State v. Seeley , 326 Conn. 65 ( 2017 )


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  •      STATE OF CONNECTICUT v. JAMES SEELEY
    (SC 19790)
    Rogers, C. J., and Palmer, Eveleigh, McDonald, Espinosa and Robinson, Js.*
    Syllabus
    Convicted of the crime of forgery in the second degree, the defendant
    appealed. The defendant, who had been responsible for the dally opera-
    tions of a company, M Co., sought to purchase a vehicle in the name
    of the company. Because the defendant did not wholly own M Co., the
    dealership selling the vehicle required a certified resolution signed by
    at least two different corporate officers. The defendant subsequently
    sent a certified resolution to the dealership purporting to contain the
    signature of a second corporate officer, B, through a fax machine located
    in the home of the defendant’s father. Following a review of corporate
    bank records, B discovered certain unauthorized charges connected to
    the dealership. During a subsequent meeting of M Co.’s shareholders,
    the defendant referred to the purchase as a mistake and was visibly
    upset. B then pursued a criminal complaint against the defendant, claim-
    ing that B’s signature was forged on the certified resolution. Following
    presentation of the state’s case-in-chief during a trial to the court, the
    defendant filed a motion for a judgment of acquittal, which the court
    denied. Following the defendant’s presentation of his case and the close
    of evidence, the trial court found the defendant guilty and rendered
    judgment of conviction. On appeal, the defendant claimed, inter alia,
    that this court should exercise its supervisory authority over the adminis-
    tration of justice to abandon the waiver rule, which provides that a
    criminal defendant may secure appellate review of a trial court’s denial
    of a motion for a judgment of acquittal following the state’s case-in-
    chief only by forgoing the right to put on evidence, in the context of
    bench trials. The defendant also claimed, in the alternative, that the
    state’s evidence was insufficient to support his conviction. Held:
    1. This court declined to consider whether to abandon the waiver rule in
    the context of bench trials, the evidence presented by the state during
    its case-in-chief having been sufficient to establish the defendant’s guilt
    beyond a reasonable doubt.
    2. The state’s evidence was sufficient to support the defendant’s conviction
    of forgery in the second degree: the state presented sufficient evidence
    to prove beyond a reasonable doubt that the defendant forged B’s signa-
    ture on the certified resolution in light of, inter alia, B’s repeated denial
    of authorship of the signature in question, testimony from the state’s
    handwriting experts, the fact that only the defendant stood to benefit
    from the forged signature, and the defendant’s demeanor when con-
    fronted at the meeting of M Co.’s shareholders; moreover, the state
    presented sufficient evidence to establish that the defendant acted with
    an intent to deceive the dealership, the defendant having been aware
    of the requirement of a second signature and having faxed the certified
    resolution rather than delivering it to the dealership in person to circum-
    vent the dealership’s policy of requiring in person proof of identification
    for business purchases.
    Argued January 26—officially released June 27, 2017
    Procedural History
    Substitute information charging the defendant with
    the crime of forgery in the second degree, brought to
    the Superior Court in the judicial district of Danbury
    geographical area number three, and tried to the court,
    Russo, J., which denied the defendant’s motion for a
    judgment of acquittal and rendered judgment of guilty,
    from which the defendant appealed. Affirmed.
    Norman A. Pattis, with whom were Christopher La
    Tronica and, on the brief, Kevin Smith, for the appel-
    lant (defendant).
    Matthew A. Weiner, assistant state’s attorney, with
    whom were Deborah P. Mabbett, senior assistant state’s
    attorney, and, on the brief, Stephen J. Sedensky III,
    state’s attorney, for the appellee (state).
    Opinion
    ROBINSON, J. The principal issue in this appeal is
    whether, in a trial to the court, the state presented
    sufficient evidence in its case-in-chief to support the
    conviction of the defendant, James Seeley, of forgery
    in the second degree in violation of General Statutes
    § 53a-139 (a) (1)1 in connection with a document cre-
    ated to facilitate the purchase of a vehicle on behalf of
    a corporation.2 In challenging the sufficiency of the
    evidence presented, the defendant claims that we
    should exercise our supervisory authority over the
    administration of justice to abandon the waiver rule3
    in the context of court trials, and review the trial court’s
    denial of his motion for judgment of acquittal following
    the state’s case-in-chief, despite the fact that he elected
    to introduce evidence of his own. We need not reach
    the defendant’s claim regarding the waiver rule because
    we conclude that there was sufficient evidence in the
    state’s case-in-chief to support the defendant’s convic-
    tion. Accordingly, we affirm the judgment of the trial
    court.
    The record reveals the following relevant facts and
    procedural history. In 2009, the defendant and Joshua
    Bennett formed a company, Miller & Stone, Inc., for
    the purpose of manufacturing and selling dietary sup-
    plements. By May, 2010, the shareholders of Miller &
    Stone, Inc., were the defendant, Bennett, Sandra Scott,
    E. Duane Meyer, and Sean Macpherson. The defendant
    ran the daily operations of Miller & Stone, Inc., while
    Bennett developed and designed its products. Although
    the other shareholders did not actively participate in
    management, their consent was required prior to any
    substantial expenditure of funds. Despite the efforts of
    the defendant and Bennett, Miller & Stone, Inc., never
    became profitable and was valued at less than $100,000.
    In June, 2010, the defendant went to BMW of Ridge-
    field (dealership) to purchase a vehicle in the name of
    Miller & Stone, Inc. In order to do so, the defendant was
    required to submit his driver’s license and numerous
    documents to the dealership, including a ‘‘Certified Res-
    olution for Business Entity’’ (certified resolution),
    which is the document at issue in the present case.
    Because the defendant sought to purchase a vehicle in
    the name of Miller & Stone, Inc., a company he did not
    wholly own, the dealership required a certified resolu-
    tion signed by at least two different corporate officers.
    Generally, the dealership required the parties signing a
    certified resolution to provide identification upon sub-
    mission. The certified resolution in the present case,
    however, was sent through a fax machine located at
    the home of the defendant’s father, Ian Seeley, and the
    dealership did not subsequently request identification.
    On June 28, 2010, the defendant completed the sale in
    the name of Miller & Stone, Inc., and took possession
    of a BMW M6 automobile (automobile).
    Shortly thereafter, Bennett began receiving calls from
    customers who were interested in products from
    Miller & Stone, Inc., but who complained that the defen-
    dant was not following through on orders. A subsequent
    review of corporate bank records, which previously had
    been sent to the defendant’s home, revealed certain
    unauthorized charges and checks sent to the dealership.
    After seeing these expenditures, Bennett and Sandra
    Scott’s husband, Andrew Scott, drove to the dealership,
    where they discovered that the automobile had been
    purchased in the name of Miller & Stone, Inc. They
    informed the dealership that the purchase was unau-
    thorized.
    Bennett, Andrew Scott, Macpherson, Meyer, and the
    defendant subsequently met to discuss the unautho-
    rized expenditures. During this meeting, the defendant
    was ‘‘[v]ery upset,’’ ‘‘crying,’’ and ‘‘apologetic,’’ and
    referred to the purchase of the automobile as ‘‘a mistake
    . . . .’’ The defendant was told that he needed either
    to return the automobile or list himself on the title. The
    defendant agreed and, on the following day, returned
    the automobile to the dealership. The automobile was
    subsequently resold at auction for $18,000 less than the
    amount owed by Miller & Stone, Inc., on the loan.
    In early 2011, Bennett met with George Bryce, a detec-
    tive with the Bethel Police Department, to review poten-
    tial evidence in connection with the defendant’s
    purchase of the automobile in the name of Miller &
    Stone, Inc. Convinced that one of the three signatures
    that appeared on the certified resolution purported to
    be but was not actually his, Bennett pursued a crimi-
    nal complaint.
    The state charged the defendant with forgery in the
    second degree in violation of § 53a-139 (a) (1). The case
    was subsequently tried to the court, Russo, J. Following
    the presentation of the state’s case-in-chief, the defen-
    dant filed a motion seeking a judgment of acquittal,
    which was denied. Following the presentation of evi-
    dence by the defendant, the court found the defendant
    guilty as charged. The court subsequently rendered a
    corresponding judgment of conviction and sentenced
    the defendant to five years incarceration, execution
    suspended, and three years probation with special con-
    ditions. This appeal followed.
    On appeal, the defendant asks us to exercise our
    supervisory powers over the administration of justice
    to hold the waiver rule inapplicable to court trials, and
    to consider his claim that the trial court improperly
    denied his motion for judgment of acquittal at the close
    of the state’s case-in-chief. In the alternative, the defen-
    dant claims that the evidence, considered in its entirety,
    was insufficient to find him guilty of forgery in the
    second degree. Additional relevant facts and procedural
    history will be set forth as necessary.
    I
    We initially address the defendant’s request that we
    abandon the waiver rule in the context of court trials.4
    ‘‘The so-called waiver rule provides that, when a motion
    for [a judgment of] acquittal at the close of the state’s
    case is denied, a defendant may not secure appellate
    review of the trial court’s ruling without [forgoing] the
    right to put on evidence in his or her own behalf. The
    defendant’s sole remedy is to remain silent and, if con-
    victed, to seek reversal of the conviction because of
    insufficiency of the state’s evidence. If the defendant
    elects to introduce evidence, the appellate review
    encompasses the evidence in toto.’’ (Internal quotation
    marks omitted.) State v. Perkins, 
    271 Conn. 218
    , 220,
    
    856 A.2d 917
    (2004); see also State v. Papandrea, 
    302 Conn. 340
    , 350 and n.5, 
    26 A.3d 75
    (2011); State v. Rutan,
    
    194 Conn. 438
    , 440, 
    479 A.2d 1209
    (1984).
    We need not, however, presently consider abandon-
    ing the waiver rule in the context of court trials because,
    ‘‘[b]ased on a review of the state’s evidence only, the
    state ha[s] proven beyond a reasonable doubt that the
    defendant was guilty of [the crime charged]. On its
    merits, the defendant’s claim is a challenge to the suffi-
    ciency of the evidence at the end of the state’s case.
    Our review of the state’s evidence is limited to . . .
    whether [a finder of fact] could have reasonably con-
    cluded, upon the facts established and the inferences
    reasonably drawn therefrom, that the cumulative effect
    of the evidence established guilt beyond a reasonable
    doubt.’’ (Internal quotation marks omitted.) State v.
    Calonico, 
    256 Conn. 135
    , 139–40, 
    770 A.2d 454
    (2001);
    see also State v. 
    Perkins, supra
    , 
    271 Conn. 230
    and
    n.12. Accordingly, we leave for another day the issue
    of whether we should abandon the waiver rule in the
    context of court trials.
    II
    We turn next to the defendant’s claims regarding
    the sufficiency of the state’s evidence. The defendant
    claims that the evidence was insufficient to support
    a conviction of forgery in the second degree for two
    reasons. First, he contends that the state failed to pre-
    sent evidence from which a fact finder reasonably could
    have concluded that the defendant forged the signature,
    namely, because the handwriting evidence was incon-
    clusive and did not establish beyond a reasonable doubt
    that the defendant committed a forgery. Second, he
    claims that the state presented insufficient evidence
    from which a fact finder could have concluded that the
    defendant forged with intent to deceive. We address
    each of these claims in turn.
    ‘‘The standard of review [that] we [ordinarily] apply
    to a claim of insufficient evidence is well established.
    In reviewing the sufficiency of the evidence to support
    a criminal conviction we apply a two-part test. First,
    we construe the evidence in the light most favorable
    to sustaining the verdict. Second, we determine whether
    upon the facts so construed and the inferences reason-
    ably drawn therefrom the [finder of fact] reasonably
    could have concluded that the cumulative force of the
    evidence established guilt beyond a reasonable doubt.
    . . . In evaluating evidence, the trier of fact is not
    required to accept as dispositive those inferences that
    are consistent with the defendant’s innocence. . . .
    The trier may draw whatever inferences from the evi-
    dence or facts established by the evidence it deems to
    be reasonable and logical. . . . This does not require
    that each subordinate conclusion established by or
    inferred from the evidence, or even from other infer-
    ences, be proved beyond a reasonable doubt . . .
    because this court has held that a [fact finder’s] factual
    inferences that support a guilty verdict need only be
    reasonable. . . .
    ‘‘[A]s we have often noted, proof beyond a reasonable
    doubt does not mean proof beyond all possible doubt
    . . . nor does proof beyond a reasonable doubt require
    acceptance of every hypothesis of innocence posed by
    the defendant that, had it been found credible by the
    trier, would have resulted in an acquittal. . . . [I]n
    [our] process of review, it does not diminish the proba-
    tive force of the evidence that it consists, in whole or
    in part, of evidence that is circumstantial rather than
    direct. . . . It is not one fact . . . but the cumulative
    impact of a multitude of facts [that] establishes guilt in
    a case involving substantial circumstantial evidence.’’
    (Internal quotation marks omitted.) State v. Taylor, 
    306 Conn. 426
    , 431–32, 
    50 A.3d 862
    (2012); cf. State v. Bal-
    buena, 
    168 Conn. App. 194
    , 199, 
    144 A.3d 540
    (standard
    of appellate review applicable to denial of motion for
    judgment of acquittal), cert. denied, 
    323 Conn. 936
    , 
    151 A.3d 384
    (2016).
    To establish that a person is guilty of forgery in the
    second degree in violation of § 53a-139 (a), the state
    must prove that the defendant (1) forged a written
    instrument or issues or possesses a forged instrument
    knowing it to be forged, and (2) did so with the intent
    to deceive another. See, e.g., State v. DeCaro, 
    252 Conn. 229
    , 240–41, 
    745 A.2d 900
    (2000); State v. Etienne, 
    103 Conn. App. 544
    , 558, 
    930 A.2d 726
    (2007); State v. Hen-
    derson, 
    47 Conn. App. 542
    , 551, 
    706 A.2d 480
    , cert.
    denied, 
    244 Conn. 908
    , 
    713 A.2d 829
    (1998).
    A
    We begin with the defendant’s claim that the evidence
    was insufficient with respect to the act element of forg-
    ery in the second degree, namely, that he forged a writ-
    ten instrument or ‘‘possesse[d] any written instrument
    which he knows to be forged . . . .’’ General Statutes
    § 53a-139 (a). The defendant contends that the state’s
    evidence with respect to this element was inconclusive,
    at best, in that (1) the sum of the two experts’ testimony
    cannot be said to have reasonably contributed to a
    finding of guilt, (2) Bennett’s testimony was purely spec-
    ulative, and (3) the employees of the dealership could
    not testify about how the documents had been prepared
    or signed, rendering their testimony inconclusive as to
    his guilt. In response, the state contends that the fact
    finder reasonably could have concluded that Bennett’s
    signature was forged in light of the testimony from
    Bennett, Bryce, and the state’s two handwriting experts.
    The state also claims that the fact finder reasonably
    could have concluded that it was the defendant who
    forged Bennett’s signature. We agree with the state and
    conclude that there was sufficient evidence to prove
    beyond a reasonable doubt that the defendant forged
    Bennett’s signature on the certified resolution.
    First, the fact finder reasonably could have concluded
    that the third signature on the certified resolution that
    purported to belong to Bennett was forged in light of
    the testimony from Bennett, Bryce, and the state’s hand-
    writing experts. During Bennett’s testimony, he categor-
    ically denied that the third signature was his.
    Specifically, although Bennett conceded that it was pos-
    sible that two of the signatures on the certified resolu-
    tion were his because he often signed documents for the
    defendant under a time constraint without first reading
    them, when asked, Bennett repeatedly denied author-
    ship of the third signature on the certified resolution.
    In its decision, the trial court credited Bennett as
    remaining consistent, with a demeanor that was
    emphatic when he stated that the signature under per-
    sonal guarantor was not his and that he did not remem-
    ber signing it.
    Second, Bryce, the lead police investigator with
    respect to the allegations against the defendant, testi-
    fied. During the investigation, Bryce called Bennett to
    ask him about the certified resolution that contained
    his purported signatures. Bryce testified that Bennett
    stated that ‘‘he did not recall ever signing any paperwork
    putting that purchase on the company.’’ As to that con-
    versation, Bryce testified that he ‘‘believe[d] that [Ben-
    nett] did not knowingly have anything to do with the
    purchase of the [automobile] in the company’s name.’’
    Further, Bryce met with Bennett and showed him the
    signatures on the certified resolution. Although Bennett
    did not recall providing any of the signatures, he specifi-
    cally pointed to the third signature and stated that it
    definitely was not his.
    Third, the state’s two handwriting experts testified
    that the third signature on the document did not match
    the handwriting provided on Bennett’s exemplars. The
    first expert, Greg Kettering, reviewed the signatures
    contained in the certified resolution. He did so by com-
    paring the signatures to handwriting exemplars pro-
    vided by Bennett. When examining the faxed copy,
    Kettering was unable to determine whether the third
    signature belonged to Bennett because it had been ren-
    dered illegible by the fax process. Once granted access
    to the original document, Kettering concluded, how-
    ever, that the first two signatures shared a common
    authorship, but the third signature did not share a com-
    mon authorship with the other two signatures. He also
    determined that the third signature did not share a
    common authorship with Bennett’s exemplars, whereas
    the first two did. Finally, Lisa Ragaza, a forensic exam-
    iner responsible for the technical review of Kettering’s
    work, reached the same conclusions as had Kettering.
    On review, we defer to the fact finder’s assessment
    of a witness’ character and demeanor. See, e.g., State
    v. Trine, 
    236 Conn. 216
    , 227, 
    673 A.2d 1098
    (1996). Here,
    the trial court, sitting as the finder of fact, credited the
    emphatic and consistent nature of Bennett’s testimony
    that the third signature was not his. Accordingly, from
    these facts, the trial court reasonably found that, with
    respect to the question of authenticity of Bennett’s sig-
    nature, the state had ‘‘easily carried its burden of prov-
    ing beyond a reasonable doubt that someone other than
    . . . Bennett affixed the name Josh Bennett to the bot-
    tom of the [document].’’
    An ample amount of circumstantial evidence also
    supported the trial court’s finding that it was the defen-
    dant who had forged Bennett’s signature, namely, testi-
    mony provided by Bennett, Katherine Ann Boehn and
    Cynthia Cardinal-Palanzo, employees of the dealership,
    and Ian Seeley. ‘‘When evaluating the sufficiency of the
    evidence, [t]here is no distinction between direct and
    circumstantial evidence so far as probative force is
    concerned . . . . Indeed, [c]ircumstantial evidence
    . . . may be more certain, satisfying and persuasive
    than direct evidence. . . . Therefore, the probative
    force of the evidence is not diminished because it con-
    sists, in whole or in part, of circumstantial evidence
    rather than direct evidence.’’ (Citation omitted; internal
    quotation marks omitted.) State v. 
    Balbuena, supra
    , 
    168 Conn. App. 200
    ; see, e.g., State v. Jackson, 
    257 Conn. 198
    , 206, 
    777 A.2d 591
    (2001). First, the defendant drove
    the automobile and was listed as the designated driver
    of the automobile on the document at issue. Thus, it
    was only the defendant who stood to benefit from the
    forged signature. Also, Bennett testified about the meet-
    ing at which the defendant was confronted about the
    unauthorized purchase of the automobile. Bennett
    described the defendant, as ‘‘upset,’’ ‘‘crying,’’ and
    ‘‘apologetic,’’ during this meeting and testified that the
    defendant referred to the purchase as a ‘‘mistake
    . . . .’’ From this, the fact finder reasonably could have
    inferred a consciousness of guilt and concluded that
    the defendant was responsible for the forgery. Second,
    Boehn and Cardinal-Palanzo testified that a second sig-
    nature on the certified resolution was necessary to com-
    plete the purchase transaction so that the defendant
    could purchase a vehicle. They also noted the dealer-
    ship’s policy of alerting a customer to missing signa-
    tures on its documents, from which the trial court
    reasonably could have inferred that the defendant was
    aware that a second signature was needed on the docu-
    ments to complete the purchase. Third, Ian Seeley testi-
    fied that the fax number on the certified resolution
    faxed to the dealership matched the fax number from
    the machine at his home, a location at which the defen-
    dant frequently worked. Viewing this circumstantial evi-
    dence in the light most favorable to sustaining the
    court’s finding of guilt; see, e.g., State v. 
    Taylor, supra
    ,
    
    306 Conn. 432
    ; we conclude that the fact finder reason-
    ably could have inferred that it was the defendant who
    had forged Bennett’s signature on the certified resolu-
    tion, which he faxed to the dealership.
    B
    Having determined that the trial court reasonably
    could have found beyond a reasonable doubt that the
    defendant had forged the signature on the certified reso-
    lution, we turn to the defendant’s claim with respect
    to the second element, namely, that the state failed
    to prove beyond a reasonable doubt that he forged
    Bennett’s signature with the intent to deceive. Distin-
    guishing State v. Dickman, 
    119 Conn. App. 581
    , 
    989 A.2d 613
    , cert. denied, 
    295 Conn. 923
    , 
    991 A.2d 569
    (2010), the defendant claims that that the record does
    not contain sufficient evidence to allow the finder of
    fact to infer the requisite specific intent to sustain a
    conviction of forgery in the second degree. In response,
    the state contends that the fact finder reasonably could
    have found that the defendant acted with the intent
    to deceive the dealership in forging Bennett’s name.
    Additionally, the state contends that Dickman supports
    the trial court’s ruling. We agree with the state and
    conclude that the trial court reasonably could have
    concluded that, in forging Bennett’s signature, the
    defendant acted with the intent to deceive the dealer-
    ship into believing that more than one member of
    Miller & Stone, Inc., had consented to his purchase of
    the automobile.
    ‘‘As we frequently have observed, [i]ntent is generally
    proven by circumstantial evidence because direct evi-
    dence of the accused’s state of mind is rarely available.
    . . . Therefore, intent is often inferred from conduct
    . . . and from the cumulative effect of the circumstan-
    tial evidence and the rational inferences drawn there-
    from.’’ (Internal quotation marks omitted.) State v.
    Nash, 
    316 Conn. 651
    , 672, 
    114 A.3d 128
    (2015).
    The record reveals ample circumstantial evidence to
    support the fact finder’s conclusion that, by forging
    Bennett’s name on the certified resolution, the defen-
    dant intended the dealership, as the recipient of the
    form, to believe that Bennett had, in fact, signed the
    form. First, Boehn testified that it was company policy
    that two signatures were required to make a purchase
    in the name of a company when an individual does not
    own 100 percent of the shares. From this, the fact finder
    reasonably could have inferred that the defendant was
    aware that a signature from another officer from
    Miller & Stone, Inc., was required in order to complete
    the purchase of the automobile. Thus, his forgery of
    the certified resolution was done with the intent to
    deceive the dealership into believing that a second offi-
    cer had authorized the purchase of the automobile on
    behalf of Miller & Stone, Inc.
    We find State v. 
    Dickman, supra
    , 
    119 Conn. App. 588
    ,
    instructive on this point. In that case, the defendant,
    Priscilla C. Dickman, was charged with, inter alia, forg-
    ery in the third degree in violation of General Statutes
    § 53a-1405 in connection with altered documents that
    were submitted to an insurance company with respect
    to a claim filed on behalf of her brother-in-law, for
    whom her husband had been appointed conservator.
    
    Id., 582–84. Dickman
    attempted to obtain information
    about her brother-in-law’s insurance claim following an
    accident in which he was struck by a motor vehicle.
    
    Id., 583. After
    the insurance company refused to release
    information, Dickman faxed the insurance company a
    probate form, which she later admitted that she had
    altered by adding her name as a fiduciary and conserva-
    tor. 
    Id., 583–84, 587.
    When that form was insufficient,
    Dickman sent a letter of designation purporting to have
    been signed by her brother-in-law, authorizing her and
    her husband to handle his claim with the insurance
    company. 
    Id., 584. Dickman
    then presented the insur-
    ance company with false information regarding her
    brother-in-law’s injuries and treatments, causing the
    insurance company to believe it had been presented
    with a false claim and to pursue criminal proceedings,
    in which Dickman was subsequently convicted of one
    count of forgery in the third degree. 
    Id., 584–85. On
    appeal, Dickman conceded that she had altered
    the probate document sent to the insurance company,
    but claimed that there was insufficient evidence that
    she had done so with the intent to deceive or defraud.
    
    Id., 587. The
    Appellate Court concluded, however, that
    there was sufficient evidence to support the jury’s find-
    ing that Dickman had intended to deceive the insurance
    company. 
    Id., 588–89. The
    Appellate Court emphasized
    that Dickman sent an altered probate form listing her-
    self as her brother-in-law’s conservator only after learn-
    ing that a representative of the insurance company,
    consistent with corporate policy, would not speak to
    her unless authorized by the brother-in-law. 
    Id. From this
    fact, the Appellate Court determined that the ‘‘jury
    reasonably could have concluded that [Dickman] sent
    the altered probate form to [the insurance company]
    to circumvent its policy of speaking only to third parties
    authorized to speak on behalf of claimants.’’ 
    Id., 589. The
    Appellate Court stated further that the jury ‘‘reason-
    ably could have inferred that [Dickman] intended [the
    insurance company] to believe that she was [her
    brother-in-law’s] conservator, and, thus, an [insurance]
    representative could discuss his claim with her.
    Because [Dickman] was not [her brother-in-law’s] con-
    servator, the jury could have concluded, on the basis
    of the circumstantial evidence, that [Dickman] intended
    to deceive [the insurance company] by causing it to
    believe that she was [her brother-in-law’s] conserva-
    tor.’’ 
    Id. Similar to
    Dickman, in the present case, the defen-
    dant acted only after being informed that, to purchase
    the automobile in the name of Miller & Stone, Inc., a
    second signature was required. Thus, as in Dickman,
    the fact finder in the present case reasonably could
    have concluded that the defendant forged Bennett’s
    name and faxed the certified resolution to the dealer-
    ship, rather than bringing it in in person, to circumvent
    the policy of requiring a second signature with identifi-
    cation for business purchases. The fact finder also rea-
    sonably could have inferred that the defendant intended
    the dealership to believe that Bennett, as an officer of
    Miller & Stone, Inc., authorized the purchase of the
    automobile so that the dealership would sell a vehicle
    to the defendant. Because the signature on the form
    was not Bennett’s, the fact finder could have concluded,
    on the basis of the circumstantial evidence, that the
    defendant intended to deceive the dealership by causing
    it to believe that two separate officers from Miller &
    Stone, Inc., authorized the purchase of the automobile.
    Accordingly, we conclude that, considering only the
    evidence presented in the state’s case-in-chief, the state
    presented sufficient evidence to support the defen-
    dant’s conviction of forgery in the second degree
    beyond a reasonable doubt.
    The judgment is affirmed.
    In this opinion the other justices concurred.
    * This case originally was scheduled to be argued before a panel of this
    court consisting of Chief Justice Rogers and Justices Palmer, Eveleigh,
    McDonald, Espinosa and Robinson. Although Justice Palmer was not present
    at oral argument, he has read the briefs and appendices, and has listened
    to a recording of oral argument prior to participating in this decision.
    1
    General Statutes § 53a-139 provides in relevant part: ‘‘(a) A person is
    guilty of forgery in the second degree when, with intent to defraud, deceive
    or injure another, he falsely makes, completes or alters a written instrument
    or issues or possesses any written instrument which he knows to be forged,
    which is or purports to be, or which is calculated to become or represent
    if completed: (1) A deed, will, codicil, contract, assignment, commercial
    instrument or other instrument which does or may evidence, create, transfer,
    terminate or otherwise affect a legal right, interest, obligation or status
    . . . .’’
    2
    The defendant appealed from the judgment of the trial court to the
    Appellate Court, and we transferred the appeal to this court pursuant to
    General Statutes § 51-199 (c) and Practice Book § 65-1.
    3
    ‘‘The so-called waiver rule provides that, when a motion for [a judgment
    of] acquittal at the close of the state’s case is denied, a defendant may not
    secure appellate review of the trial court’s ruling without [forgoing] the
    right to put on evidence in his or her own behalf. The defendant’s sole
    remedy is to remain silent and, if convicted, to seek reversal of the conviction
    because of insufficiency of the state’s evidence. If the defendant elects to
    introduce evidence, the appellate review encompasses the evidence in toto.’’
    (Internal quotation marks omitted.) State v. Perkins, 
    271 Conn. 218
    , 220,
    
    856 A.2d 917
    (2004).
    4
    The defendant acknowledges that this court has upheld the constitution-
    ality of the waiver rule and reaffirmed our adherence to it in the context
    of jury trials. See State v. Perkins, 
    271 Conn. 218
    , 231, 
    856 A.2d 917
    (2004).
    Nevertheless, he claims that we should reject the waiver rule in the context
    of court trials for two reasons. First, the defendant relies on the fact that,
    as observed in State v. Rutan, 
    194 Conn. 438
    , 440, 
    479 A.2d 1209
    (1984),
    the denial of a defendant’s motion for judgment of acquittal places the
    defendant in a dilemma—he either must maintain his silence and present
    no evidence, or expose himself to the waiver rule and present evidence,
    such that the judge’s denial of the initial motion for judgment of acquittal
    becomes unreviewable. Turning to court trials specifically, the defendant
    emphasizes the trial judge’s role as fact finder, and the risk that the judge’s
    initial denial of the defendant’s motion for judgment of acquittal may taint
    the judge’s final deliberations with respect to the defendant’s guilt. Specifi-
    cally, the defendant questions whether a trial judge can disregard his or her
    prior decision when deciding the case at the close of all the evidence. In
    response, the state contends that the waiver rule remains valid in the context
    of court trials because ‘‘there is no reason to believe that a Superior Court
    judge cannot decide whether the evidentiary record, considered in its
    entirety, supports the defendant’s guilt beyond a reasonable doubt, indepen-
    dent from a prior decision that evidence presented during the state’s case-
    in-chief, if construed in the light most favorable to the state, could support
    each element of the charged crime.’’ The state emphasizes that, ‘‘in this
    case, the trial court, in denying the defendant’s motion, frequently acknowl-
    edged the different standard applicable to an acquittal motion as compared
    to a guilty verdict.’’
    5
    General Statutes § 53a-140 (a) provides that ‘‘[a] person is guilty of forgery
    in the third degree when, with intent to defraud, deceive or injure another,
    he falsely makes, completes or alters a written instrument, or issues or
    possesses any written instrument which he knows to be forged.’’ (Emphasis
    added.) The specific intent required here is identical to that of § 53a-139.
    

Document Info

Docket Number: SC19790

Citation Numbers: 161 A.3d 1278, 326 Conn. 65, 2017 WL 2703818, 2017 Conn. LEXIS 189

Judges: Rogers, Palmer, Eveleigh, McDonald, Espinosa, Robinson

Filed Date: 6/27/2017

Precedential Status: Precedential

Modified Date: 10/19/2024