scannlain, J., dissenting) (alterations in original); see Scruggs v. Moellering, 870 F.2d 376, 378 (7th Cir.1989) (questioning Mullis’s need for reliance upon absolute immunity when the court’s conclusion that an adequate remedy at law existed led to the same result), abrogated on other grounds, Antoine v. Byers & Anderson, Inc., 508 U.S. 429, 113 S.Ct. 2167, 124 L.Ed.2d 391 (1993); Dorman v. Higgins, 821 F.2d 133, 139 (2d Cir.1987) (citing Pulliam, without discussion, for the proposition that a federal probation officer’s quasi-judicial immunity from damages claims regarding the preparation of a pre-sentence report did not bar similar claims for injunctive relief); Neville v. Dearie, 745 F.Supp. 99, 102 (N.D.N.Y.1990) (citing Dorman for the proposition that judicial immunity does not bar claims for injunctive relief against federal judges).

In addition, the Supreme Court has previously held that it is inappropriate to create a distinction between state and federal officials for the purposes of immunity as follows:

There is no basis for according to federal officials a higher degree of immunity from liability when sued for a constitutional infringement as authorized by Bivens than is accorded state officials when sued for the identical violation under § 1983. The constitutional injuries made actionable by § 1983 are of no greater magnitude than those for which federal officials may be responsible.

Butz v. Economou, 438 U.S. 478, 500, 98 S.Ct. 2894, 57 L.Ed.2d 895 (1978). We have similarly stated that the immunities provided federal officials in Bivens actions are coextensive with those provided state officials in § 1983 actions. See Abella v. Rubino, 63 F.3d 1063, 1065 (11th Cir.1995); 1242 Charles v. Wade, 665 F.2d 661, 666 (5th Cir. Unit B 1982); Barker v. Norman, 651 F.2d 1107, 1122 (5th Cir.1981).[6] Thus, this issue is a closer one than it would seem at first blush. After considering both sides of the issue, however, we find the stronger argument favors the grant of absolute immunity to the defendant federal judges in this case. Thus we affirm the district court’s dismissal of the claims against the defendant judges.

Further, even assuming arguendo that the Pulliam decision applies equally in Bivens actions against federal judges, that decision has been partially abrogated by statute. Specifically, in 1996, Congress enacted the Federal Courts Improvement Act (“FCIA”), Pub.L. No. 104-317, 110 Stat. 3847 (1996), in which it amended § 1983 to provide that “injunctive relief shall not be granted” in an action brought against “a judicial officer for an act or omission taken in such officer’s judicial capacity … unless a declaratory decree was violated or declaratory relief was unavailable.” At least two district courts have determined that this amendment also limits any injunctive relief available against federal judges. See Jones v. Newman, 1999 WL 493429 (S.D.N.Y. 1999); Kampfer v. Scullin, 989 F.Supp. 194 (N.D.N.Y.1997). As the court in Jones explained, there are two reasons supporting the applicability of this amendment in Bivens actions. First, as a general matter federal courts incorporate § 1983 law into Bivens actions. See Antoine v. Byers & Anderson, Inc., 508 U.S. 429, 433 n. 5, 113 S.Ct. 2167, 124 L.Ed.2d 391 (1993). In addition, to the extent that federal judicial officers are not immune from suits for injunctive relief, their liability is based on § 1983 law as set out in Pulliam. As a result, even assuming arguendo that Pulliam does apply to federal judges, the 1996 amendment to § 1983 would limit the relief available to plaintiffs to declaratory relief. As discussed below with regard to the defendant prosecutors, plaintiffs are not entitled to declaratory relief as there is an adequate remedy at law. Therefore, for this reason as well, the district court properly dismissed plaintiffs’ claims against the defendant judges.

1983 Actions and Prosecutors

Tuesday, March 30th, 2010

D. Defendant Prosecutors

Prosecutors are also entitled to absolute immunity from damages for acts or omissions associated with the judicial process, in particular, those taken in initiating a prosecution and in presenting the government’s case. See Imbler v. Pachtman, 424 U.S. 409, 430-31, 96 S.Ct. 984, 47 L.Ed.2d 128 (1976); Jones v. Cannon, 174 F.3d 1271, 1281 (11th Cir.1999); Fullman v. Graddick, 739 F.2d 553, 558-59 (11th Cir.1984). Our predecessor court has held that prosecutors are not immune from claims for injunctive relief, however. See Tarter v. Hury, 646 F.2d 1010, 1012 (5th Cir.1981) (“[P]rosecutors do not enjoy absolute immunity from [declaratory and injunctive relief] claims.”). Further, we have found no case distinguishing between state and federal prosecutors in this regard as has been done between state and federal judges. However, we do not resolve this question because the district court’s dismissal of plaintiffs’ claims against the defendant prosecutors may so clearly be upheld on an alternate ground.

In order to receive declaratory or injunctive relief, plaintiffs must establish that there was a violation, that there is a serious risk of continuing irreparable injury if the relief is not granted, and the absence of an adequate remedy at law. See Newman v. Alabama, 683 F.2d 1312 (11th Cir.1982). As aptly noted by the Ninth Circuit in Mullis, there is an adequate remedy at law for the violations alleged by plaintiffs in their complaint. 1243 Specifically, plaintiffs may appeal any rulings, or actions taken, in their criminal cases not only to this Court but also to the Supreme Court. In addition, plaintiffs may seek an extraordinary writ such as a writ of mandamus in either this Court or the Supreme Court. See 28 U.S.C. § 1651. Accordingly, there is an adequate remedy at law and plaintiffs are not entitled to declaratory or injunctive relief in this case. As a result, the district court was correct in dismissing plaintiffs’ claims, albeit for a different reason.[7]

California DMV Law

Tuesday, March 23rd, 2010

BRUCE POLLACK, Plaintiff and Respondent,

v.

DEPARTMENT OF MOTOR VEHICLES, Defendant and Appellant.

Docket No. L.A. 31912.

Supreme Court of California.

March 21, 1985.

370 COUNSEL

OPINION

GRODIN, J.

Once again we are called upon to interpret the ambiguous wording of a recently amended statute. In this case, the issue involves the 371 meaning of certain language in Vehicle Code section 13352,[1] as amended in 1981.

(1) The Department of Motor Vehicles (DMV) appeals from a judgment setting aside its one-year suspension of Bruce Pollack’s driving privileges pursuant to section 13352, subdivision (a)(3), following Pollack’s second drunk driving conviction within five years. The sole issue is whether the DMV may suspend a license of a twice convicted drunk driving offender under section 13352, subdivision (a)(3), where the prior conviction is neither alleged nor proven in the second criminal proceeding. For the reasons which follow, we conclude it can and reverse the judgment.

Pollack was convicted of drunk driving on December 4, 1981, and again on September 9, 1982. The criminal complaint filed in the second offense did not allege the prior conviction nor was the fact of that conviction proven at trial. On November 23, 1982, the DMV suspended Pollack’s license for a period of one year pursuant to section 13352, subdivision (a)(3), which requires the DMV to suspend the license of drivers convicted of any “violation of section 23152 punishable under section 23165.”[2]

Pollack does not contest the accuracy of the DMV’s records or the legality of either of his convictions. He thus admits that he incurred two valid convictions for drunk driving within the applicable five-year period. Nonetheless, he argues that the DMV may not suspend his license under section 13352 because, in its 1981 amendments to that statute, the Legislature evidenced an intention to impose the “plead and prove” requirement pertinent 372 to criminal proceedings upon the administrative processes of the DMV. Accepting this theory, the trial court directed the DMV to vacate its order suspending Pollack’s driving privileges because of the failure to plead and prove his prior conviction at his second trial. On appeal, the DMV contends that it is statutorily required to suspend a license after a second conviction whether or not the prior conviction was proven during the second trial.

(2a) Section 23152 is the basic Vehicle Code provision prohibiting any person under the influence of alcohol or drugs from driving a motor vehicle.[3] Section 23152 and section 23165, the sentencing provision pertinent to a second offense, are contained in division 11 (Rules of the Road), chapter 12 (Public Offenses), which details the criminal penalties attendant upon violations of the driving laws. Section 13352, by contrast, is contained in division 6 which pertains to the DMV’s issuance, renewal, suspension and revocation of drivers’ licenses. Thus, in its present format, section 13352 instructs the DMV to regulate drivers’ licenses by reference to specific provisions of the criminal statutes.

(3) The fundamental principle of statutory interpretation is “the ascertainment of legislative intent so that the purpose of the law may be effectuated….” (People ex rel. Younger v. Superior Court (1976) 16 Cal.3d 30, 40 [127 Cal. Rptr. 122, 544 P.2d 1322].) This principle requires us to determine the objective of the Legislature and to interpret the law so as to give effect to that objective even when such an interpretation appears to be at odds with conventional usage or the literal construction of the statutory language. (Younger, supra, at pp. 40-42; Friends of Mammoth v. Board of Supervisors (1972) 8 Cal.3d 247, 259 [104 Cal. Rptr. 761, 502 P.2d 1049].)

(2b) In this instance, the disputed phrase, “violation of Section 23152 punishable under Section 23165,” is ambiguous. (4) It is a well-established principle in our law that, when a prior conviction is relied upon as a 373 means of empowering a court to impose increased criminal penalties, the indictment or complaint must allege the prior conviction and, unless admitted, it must be proven. (Cavassa v. Off (1929) 206 Cal. 307, 313 [274 P. 523].) (2c) Thus, in light of the prosecutor’s failure to allege and prove Pollack’s prior conviction, he could not be subjected to sentencing under section 23165. For this reason, Pollack contends that he was not “punishable under Section 23165.” Therefore, he argues, the literal terms of section 13352, subdivision (a)(3), do not apply to him.

The DMV argues, however, that section 13352 does not refer to the offender as being punishable under section 23165, but to the offense. Several California courts have construed the word “punishable” when used with reference to an offense to mean “may be punished” or “liable to be punished.” (People v. Superior Court (1931) 116 Cal. App. 412, 415 [2 P.2d 843]; People v. McCullin (1971) 19 Cal. App.3d 795, 799 [97 Cal. Rptr. 107].) In McCullin, the court interpreted the phrase “offense punishable by death” in former Penal Code section 1202b to mean “all offenses for which the statute authorizes the death penalty as a possible maximum punishment regardless of whether it is imposed in a particular case.” (McCullin, supra, at pp. 798-799, italics added.)[4] Thus, the DMV contends that section 13352 refers to offenses potentially punishable under section 23165 (i.e., second offenses of driving under the influence within five years of a prior offense) regardless of the punishment actually imposed.

Both interpretations are plausible. In a case where the statute’s words are sufficiently flexible to admit of several constructions, it is appropriate to examine the legislative history in an attempt to discern the purpose of the statute. (See Friends of Mammoth, supra, 8 Cal.3d at pp. 259-262.)

Prior to the 1981 amendments, the Vehicle Code contained no separate sentencing statutes analogous to present sections 23160, 23165, 23170 and 23175. Rather, criminal sentences were set out in the statutes defining driving offenses. Former section 13352, therefore, made no reference to sentencing statutes, but instead provided that the DMV should suspend or revoke a driver’s license upon receipt of an abstract of a record of any court showing a conviction for driving under the influence. Varying durations of suspension or revocation were specified for first, second, and subsequent convictions. The provisions of former section 13352 thus specified:

374 “(a) Upon a first … conviction,” driving privileges would be suspended for six months if the court so ordered;

“(c) Upon a second … conviction,” driving privileges would be suspended for not less than a year;

“(e) Upon a third or subsequent conviction,” driving privileges would be revoked, not to be reinstated for a period of three years.

It was established under former section 13352 that the DMV was required to suspend a driver’s privileges upon a second conviction regardless of whether the prior conviction had been alleged and proven at the second trial. (Cook v. Bright (1962) 208 Cal. App.2d 98 [25 Cal. Rptr. 116].) Thus, under the operation of former section 13352, a driver in Pollack’s situation would clearly have suffered a suspension of driving privileges quite apart from whether the prosecutor chose to plead and prove the prior conviction. Pollack contends that by amending section 13352 in 1981, the Legislature evinced an intention to afford greater procedural protections to those convicted of driving under the influence than had prevailed under prior law. We cannot agree with this conclusion.

In 1981, the Legislature effected a comprehensive reorganization of the Vehicle Code. These 1981 amendments amended and reenacted most of the code provisions relating to driving under the influence of intoxicating liquor and drugs. This legislation was evidently prompted by increasing public concern over the problem of intoxicated drivers. (See generally Review of Selected 1981 California Legislation (1982) 13 Pacific L.J. 787-799.) In general terms, the amended statutes made it more difficult to avoid a criminal conviction for the offense of driving under the influence and increased the criminal penalties to be imposed upon conviction. (Compare former § 23102, subd. (d).) The ability of the courts to avoid imposition of mandatory jail sentences and fines was restricted. (See §§ 23166, 23171, 23200, 23206.) In addition, more stringent mandatory probation provisions were imposed. (See §§ 23166, 23171, 23206.) Throughout these amendments, the Legislature’s attempt to banish intoxicated drivers from our highways is obvious. It is difficult to reconcile this clear objective with the increased legislative solicitude for the driving privileges of twice-convicted drunk drivers which Pollack purports to discern in the 1981 amendment to section 13352.

Rather, another and more credible explanation illuminates the Legislature’s intent in choosing this ambiguous wording. As originally introduced by Assemblywoman Moorhead on February 18, 1981, Assembly Bill No. 541 included new sections 23156 through 23160. These new sections mandated sentences for first and subsequent offenses of both section 23152 and 375 section 23153 (driving under the influence and causing bodily injury). One feature of these sentencing provisions, as originally drafted, was that first offenses of the more serious violation (§ 23153) were grouped together with subsequent offenses of the less serious violation (§ 23152) in a single sentencing provision, with the same punishment provided for both. For example, section 23157 imposed imprisonment of 90 days to a year and a fine of $375 to $1,000 as the punishment for both a first offense of section 23153 and a second offense of section 23152. Section 23158 similarly grouped second offenses of section 23153 with third and subsequent offenses of section 23152.

On the same day she introduced Assembly Bill No. 541, Assemblywoman Moorhead also introduced Assembly Bill No. 542. This bill, intended to take effect only if Assembly Bill No. 541 were enacted, amended additional provisions of the Vehicle Code to conform to the provisions of Assembly Bill No. 541. Assembly Bill No. 542 contained proposed revisions of section 13352, and appears to be the origin of the “punishable under” language which we consider in this case.

In light of Assembly Bill No. 541’s sentencing provisions, described above, the necessity of specifying the substantive provision violated (§ 23152 or § 23153) and the number of the offense (first, second, or third and subsequent) in section 13352 was obviated. The sentencing provisions themselves conveyed this information in an abbreviated formulation.

Section 21 of Assembly Bill No. 542, for example, proposed that section 13352 be amended to read, “[u]pon a conviction or finding of a violation punishable under section 23156,” where the former statute had provided, “[u]pon a first such conviction or finding.” Similarly, “[u]pon a conviction or finding of a violation punishable under Section 23158 or 23159,” replaced “[u]pon a second such conviction or finding” in the former statute.

This observation suggests that the “punishable under” formulation was merely intended to provide a shorthand reference to drunk driving offenses, with and without prior convictions. It does not imply, as Pollack suggests, an intent on the part of the Legislature to change the operation of existing law pertinent to the DMV’s suspension or revocation of drivers’ licenses upon a second conviction for drunk driving.

This conclusion is bolstered by consideration of the Legislative Counsel’s Digests prepared for Assembly Bills Nos. 541 and 542 as they progressed through both houses of the Legislature.[5] Assembly Bill No. 541 was amended 376 six times prior to passage. With each amendment, a new Legislative Counsel’s Digest was prepared. Insofar as these digests are relevant to our interpretation of section 13352, subdivision (a)(3), they consistently indicate the Legislature’s intent to require the DMV to suspend a driver’s license upon a second conviction of driving under the influence. The digests suggest no intent to change the mechanics of the prior law.

Thus, the digest prepared for Assembly amendments of March 23, 1981, read, in pertinent part:

“Existing law … provides for the suspension or revocation of a person’s privilege to operate a motor vehicle for, among other things, driving while under the influence of intoxicating liquor or drugs or the combined influence thereof….

“…. …. …. …. …. …. .

“The bill would require the Department of Motor Vehicles to suspend the privilege for 90 days to 6 months for a first conviction of that violation not involving bodily injury or death. The bill would require the department to suspend the privilege for 1 year for a second conviction of that violation not involving bodily injury or death to another or for a first conviction of that violation involving bodily injury or death to another.” (Italics added.)

The final version of the Legislative Counsel’s Digest, introducing the statute as enacted, read, in pertinent part:

“Existing law … provides for the suspension or revocation of a person’s privilege to operate a motor vehicle for, among other things, driving while under the influence of intoxicating liquor or drugs or the combined influence thereof….

“…. …. …. …. …. …. .

“The bill would require the department to suspend that privilege for 1 year for a second conviction of that violation and to revoke it for 3 years for a third or subsequent conviction.” (Leg. Counsel’s Dig. of Assem. Bill No. 541 (1981 Reg. Sess.).)

If the statute actually read as described by the Legislative Counsel, there would be no question as to its meaning. As this court has had occasion to observe before, it is reasonable to presume that the Legislature acts, in amending statutes, with the intent and meaning expressed in the Legislative 377 Counsel’s Digest. (See People v. Superior Court (Douglass) (1979) 24 Cal.3d 428, 434 [155 Cal. Rptr. 704, 595 P.2d 139].)

We also note that the Legislature specifically provided that out-of-state convictions would result in suspension of driving privileges under section 13352, subdivision (d). In our view, this is yet another indication that the Legislature did not intend to impose a “plead and prove” prerequisite to license suspension. The California Legislature is obviously powerless to impose a “plead and prove” requirement upon the courts of other states. Nor does the statutory scheme contemplate any mechanism by which the DMV could ascertain whether prior convictions had been alleged and proven in out-of-state proceedings. Yet prior law established that two priors each in a different state would result in license suspension under former section 13352 (Cook v. Department of Motor Vehicles (1973) 33 Cal. App.3d 265 [109 Cal. Rptr. 104]), and subdivision (d) of section 13352 appears to be designed to codify the Cook court’s holding.

It seems unlikely that our Legislature would provide special procedural protections to safeguard the driving privileges of California drivers tried in California courts, while simultaneously failing to provide similar protections for California drivers tried in out-of-state courts.

For these reasons, we conclude that the Legislature did not intend, via its 1981 amendment, to alter the operation of prior law, and that the DMV, under section 13352, subdivision (a)(3), is mandated to suspend the driving privileges of a driver convicted of a second drunk driving offense within five years.[6]

(5) It has been argued that this interpretation of section 13352 renders certain language in section 23200 meaningless. We do not agree.

Section 23200 was enacted contemporaneously with the comprehensive 1981 reorganization of the Vehicle Code discussed above. As originally enacted, subdivision (a) of section 23200 provided: “In any case charging a violation of Section 23152 or 23153 and the offense occurred within five years of one or more prior offenses which resulted in convictions of violations of Section 23152 or 23153, or one or more prior offenses which occurred on or after January 1, 1982, which resulted in convictions of violation of section 23103 as specified in Section 23103.5, or any combination, or all, of those three provisions, the court shall not strike any prior conviction of those offenses for purposes of sentencing in order to avoid imposing, 378 as part of the sentence or term of probation, the minimum time of imprisonment and the minimum fine, as provided in this chapter.” (Stats. 1981, ch. 941, § 10, p. 3592.)

It is apparent that this statute was intended to limit the power of the court, by striking prior convictions, to avoid imposing the new harsher sentences mandated for multiple offenses of drunk driving. Early in 1982, the Legislature enacted additional amendments to the Vehicle Code. Many of these were intended to clarify provisions of the 1981 law or to eliminate minor inconsistencies in the 1981 enactments. These 1982 amendments were enacted as an urgency measure. (Stats. 1982, ch. 53, eff. Feb. 18, 1982.)

Among many other provisions, chapter 53 added the following clause to the end of subdivision (a) of section 23200: “or for purposes of avoiding revocation, suspension, or restriction of the privilege to operate a motor vehicle, as provided in this code.” (Stats. 1982, ch. 53, § 40, p. 178.)

On the basis of this change in the legislation, the following argument is advanced. Former section 13352 clearly required the DMV to suspend a license upon receiving notice of a second or subsequent conviction whether or not the prior conviction(s) had been pleaded and proven at the subsequent trial. Therefore, under the operation of prior law, the court’s decision to strike prior convictions would have no effect upon the DMV’s authority to suspend or revoke driving privileges. So, if the DMV’s interpretation of the 1981 amendment to section 13352 is correct, and no change in the mechanics of the prior law was effected, then the language of the 1982 amendment to section 23200 was wholly unnecessary. By negative implication, therefore, the 1982 amendment of section 23200 must indicate that the Legislature understood that in 1981 it had effected a change in the operation of section 13352. The Legislature must have intended that prior convictions be pleaded and proven in court before the DMV could suspend or revoke driving privileges under section 13352. According to this view, only once such prior convictions had been proven would section 23200 deprive the courts of their authority to strike priors to avoid license suspension or revocation.

While logically consistent, this argument is based on a false premise. The amended language of section 23200 does not refer to an imaginary change in the operation of section 13352, but to a real change in the operation of section 13352.5.

Prior to the 1981 amendments, section 13352.5 provided that the court could prevent the DMV’s suspension or revocation of driving privileges by certifying that the driver was participating in an alcoholism treatment program. 379 This provision, by its terms, applied not only to first and second offenders, but to all offenders regardless of the number of prior drunk driving convictions they had incurred. (See former § 13352.5, Stats. 1978, ch. 954, § 2, p. 2954.)

In the comprehensive 1981 amendments, the Legislature effected a significant change in this statute. Although the court could still prevent the suspension or revocation of driving privileges of second offenders, the provisions pertinent to third and subsequent offenders were deleted. (See former § 13352.5, Stats. 1981, ch. 940, § 6, p. 3564.)[7] After 1981, revocation of driving privileges upon a third conviction of drunk driving within five years became mandatory in all cases.

Thus, the 1981 amendment of section 13352.5 clearly expressed the Legislature’s intent to deprive all third and subsequent offenders of their driving privileges. Nonetheless, under section 13352.5, the courts still retained the power to preserve the driving privileges of second offenders. The Legislature evidently feared that, under certain circumstances, the courts might strike one or more prior offenses, sentence third or fourth offenders as second offenders, and thus attempt to preserve these offenders’ driving privileges by certifying that they had consented to participate in an alcoholism treatment program under the terms of section 13352.5.

The 1982 amendment to section 23200 was apparently designed to prevent any such judicial circumvention of the Legislature’s plan to remove all third offenders from the highways. To hold that this language, obviously inserted as further evidence of the Legislature’s intention to rid California highways of the menace of drunk drivers, somehow requires us to allow this twice convicted drunk driver to retain his driving privileges would indeed be an anomalous result.

(6a) The dissent errs in suggesting that our interpretation of amended section 13352 gives rise to a “very grave due process problem.” (See, post, at p. 382.) Any driver in Pollack’s position will already have had at least two opportunities to be heard in the criminal trials precedent to each of his 380 convictions for drunk driving. In addition, under our reading of section 14101, any such driver is entitled to a prompt hearing before a representative of the DMV if he believes his suspension is based upon inaccurate DMV records.[8] Finally, a driver who contests the validity of prior convictions is entitled to bring a challenge against these convictions within the rendering court system. (See Thomas v. Department of Motor Vehicles (1970) 3 Cal.3d 335 [90 Cal. Rptr. 586, 475 P.2d 858]; Cook v. Department of Motor Vehicles, supra, 33 Cal. App.3d 265; Fitch v. Justice Court (1972) 24 Cal. App.3d 492 [101 Cal. Rptr. 227].) We reiterate that Pollack himself challenges neither the accuracy of the DMV’s records nor the validity of his two prior convictions.

(7) The United States Supreme Court has held that due process does not require an administrative hearing prior to revocation of driving privileges where the threat to public safety is sufficiently obvious to justify immediate termination. (Dixon v. Love (1977) 431 U.S. 105 [52 L.Ed.2d 172, 97 S.Ct. 1723].) The California courts have long held the same view. (See Hough v. McCarthy (1960) 54 Cal.2d 273, 285 [5 Cal. Rptr. 668, 353 P.2d 276]; Cook v. Bright, supra, 208 Cal. App.2d 98, 103; Westmoreland v. Chapman (1968) 268 Cal. App.2d 1, 5 [74 Cal. Rptr. 363]; Cook v. Department of Motor Vehicles, supra, 33 Cal. App.3d at p. 268.) (6b) We are satisfied that the procedural safeguards afforded to California drivers which are summarized above are adequate to satisfy the demands of the Fourteenth Amendment due process clause as well as the demands of article I, sections 7 and 15 of the California Constitution.

Conclusion

The thrust of the legislative concern under Vehicle Code section 13352 remains as it was under prior law: protection of the public from drivers 381 whose prior conduct demonstrates they cannot currently be trusted with a license to drive. That concern would not be served by an interpretation of the statute which makes public protection dependent upon whether a prosecutor, in a criminal proceeding, chooses to plead and prove the prior offense. (8) (See fn. 9.) Rather, as the statutory history demonstrates, the Legislature intended license revocation to follow administratively from the record of convictions.[9] Of course, a driver who wishes to challenge the existence or validity of a prior conviction must be afforded an opportunity to do so. That, however, is not the situation here.

The judgment is reversed.

Kaus, J., Broussard, J., and Lucas, J., concurred.

MOSK, J.

I dissent.

As is so often the case, when a grave social problem emerges that seems to require severe sanctions, the legislative source — sometimes the people by initiative, sometimes the Legislature — acts with undue haste and the result is a statute that is hardly a model of clarity. That occurred here. The public outcry against repetitive drunk drivers resulted in the adoption of a measure that unfortunately may not always achieve its apparently desired objective.

The majority opinion is difficult to track. It contends that the legislation is ambiguous. It then proceeds to ignore the generally accepted result of statutory ambiguity — i.e., to resolve the ambiguity in favor of a criminal defendant, as the trial court did. Finally, the majority rationalize a result that ignores the text of the statute and plays havoc with a defendant’s elementary due process right to be heard. In my opinion the laudable motive of getting drunk drivers off the streets and highways does not justify suspending the rule of law in California.

The Vehicle Code (§ 13352, subd. (a)(3)) provides that the department shall suspend or revoke a license “upon a conviction or finding of a violation 382 of Section 23152 punishable under Section 23165….” A person need not be punished under section 23165, but he must be punishable under that section. One is punishable under section 23165 only if his prior offense was pleaded and proved.

The reason for the foregoing is clear. Section 23165 provides not only for license suspension, but for increased punishment up to a year in jail and a fine of $1,000 when there has been a prior offense committed within five years. We have consistently required that whenever prior convictions may be employed to increase penalties, they must be pleaded and proved, with the defendant given an opportunity to be heard in opposition. See, for example, the unanimous opinion of this court in People v. Jenkins (1975) 13 Cal.3d 749, 756 [119 Cal. Rptr. 705, 532 P.2d 857]; to the same effect are People v. Lo Cicero (1969) 71 Cal.2d 1186, 1192 [80 Cal. Rptr. 913, 459 P.2d 241], and People v. Ford (1964) 60 Cal.2d 772, 794 [36 Cal. Rptr. 620, 388 P.2d 892].

The People failed to plead and prove defendant’s prior conviction. Therefore he was not punishable under section 23165, and the prerequisite for suspension under section 13352, subdivision (a)(3), was not met. The trial court’s order was thus compelled.

Since the majority are in error in their statutory interpretation, I need not reach the very grave due process problem that lurks in the background. I do observe, however, that under the traditional American rule of law, one may not be deprived of a right without an opportunity to be heard. On the issue of his prior conviction, this defendant has had no opportunity, in court or before an administrative agency, to be heard and to produce evidence concerning any possible invalidity of the prior. Indeed, he was not even informed, through any pleading, that he was in additional jeopardy because of the purported prior conviction. That does not comport with any recognized concept of due process. As Justice Cardozo wrote in Escoe v. Zerbst (1935) 295 U.S. 490, 493 [79 L.Ed. 1566, 1569, 55 S.Ct. 818], “He shall have a chance to say his say before the word of his pursuers is received to his undoing.”

There is no justification for the prosecution to fail to charge a prior drunk driving conviction. Unfortunately, after the majority opinion in this case is filed there will be no incentive for the prosecution to do so. Yet there would be no burden on the state: it has local records available, and for records elsewhere the facilities of state and federal Department of Justice bureaus are as handy as the nearest law enforcement computer terminal. Ineptness of the prosecution in this instance does not justify judicial rewriting of a statute. The next legislative session should do that.

383 I would affirm the judgment.

Bird, C.J., and Reynoso, J., concurred.

[1] All statutory references are to the Vehicle Code unless otherwise specified.

[2] Section 13352, subdivision (a)(3) provides: “(a) The department shall immediately suspend or revoke the privilege of any person to operate a motor vehicle upon receipt of a duly certified abstract of the record of any court showing that the person has been convicted of a violation of Section 23152 or 23153 or subdivision (a) of Section 23109, or upon receipt of a report of a judge of the juvenile court, a juvenile traffic hearing officer, or a referee of a juvenile court showing that the person has been found to have committed a violation of Section 23152 or 23153 or subdivision (a) of Section 23109. For the purposes of this section, suspension or revocation shall be as follows: … [¶] (3) Except as provided in Section 13352.5, upon a conviction or finding of a violation of Section 23152 punishable under Section 23165, the privilege shall be suspended for one year. The privilege shall not be reinstated until the person gives proof of ability to respond in damages as defined in Section 16430.”

Section 23165 provides: “If any person is convicted of a violation of Section 23152 and the offense occurred within five years of a prior offense which resulted in conviction of a violation of Section 23152 or 23153, or a prior offense which occurred on or after January 1, 1982, which resulted in a conviction of a violation of Section 23103 as specified in Section 23103.5, that person shall be punished by imprisonment in the county jail for not less than 90 days nor more than one year and by a fine of not less than three hundred seventy-five dollars ($375) nor more than one thousand dollars ($1,000). The person’s privilege to operate a motor vehicle shall be suspended by the Department of Motor Vehicles pursuant to paragraph (3) of subdivision (a) of Section 13352.”

[3] Section 23152 currently provides: “(a) It is unlawful for any person who is under the influence of an alcoholic beverage or any drug, or under the combined influence of an alcoholic beverage and any drug, to drive a vehicle.

“(b) It is unlawful for any person who has 0.10 percent or more, by weight, of alcohol in his or her blood to drive a vehicle.

“For purposes of this subdivision, percent, by weight, of alcohol shall be based upon grams of alcohol per 100 milliliters of blood.

“In any prosecution under this subdivision, it is a rebuttable presumption that the person had 0.10 percent or more, by weight, of alcohol in his or her blood at the time of driving the vehicle if the person had 0.10 percent or more, by weight, of alcohol in his or her blood at the time of the performance of a chemical test within three hours after the driving.

“(c) It is unlawful for any person who is addicted to the use of any drug to drive a vehicle. This subdivision shall not apply to a person who is participating in a methadone maintenance treatment program approved pursuant to Article 3 (commencing with Section 4350) of Chapter 1 of Part 1 of Division 4 of the Welfare and Institutions Code.”

[4] In McCullin, a defendant under 23 years of age was convicted of first degree murder. During voir dire the prosecution stipulated that it would not seek the death penalty. The issue of interpreting Penal Code section 1202b then became whether the defendant had or had not been convicted of an offense punishable by death. The court concluded that he had, thus, relying, in part, upon the history of the statute as an indication that this interpretation was consonant with the Legislature’s intent.

[5] Although originally introduced in Assembly Bill No. 542, the amended version of section 13352 was added to Assembly Bill No. 541 as part of the Assembly amendments to the latter on March 23, 1981.

[6] Because the DMV’s action was mandatory, Pollack was not statutorily entitled to an administrative hearing prior to the suspension of his driving privileges. (§ 14101.)

[7] Although the February 1982 amendment made minor changes in the wording of section 13352.5, this essential element of the statute remained unchanged. (See former § 13352.5, Stats. 1982, ch. 53, § 17, p. 167.)

[8] Article 3 of the Vehicle Code discusses procedures for providing hearings to persons whose driving privileges are to be suspended or revoked. Section 14100 provides for hearings in specified situations. That section does not provide that these situations are exclusive, however, and indeed the code provides for an article 3 hearing in at least one situation not specified in section 14100. (See § 13353.) Section 14101, subdivision (a) provides that a person is not entitled to a hearing “[w]henever the action of the department is made mandatory by the provisions of this code.” The duty of the DMV to suspend drivers’ licenses under section 13352 is mandatory and, under section 14101, if such a person comes within the terms of the statute he is not entitled to a hearing. (Houlihan v. Department of Motor Vehicles (1970) 3 Cal. App.3d 915, 919 [83 Cal. Rptr. 885].) Section 13352, however, mandates suspension or revocation only upon receipt of a duly certified abstract of a court record reflecting a drunk driving conviction, and in the case of multiple offenses, only where DMV records reflect prior convictions. If the DMV’s records are inaccurate or if there is a mistake as to identity, license suspension is not mandatory by the provisions of the code. Under the terms of section 14101, therefore, a driver who contests the accuracy of DMV records of prior convictions may not be denied the opportunity for an administrative hearing to demonstrate that suspension is not mandatory in his case.

[9] We recognize the importance of the driving privilege in our society and the possibility of error in the revocation or suspension process. Therefore, to further both the goal of removing drunk drivers from the road, and of ensuring the accuracy of the DMV’s records, the sentencing court should inform the defendant that his license will be suspended if the records reflect a prior conviction, that if he does have a prior conviction he may no longer drive, and of the procedures by which to challenge such suspension or revocation.

DUI Blogs that are Networked

Saturday, March 13th, 2010

Here goes number 5

Thursday, March 11th, 2010

I am in the 5th trial of the year so far (that was fast). This one is in Lancaster.

Kind Regards,

Okorie Okorocha, Attorney (Practice Limited to Defending those accused of DUI, regardless of alleged Blood Alcohol Concentration)
“We, as criminal defense lawyers, are forced to deal with some of the lowest people on earth, people who have no sense of right and wrong, people who will lie in court to get what they want, people who do not care who gets hurt in the process. It is our job–our sworn duty–as criminal defense lawyers, to protect our clients from those people.”
—Cynthia Roseberry
Pasadena – Newport Beach – Santa Barbara – San Diego
toll free: 800 285 1763
toll free Fax: 888 286 1840

San Diego DUI Lawyers — http://www.hslblaw.com

Santa Barbara DUI Attorneys – http://www.bhglaw.com

Newport Beach Attorneys –  http://www.cprslaw.com/

 Newport Beach DUI Specialists — http://www.calegalteam.com

Newport Beach DUI Lawyer and Case Process

Saturday, March 6th, 2010

The timeline of what happens in a DUI Case

When you hire 99% of the firms that called themselves the Driving Under the Influence or DUI,  firms what you get is a high bill from lawyers who will not tell you their trial fee, cannot give you the case number and number of a case they have gone to trial on anywhere in the free world in the last year (this is all public record) and they plead you to the same exact deal that you could’ve gotten by yourself if you just showed up by yourself and talked to the prosecutor.  If the attorney does not go to trial, he is just one of those plea bargainers who really does not get you a deal and just steals your money.  They always tell you that you do not want to go to trial and trials are bad,  you should avoid trial and all kinds of other nonsense.  They tell you how they can get you a good deal without trial and all that other propaganda and you are really just getting the same deal that you would have gotten had you just shown up yourself.  I see this every day in court.  These lawyers lying and saying they got you a good deal, the same deal you could have gotten yourself…  It is a good deal…  a good deal for the lawyer who gets thousands of dollars and does not have to do a trial and work for it.  Many of them have no idea how to do a trial.  They have you plead guilty and they keep your money these lawyers are always available all hours of the day because they are done pleading all of their clients guilty by 10 AM daily

When you hire our firm, we have the mind-set that every case will go to trial, but  this does not mean that we do not ever plea-bargain. But if you have a reputation as an attorney for plea-bargaining you will never get a good deal because the prosecutor knows you will never do anything about it if they give you a bad offer.  Also,  if you have the mentality of just trying to give in an plead your client guilty and keep the money, the prosecutor has no incentive to give you a good deal.  When we do deal, the best deals have come on the first day of trial right before selecting a jury.

Procedure

The court case proceeds as follows: the first hearing is typically the arraignment and all that means there is that the judge just tells you what the charges are, which you already know, you do not need to appear unless it is a felony and we tell you that you have to appear and/or we just tell you that you have to appear.  We always enter a not guilty plea and get the documents such as the police report and related documents from the prosecutor. The police report just contains all lies the police wrote and they lie every time. Every hearing after that is just a hearing checking in with the judge and they are usually every 30 days as required and sometimes we have motions to get the prosecutor to turn over more evidence that we will that we need such as calibration and maintenance records on breath machines used to test the client.  These hearings are generally of no legal significance whatsoever unless we advise you otherwise and do not need to attend if unless we tell you so.  Whenever we need you to do something we let you know well in advance, but it is out practice to handle everything.  The case usually proceeds in this manner for about 6 months.  But, if the client just wants the case over with, we will get you your trial within 45 days which is the fastest we can get it done by law. We do like to age cases because things typically just get better the older, that is just our experience. There is no downside to going to trial because in the event we lose at trial and there is a sentencing hearing, the judge cannot punish you for exercising your constitutional right to a jury trial no more than he can punish you for your constitutional right to use an attorney or the Fifth Amendment and not take the witness stand and we always go over this with the judge before the trial starts this is to make sure that you are protected. In the event the judge was to violate the law we can always have your sentence stayed because you are entitled to bail on misdemeanors pending appeal so if it ever happens, which it has not, we would file a notice of appeal and post bail. The bail according to the schedule would be $5000 which means you would only have to pay a bondsman $400 and we would be happy to pay that for you.  We have NEVER had this problem or a client jailed for going to trial or even such an issue come up.

So there is nothing really to discuss until trial the police report is usually generally irrelevant it doesn’t matter what it says we have the antidote we’ve taken is to trial the matter how bad the police report seems and been successful there is no police report that cannot be overcome or has not been defeated in the past.  Now there are no guarantees in this business but there are no police reports that are foolproof and generally the police report for our purposes are only good for making the officer who wrote it look like an idiot at trial which we do quite well.  The Police report is useless to everyone, until we have the officer and can embarrass him.  We do this very well.  

So till the trial is around the corner, we do not usually have any updates on the case and/or ever get any information that the client would be interested in, but we would be sure to call if we did. We are happy to hear from a client by phone or email 24 hours a day as many times as the client wishes, we just may not have any news and would call you if we had news. 

The DMV

The DMV procedure is a rather simplistic. You are entitled to a hearing and at that hearing, the DMV prosecutor is the DMV Judge, generally someone with only a high school education although there are some good DMV Hearing officers.  Now you can just imagine for example if I was the defense attorney and the Judge in all of my cases I would win every case and the DMV statistics they publish are generally a 100% victory rate for them. The DMV may say it’s 99%,  but those are only rare cases where the police botched something and/or lost a blood sample or something.

THE ONLY INFORMATION THE DMV CONSIDERS AT THESE HEARINGS IS THE POLICE REPORT WHICH YOU CAN IMAGINE IS NOT HELPFUL. 

We sometimes use the DMV hearings to elicit officer testimony at that time by issuing a subpoena to the police officer to appear at the DMV hearing, but often times this is avoided because we don’t want the officer to know the approach we will take at the time of trial and want to catch them off guard.  There is no need for client participation in the DMV hearing because we do not want the client questioned or to testify because it that can be used against the client at trial. You will be given plenty of notice of when your suspension is to start if there is one either by our office or the DMV the minimum notice is two weeks.  The suspension on a first DUI is 30 days after which you get a restricted license for work and alcohol classes.  We have never had a client get in trouble while using a restricted license, but if you are pulled over and the officer asks you where you are going to find out if you are using the license for work.  Refuse to answer any questions and ask for a lawyer.  DO NOT DISCUSS ANYTHING WITH THE OFFICER.

Dr. DUI on the Junk Science of Breathalyzers

Wednesday, March 3rd, 2010

Here is what you need to know about breathalyzers:

Okorie “Dr. DUI” Okorocha, Attorney  (Practice Limited to Defending those accused of DUI, regardless of alleged Blood Alcohol Concentration)
Nationally Board Certified Criminal Trial Lawyer
*By the only National Board recognized by the State Bar of California
Named to SuperLawyers 2010
Named Top DUI Lawyer for 2009
toll free: 800 285 1763
toll free Fax: 888 286 1840

“[Mr. Okorocha] is more specialized than any other lawyer that we have ever have in court”  –20 Year DUI Prosecutor on the skills of Mr. Okorocha–

“We, as criminal defense lawyers, are forced to deal with some of the lowest people on earth, people who have no sense of right and wrong, people who will lie in court to get what they want, people who do not care who gets hurt in the process. It is our job–our sworn duty–as criminal defense lawyers, to protect our clients from those people.”
—Cynthia Roseberry