State v. Brown ( 2014 )


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    STATE v. BROWN—DISSENT
    SHELDON, J., dissenting. The majority has rejected
    the claim by the defendant, Christopher Brown, that
    the trial court erred in admitting evidence of his prior
    involvement with his alleged accomplice and coconspir-
    ator, Frederick Johansen, in committing certain Litch-
    field car burglaries to prove his motive and intent to
    commit the offenses charged against him in this case on
    two related grounds: first, that the challenged evidence
    tended logically to prove his motive and intent to com-
    mit the charged offenses; and second, that the probative
    value of such evidence on those issues outweighed its
    prejudicial effect, as measured by the risk that it would
    cause his jury to find him guilty on a basis other than
    his proven guilt. Because I cannot accept either of these
    conclusions, I respectfully dissent.
    The majority sets forth the correct rules and princi-
    ples under which the defendant’s claim must be ana-
    lyzed. ‘‘As a general rule, evidence of guilt of other
    crimes is inadmissible to prove that a defendant is guilty
    of the crime charged against him. State v. Harris, 
    147 Conn. 589
    , 599, 
    164 A.2d 399
     [1960]. State v. Fredericks,
    
    149 Conn. 121
    , 124, 
    176 A.2d 581
     (1961); McCormick,
    Evidence (2d Ed. 1972) § 190; 1 Wharton, Criminal Evi-
    dence (13th Ed.) § 170. The rationale of this rule is to
    guard against its use merely to show an evil disposition
    of an accused, and especially the predisposition to com-
    mit the crime with which he is now charged. See State
    v. Williams, 
    190 Conn. 104
    , 108, 
    459 A.2d 510
     (1983);
    State v. Howard, 
    187 Conn. 681
    , 684, 
    447 A.2d 1167
    (1982); State v. Ibraimov, 
    187 Conn. 348
    , 352, 
    446 A.2d 382
     (1982); State v. Barlow, 
    177 Conn. 391
    , 393, 
    418 A.2d 46
     (1979); 1 Wigmore, Evidence (3d Ed.) §§ 215–18.
    . . . State v. Braman, 
    191 Conn. 670
    , 675, 
    469 A.2d 760
    (1983). The fact that such evidence tends to prove the
    commission of other crimes by an accused does not
    render it inadmissible if it is otherwise relevant and
    material. Id.; State v. Ibraimov, 
    supra, 352
    ; State v.
    Hauck, 
    172 Conn. 140
    , 144, 
    374 A.2d 150
     (1976); State
    v. Marshall, 
    166 Conn. 593
    , 600, 
    353 A.2d 756
     (1974).
    Such evidence is admissible for other purposes, such
    as to show intent, an element in the crime, identity,
    malice, motive or a system of criminal activity. State
    v. Ibraimov, 
    supra, 352
    ; State v. Falby, 
    187 Conn. 6
    , 23,
    
    444 A.2d 213
     (1982); State v. Brown, 
    169 Conn. 692
    ,
    701, 
    364 A.2d 186
     (1975).
    ‘‘Our analysis of whether evidence of the uncharged
    misconduct is admissible is two-pronged. First, the evi-
    dence must be relevant and material to at least one of
    the circumstances encompassed by the exceptions to
    the propensity rule. Second, the probative value of such
    evidence must outweigh the prejudicial effect of the
    other crimes evidence. State v. Braman, supra, 
    191 Conn. 676
    ; State v. Howard, supra, 
    187 Conn. 685
    ; State
    v. Ibraimov, 
    supra,
     
    187 Conn. 352
    ; State v. Onofrio,
    
    179 Conn. 23
    , 28–29, 
    425 A.2d 560
     (1979). The primary
    responsibility for conducting the prejudicial-probative
    balancing test rests with the trial court, and its conclu-
    sion will be disturbed only for a manifest abuse of
    discretion. State v. Morowitz, 
    200 Conn. 440
    , 446, 
    512 A.2d 175
     (1986); State v. Mandrell, 
    199 Conn. 146
    , 152,
    
    506 A.2d 100
     (1986); State v. Shindell, 
    195 Conn. 128
    ,
    136, 
    486 A.2d 637
     (1985); State v. Johnson, 
    190 Conn. 541
    , 548–49, 
    461 A.2d 981
     (1983); State v. Tucker, 
    181 Conn. 406
    , 416, 
    435 A.2d 986
     (1980); 1 F. Wharton, Crimi-
    nal Evidence (13th Ed.1972) § 241. [W]e will indulge in
    every reasonable presumption in favor of the trial
    court’s ruling. State v. Mooney, [
    218 Conn. 85
    , 131, 
    588 A.2d 145
    , cert. denied, 
    502 U.S. 919
    , 
    112 S. Ct. 330
    , 
    116 L. Ed. 2d 270
     (1991)]; State v. Sierra, 
    213 Conn. 422
    ,
    435, 
    568 A.2d 448
     (1990); State v. Braman, supra, [677];
    State v. Johnson, 
    supra, 549
    ; State v. Howard, supra,
    [685]; State v. Ryan, 
    182 Conn. 335
    , 337, 
    438 A.2d 107
    (1980).’’ (Internal quotation marks omitted.) State v.
    Figueroa, 
    235 Conn. 145
    , 161–63, 
    665 A.2d 63
     (1995).
    Where I part company with the majority is in its
    application of the foregoing rules and principles to the
    challenged evidence of the Litchfield car burglaries, as
    admitted by the trial court to prove the defendant’s
    motive and intent to commit the offenses charged
    against him in this case. Although evidence of certain
    types of prior misconduct is admissible to prove both
    motive and intent, motive and intent are distinct and
    different exceptions to the general rule prohibiting the
    use of prior misconduct evidence against a criminal
    defendant. Therefore, the application of these excep-
    tions to the challenged evidence must be separately con-
    sidered.
    Proof of motive is a well established exception to
    the general rule prohibiting the admission of prior mis-
    conduct evidence against a criminal defendant when
    the probative value of such evidence on that issue out-
    weighs its prejudicial effect. Although proof of motive
    is not typically required to obtain a criminal conviction,
    it can furnish powerful and appropriate evidence of
    guilt on the traditional theory that, if the defendant had
    a special reason or incentive to commit the charged
    offense in the manner alleged and proved—against the
    particular victim, to accomplish a particular result, or
    otherwise—then it reasonably can be inferred that he
    acted in furtherance of that motive by committing that
    offense. State v. Lopez, 
    280 Conn. 779
    , 795, 
    911 A.2d 1099
     (2007) (prior misconduct that tends to show defen-
    dant harbored hostility toward victim of violent crime
    admissible to establish motive). Whether the defen-
    dant’s motive is one of revenge, self-protection, self-
    enrichment or otherwise, evidence of the defendant’s
    involvement in prior misconduct tending to establish
    that motive is admissible to prove both that he engaged
    in the conduct claimed to constitute the charged offense
    and that he did so with the intent required for commis-
    sion of that offense, provided its probative value on
    that issue is found to outweigh its prejudicial effect.
    Where, then, the connection between proffered evi-
    dence of the defendant’s prior misconduct and his
    motive to commit the charged offense is sufficiently
    strong that a properly instructed jury can be counted
    on to confine its use of the evidence to that purpose,
    such evidence is properly ruled admissible on that issue
    as an exception to the general rule. See State v. Mar-
    shall, 
    supra,
     
    166 Conn. 599
    –601 (evidence of murder
    suspect and murder victim’s joint involvement in notori-
    ous gang rape as to which victim had considered coop-
    erating with state ruled admissible to prove defendant’s
    motive to kill victim).
    Proof of intent is also a well established exception to
    the general rule prohibiting the use of prior misconduct
    evidence to prove the guilt of a criminal defendant.
    Such evidence is admissible to prove the defendant’s
    intent, provided it is relevant and its probative value
    on that issue outweighs any prejudice naturally arising
    from its tendency to cause the jury to find the defendant
    guilty for reasons other than his proven guilt. Import-
    antly, however, evidence admitted under the intent
    exception to the general rule can only be used to prove
    that, if the defendant engaged in the conduct claimed
    to constitute the charged offense, he did so with the
    intent required for commission of that offense. State
    v. Meehan, 
    260 Conn. 372
    , 396, 
    796 A.2d 1191
     (2002)
    (emphasizing distinction between using prior miscon-
    duct evidence to prove an alleged act and to prove an
    alleged intent); see also State v. Baldwin, 
    224 Conn. 347
    ,
    355–56, 
    618 A.2d 513
     (1993) (prior misconduct evidence
    irrelevant and inadmissible to prove defendant’s subse-
    quent act of possession, but relevant and admissible to
    prove intent with which that subsequent act, if other-
    wise established, was committed, particularly the
    intent to sell); State v. Tucker, 
    supra,
     
    181 Conn. 415
    (trial court properly admitted evidence of prior acts of
    child abuse against same victim to prove specific intent
    to murder and lack of accident, but not to prove act of
    murder itself).1 Such evidence cannot be used to prove
    that the defendant actually engaged in the underlying,
    allegedly criminal conduct, unless it was also admitted
    under a different exception to the general rule which
    permits substantive use of such evidence to prove the
    defendant’s acts as well as his intent due to the direct
    relationship between the prior misconduct and the
    charged offense. Prior misconduct that has such a direct
    relationship to the charged offense as to permit evi-
    dence of such misconduct to be used to prove the defen-
    dant’s acts as well as his intent includes, for example,
    misconduct tending to prove the defendant’s motive to
    commit the charged offense; see State v. Marshall,
    
    supra,
     
    166 Conn. 599
    –601; misconduct tending to prove
    that the charged offense was a ‘‘signature crime,’’ com-
    mitted in such a distinctive manner as to identify the
    defendant as its likely perpetrator; see State v. Figue-
    roa, supra, 
    235 Conn. 163
    –64; and misconduct tending
    to prove that the charged offense was committed as
    part of a system of criminal activity. See State v. McFar-
    lane, 
    88 Conn. App. 161
    , 164–65, 
    868 A.2d 130
    , cert.
    denied, 
    273 Conn. 931
    , 
    873 A.2d 999
     (2005).
    Although evidence of prior misconduct that is admit-
    ted solely to prove the defendant’s intent cannot law-
    fully be used to prove that he actually committed the
    acts claimed to constitute the charged offense, such
    evidence nonetheless carries with it the risk that,
    despite its expressly limited purpose, it will lead the
    jury to find that the defendant is a person of bad charac-
    ter who has, and has acted on, a propensity or predispo-
    sition to commit similar offenses. This problem is
    especially significant when, as is often the case, there
    are generic, albeit nonsignature, similarities between
    the prior misconduct and the charged offense. Great
    care must be taken in admitting evidence of prior, unre-
    lated misconduct to prove the defendant’s later intent,
    for as Professor Tait and Judge Prescott have observed,
    ‘‘when the prior uncharged misconduct is ‘extrinsic,’
    namely, separate and distinct from the crime charged,
    the use of uncharged misconduct to prove intent is . . .
    practically indistinguishable from prohibited propen-
    sity evidence. . . . [T]o use misconduct at one time to
    prove an intent to do the same thing at another time
    borders on the forbidden theme of ‘once a thief always
    a thief.’ ’’ (Citation omitted.) C. Tait & E. Prescott, Con-
    necticut Evidence (4th Ed. 2008) § 4.19.6, p. 164.
    In light of these concerns, the admission of prior
    misconduct evidence solely to prove a defendant’s
    intent to commit a charged offense is properly limited
    to cases in which there is a genuine dispute as to
    whether, if the defendant actually engaged in the con-
    duct claimed to constitute the charged offense, he
    engaged in such conduct with the mental state required
    for conviction of that offense. State v. Gilligan, 
    92 Conn. 526
    , 536–37, 
    103 A. 649
     (1918); see also State v. Ves-
    sichio, 
    197 Conn. 644
    , 664–65, 
    500 A.2d 1311
     (1985),
    cert. denied, 
    475 U.S. 1122
    , 
    106 S. Ct. 1642
    , 
    90 L. Ed. 2d 187
     (1986). Such is the case, for example, when the
    defendant concedes that his allegedly guilty conduct
    has been proven, but claims that he engaged in such
    conduct by accident or mistake or with some other
    innocent purpose. See State v. Perry, 
    195 Conn. 505
    ,
    522, 
    488 A.2d 1256
     (1985) (evidence of other robberies
    in which defendant participated probative in negating
    his claims of duress and ignorance of companion’s crim-
    inal intent). In that event, proof of the defendant’s guilty
    purpose when he engaged in similar misconduct in the
    past can logically be used to disprove his current claim
    of accident, mistake or other innocent purpose when he
    so acted in the case at bar without having any prejudicial
    impact on the undisputed nonissue of whether or not
    he actually engaged in the allegedly criminal conduct.
    When, by contrast, there is no genuine dispute that, if
    the defendant actually engaged in the conduct claimed
    to constitute the charged offense, he did so with the
    mental state required for commission of that offense,
    evidence of prior misconduct cannot be admitted to
    prove his intent because, having no probative value on
    that issue, its only logical use by the jury would be to
    support the illicit inference that the defendant commit-
    ted the charged offense because he had the propensity
    or predisposition to do so. See State v. Meehan, supra,
    
    260 Conn. 395
    –97.
    The majority begins its analysis of the relevancy of
    the challenged evidence on the issues of motive and
    intent by noting, unobjectionably, that intent is an
    essential element of each of the crimes with which the
    defendant was charged in this case. On this score, it
    notes, more particularly, that to convict the defendant
    of burglary in the third degree or larceny in the third
    degree, the two substantive crimes with which the
    defendant was charged as an alleged accessory to
    Johansen, the state was required to prove that the defen-
    dant acted with the mental state required for commis-
    sion of a larceny, which it refers to colloquially as the
    intent to steal. It further notes that to convict the defen-
    dant of conspiracy to commit burglary in the third
    degree or conspiracy to commit larceny in the third
    degree, the two remaining, inchoate crimes with which
    he was charged as Johansen’s alleged coconspirator,
    the state was required to prove that he acted with two
    related intents: first, the intent to agree with Johansen
    to commit each essential element of the substantive
    crime which was the alleged object of the charged con-
    spiracy, here, either burglary or larceny, as appropriate
    to the charge; and second, as part of its proof of his
    intentional agreement with Johansen to commit that
    substantive crime—the intent required for commission
    of that substantive crime—here, to reiterate, the intent
    to steal.
    Thereafter, however, instead of explaining how evi-
    dence of the defendant’s involvement in the Litchfield
    car burglaries tended logically to prove that he acted
    with any such necessary intent, by establishing his
    motive to act with that intent or otherwise, the majority
    addresses the relevancy of the challenged evidence to
    the defendant’s motive and intent simply by paraphras-
    ing and agreeing with the following argument advanced
    by the state: ‘‘[T]he defendant’s prior dealing with
    Johansen in the Litchfield car burglaries, which
    involved some acts of parallel behavior in terms of the
    relationship between Johansen and the defendant in
    the manner in which the underlying crimes were com-
    mitted, provided some evidence of the defendant’s
    motive and intent to commit the subject crimes with
    Johansen. We agree with the state.’’
    Here, although the majority suggests that there are
    certain ‘‘acts of parallel behavior’’ between the defen-
    dant’s admitted conduct in Litchfield and his alleged
    conduct in Ellington approximately six months later, it
    offers no specifics as to what those parallels are or
    why, in its judgment, they tend to prove that the defen-
    dant had the motive or intent to conspire with Johansen
    to commit the crimes charged against him in connection
    with the burglary at the Ellington home of Gerald Har-
    grave. Instead, it offers only brief, and in my judgment
    unconvincing, explanations of its reasoning in reaching
    its previously stated conclusions.
    As for the defendant’s motive to commit the charged
    offenses, the majority adds only that it agrees with the
    state’s further argument that ‘‘the admission of evidence
    of the defendant’s past misconduct with Johansen pro-
    vided some evidence of the defendant’s motive to entice
    and conspire with Johansen to commit the Hargrave
    burglary and larceny because Johansen was indebted
    to the defendant, who had previously posted bail for him
    due to past arrests.’’ ‘‘As noted,’’ the majority continues,
    ‘‘the jury heard from Johansen that he was indebted to
    the defendant before [the date of the Hargrave burglary]
    February 4, 2010, and that when the defendant con-
    spired with him for the commission of the burglary and
    larceny, the defendant indicated that he would expect
    a small finder’s fee. Although the defendant argues that
    there was no evidence that Johansen repaid him,
    Johansen’s failure to satisfy that obligation to the defen-
    dant serves only to create an implication that the defen-
    dant’s financial motive in enticing Johansen may not
    have been realistic and that his expectation may not
    have been fulfilled.’’ I disagree.
    Implicit in the foregoing observations is the sugges-
    tion that the defendant’s motive for enticing and con-
    spiring with Johansen to commit the Hargrave burglary
    was to obtain repayment of a debt which Johansen
    owed to him, at least in part, for posting his bail follow-
    ing his arrest for the Litchfield car burglaries. Respect-
    fully, I believe that this theory is unsupported by the
    evidence.
    First, although Johansen did indeed state to the police
    that at the time of the Hargrave burglary he owed the
    defendant money for previously bailing him out of jail,
    he never stated that he had incurred any part of that
    unpaid debt in connection with the Litchfield car bur-
    glaries. The evidence did not show that Johansen was
    released on bail after his arrest in Litchfield, much less
    that, if he was so released, it was the defendant who
    posted his bail. Absent such a connection between the
    Litchfield car burglaries and the debt from Johansen
    to the defendant, which assertedly motivated the defen-
    dant to entice Johansen to commit the Hargrave bur-
    glary, evidence of the defendant’s involvement in
    committing the Litchfield car burglaries was completely
    irrelevant to his motive to recruit and conspire with
    Johansen in the manner claimed.
    Second, consistent with the absence of any proven
    connection between the Litchfield car burglaries and
    the debt Johansen owed to the defendant at the time
    of the Hargrave burglary, Johansen never claimed,
    either in his statement to the police or in his trial testi-
    mony, that part of the defendant’s inducement to him
    to commit the Hargrave burglary was to lower the
    amount or modify the terms of repayment of any such
    preexisting debt. Instead, as the majority itself acknowl-
    edges, the defendant’s only proposed compensation in
    connection with the Hargrave burglary was claimed to
    have been a small finder’s fee which he was to have been
    given for setting up the burglary and giving Johansen the
    opportunity to commit it. Johansen, on the other hand,
    was to have kept most of the profits from the burglary
    because, as the defendant reportedly put it, Johansen
    would be doing ‘‘the dirty work . . . .’’ There was noth-
    ing in the evidence to suggest that any part of Johansen’s
    small payment to the defendant from the profits of the
    Hargrave burglary was to have been made not as a
    finder’s fee, but as a partial repayment of Johansen’s
    preexisting debt to the defendant for previously bailing
    him out of jail.
    Third, even if evidence had been adduced at trial to
    suggest that part of Johansen’s debt to the defendant
    had been incurred when the defendant posted his bail
    after the Litchfield car burglaries, such an evidentiary
    link between the two crimes, had in fact there been
    one, would not have justified the state in introducing
    evidence of the defendant’s involvement in committing
    those unrelated offenses to prove him guilty of the
    Hargrave burglary. The complete story of the defen-
    dant’s alleged recruitment of Johansen to commit the
    Hargrave burglary in order to repay a debt he owed to
    the defendant for posting his bail in connection with
    the Litchfield car burglaries could readily have been
    told in all necessary detail without revealing that the
    defendant had played any role in committing the Litch-
    field car burglaries. For all of these reasons, I disagree
    with the majority that the defendant’s involvement in
    the Litchfield car burglaries had any logical tendency
    to prove that the defendant had a debt repayment
    motive for enticing and conspiring with Johansen to
    commit the Hargrave burglary.
    Alternatively, the majority submits that the evidence
    was relevant to prove the defendant’s intent. The major-
    ity’s only explanation of its reasoning as to its asserted
    relevancy for this purpose appears in footnote 9 of its
    opinion, as follows: ‘‘In the case at hand, evidence of
    the defendant’s past relationship with Johansen in the
    commission of the Litchfield car burglaries was relevant
    to the issue of intent. That is, such evidence is not
    admitted to prove relationship as an end; rather, the
    relationship between the defendant and another actor
    as past misconduct is some evidence of the defendant’s
    intent to conspire with that same person. Contrary to
    the defendant’s claim, the evidence is not admitted to
    prove the defendant’s propensity to commit crimes;
    rather, it provides some evidence of an intent to form
    a conspiracy with that particular person.’’ I do not agree.
    Here, as previously noted, although the majority sug-
    gests that there are ‘‘certain parallels’’ between the
    defendant’s admitted conduct in Litchfield and his
    alleged conduct in Ellington approximately six months
    later, it offers no specifics as to what those parallels
    might be or why, in its judgment, they tend to prove
    that the defendant intended to conspire with Johansen
    to commit the crimes charged against him in connection
    with the Hargrave burglary. This, I think, is not surpris-
    ing, for there is no direct connection between the Litch-
    field car burglaries and the Hargrave burglary, and the
    only parallels between them are very general and super-
    ficial, while the distinctions between them are apparent
    and very significant. Both criminal episodes, to be sure,
    involved break-ins and thefts, generic burglaries and
    larcenies. As previously noted, however, the Litchfield
    car burglaries targeted cars of unknown victims for
    random valuables, while the Hargrave burglary targeted
    the residence of a known victim, Hargrave, for prescrip-
    tion drugs and, ultimately, household electronic equip-
    ment. Both episodes, moreover, were allegedly
    committed by Johansen as a principal offender with
    the defendant as his accessory. The Litchfield car bur-
    glaries, however, involved the defendant as an active
    participant in the commission of crimes proposed to
    him by Johansen, whereas the Hargrave burglary alleg-
    edly involved the defendant only as an absent setup
    man for a break-in that he had allegedly proposed to
    Johansen. There was thus nothing about the manner
    in which the two sets of crimes were instigated or
    perpetrated that supported the logical inference that,
    if the defendant committed the former, then logically
    he intended to commit the latter. At most, evidence of
    the defendant’s involvement in committing the Litch-
    field car burglaries tended to show that he was a thief,
    who had previously committed property crimes of the
    same general sort together with Johansen.
    Reducing the majority’s explanation for its contrary
    conclusion to its essence, one finds a single troubling
    rationale: if, on a prior occasion, in different circum-
    stances, the defendant and Johansen conspired
    together to commit the Litchfield car burglaries, then
    logically it can be inferred from their prior relationship
    that they later renewed or continued that relationship
    by conspiring once again, six months later, to commit
    the otherwise unrelated Hargrave burglary and larceny.
    That inference, however, is nothing more than an infer-
    ence of guilt based upon propensity or predisposition,
    under the forbidden logic of ‘‘once a thief, always a
    thief.’’
    The challenged evidence does not tend to prove that
    the defendant intended to steal property from Hargrave,
    as required to convict him of each charged offense, nor
    does it tend to prove his alleged intent to agree with
    Johansen to commit all of the essential elements of
    burglary or larceny, as required to convict him of con-
    spiracy to commit either such substantive offense in this
    case. Instead, it bears only on the defendant’s identity as
    one of the perpetrators of the charged offenses on the
    theory that since he once before conspired with
    Johansen to commit generically similar crimes, then he
    intended to do so again in this case.
    This is not a case in which there is a genuine dispute
    as to whether, if the defendant engaged in the conduct
    claimed to constitute the four charged offenses, he
    acted with the intent required for commission of any
    such offense. According to Johansen’s police statement,
    the defendant contacted him with information that the
    Hargrave home was full of prescription drugs and other
    valuables which he could simply go in and take on the
    date of the burglary, that Hargrave, who was dying,
    would not be home at that time, and that the defendant
    would arrange to have the door to the home left open
    for him. Johansen further stated that the defendant
    told him that if he agreed to do ‘‘the dirty work’’ by
    committing the break-in and theft of Hargrave’s prop-
    erty, he could keep most of the profit as long as he
    paid the defendant a small finder’s fee. If the defendant
    engaged in such conduct, as alleged, then surely he
    did so with the intent to steal Hargrave’s property, for
    otherwise he would not have made plans for its removal
    in secret or referred to the break-in and taking of prop-
    erty as ‘‘the dirty work . . . .’’ If, by the same token,
    the defendant agreed with Johansen to commit the pro-
    posed crimes in order to realize a profit they would
    later share, then just as surely his agreement with
    Johansen to commit the resulting burglary and larceny
    was intentional, for he obviously had the financial
    incentive to work together with Johansen to commit
    those crimes.
    There is nothing in the record, moreover, to show
    that the defendant ever engaged in any ambiguous,
    potentially incriminatory conduct in relation to the Har-
    grave burglary which he later claimed to have engaged
    in by accident or mistake or without a guilty purpose.
    He was never seen in Johansen’s company at any time
    before, during or after the break-in, and was never
    shown to have possessed or been in the presence of
    the fruits or instrumentalities of the break-in, either
    before or after its occurrence. Most significantly, he
    never claimed or was shown to have had any potentially
    innocent discussion with or in the presence of Johansen
    concerning Hargrave’s illness or absence from his
    home, much less the presence in the home of drugs or
    electronic equipment, that might have given Johansen
    the incentive to commit the ensuing burglary and lar-
    ceny entirely on his own initiative. Had he so claimed,
    then evidence of his and Johansen’s prior misconduct
    in Litchfield might conceivably have been relevant to
    rebut the defendant’s claim of innocence when dis-
    cussing what amounted to an available opportunity to
    commit, in the case at bar, a potentially profitable break-
    in. Here, however, the defendant consistently denied
    all involvement in planning, setting up or otherwise
    facilitating the Hargrave burglary, innocent or other-
    wise, and thus never defended himself against any of
    the offenses charged against him based on a claim of
    accident, mistake or other innocent purpose, which
    evidence of his prior misconduct in similar circum-
    stances might appropriately have been used to rebut.
    In short, this is not a case in which evidence of such
    misconduct shed any light at all on the defendant’s
    intent to commit the Hargrave burglary.
    Concluding, as I have, that evidence of the defen-
    dant’s involvement in the unrelated Litchfield car bur-
    glaries fails to support a logical inference of his motive
    or intent to commit or conspire with Johansen to com-
    mit the Hargrave burglary, I must next determine if
    the prejudicial effect of such evidence outweighed its
    probative value. The majority focuses its discussion of
    prejudice on factors affecting the admissibility of prior
    misconduct evidence when it is shown to have at least
    some discernible relevance to issues potentially justi-
    fying its admission under one or more established
    exceptions to the general rule. When it does, of course,
    the question presented for the court’s consideration
    is whether it should be excluded despite its logical
    relevance because of its collateral tendency to arouse
    the jury’s passions, to waste its time, to divert its atten-
    tion from the central issues of the case or unfairly to
    surprise the party against whom it is offered. State v.
    James G., 
    268 Conn. 382
    , 398, 
    844 A.2d 810
     (2004). The
    majority concludes that the trial court did not abuse
    its discretion in determining that the probative value
    of the evidence outweighed its prejudicial effect.
    I disagree with the majority’s conclusion because, as
    previously explained, I reject its underlying premise
    that the evidence had any relevance at all on the limited
    issues of motive and intent for which it was admitted.
    The prejudice arising from the admission of such evi-
    dence in the absence of any such potentially appropriate
    use was simply and obviously its tendency to support
    the forbidden inference that the defendant is a person
    of bad character who has the propensity or predisposi-
    tion to commit similar crimes. I conclude that the evi-
    dence should not have been admitted because its
    significant prejudicial effect far outweighed its nonexis-
    tent probative value on the issues of motive and intent.
    Having concluded that the court improperly admitted
    evidence of the defendant’s prior misconduct and that
    the probative value of the evidence did not outweigh
    its prejudicial effect, I turn finally to the question of
    whether the court’s decision constituted harmful error.
    I conclude that it did.
    ‘‘When an improper evidentiary ruling is not constitu-
    tional in nature, the defendant bears the burden of dem-
    onstrating that the error was harmful . . . . [W]hether
    [the improper admission of a witness’ testimony] is
    harmless in a particular case depends upon a number
    of factors, such as the importance of the witness’ testi-
    mony in the prosecution’s case, whether the testimony
    was cumulative, the presence or absence of evidence
    corroborating or contradicting the testimony of the wit-
    ness on material points, the extent of cross-examination
    otherwise permitted, and, of course, the overall strength
    of the prosecution’s case. . . . Most importantly, we
    must examine the impact of the [improperly admitted]
    evidence on the trier of fact and the result of the trial.
    . . . [T]he proper standard for determining whether
    an erroneous evidentiary ruling is harmless should be
    whether the jury’s verdict was substantially swayed by
    the error. . . . Accordingly, a nonconstitutional error
    is harmless when an appellate court has a fair assurance
    that the error did not substantially affect the verdict.’’
    (Internal quotation marks omitted.) State v. Favoccia,
    
    306 Conn. 770
    , 808–809, 
    51 A.3d 1002
     (2012). On the
    contrary, ‘‘[a]ny improper evidence that may have a
    tendency to . . . influence the judgment . . . of the
    jury . . . cannot be considered as harmless.’’ (Internal
    quotation marks omitted.) State v. Onofrio, 
    supra,
     
    179 Conn. 32
    .
    The defendant argues that the evidence in this case
    was not particularly strong, and that without the addi-
    tional, improperly admitted evidence of his prior mis-
    conduct, the jury likely would not have returned a guilty
    verdict against him. He claims that the jury found him
    guilty not on the evidence of his guilt in the Hargrave
    burglary, but rather on the illicit inference of his propen-
    sity or predisposition to commit property crimes based
    upon the evidence of his prior misconduct. I agree with
    the defendant.
    The state’s evidence linking the defendant to the
    charged crimes was weak. Over the course of three days
    of trial, the state presented the testimony of thirteen
    witnesses, eleven of whom in no way implicated the
    defendant in the Hargrave burglary2 and two of whom—
    Johansen and Frederick Colby—recanted their prior
    written statements insofar as they had implicated the
    defendant in the Hargrave burglary.3 In light of the mani-
    fest weakness of the state’s case,4 it is not surprising
    that it devoted substantial time in the presentation of
    evidence and final argument to the improperly admitted
    evidence of the defendant’s prior misconduct. The
    state’s evidence proving the defendant’s and Johansen’s
    joint commission of the Litchfield car burglaries was
    lengthy and detailed. It consisted of three live witnesses
    who testified over a period of two trial days and read
    two complete witness statements into the record. In
    all, such evidence of the defendant’s involvement in the
    Litchfield car burglaries consumed forty-five pages of
    trial transcript.
    Moreover, in its closing argument, the state specifi-
    cally argued to the jury the impact of the improperly
    admitted evidence of the defendant’s prior misconduct
    as follows: ‘‘If you recall, this case has some similarities
    to the Litchfield case. Six months before this happened,
    in August of 2009, the defendant and Johansen are
    arrested for breaking into ten cars. And you do have a
    copy of the defendant’s statement about that incident.
    ‘‘Specifically, the defendant states that a person by
    the name of Jeff . . . solicits him, calls him and says,
    I need you to break into some trucks and steal some
    chain saws. Jeff also says I’ll make sure that the doors
    to the trucks are left open and the defendant could steal
    those chain saws. And the defendant was supposed to
    get three thousand dollars for stealing the chain saws
    once he brought them back to Jeff . . . .
    ‘‘However, when they arrived to the scene and tried
    to get into these trucks for this particular tree service
    company, the trucks were left open, but there were no
    chain saws.
    ‘‘That is when they moved on to plan b. . . .
    Johansen and the defendant decide, we’ll break into
    some cars and make money that way. And so . . .
    Johansen goes to the different areas after . . . the
    defendant . . . drops him off at one location, breaks
    into cars. He gets back inside the vehicle, and then they
    drive to another location.
    ‘‘And it was at that point that . . . Johansen is
    caught, and he gives a statement to the police, and he
    also implicates the defendant. And the defendant is
    eventually arrested. . . .
    ‘‘Six months later, February 4, 2010—in that area—
    the defendant now is the one making the solicitation.
    He requests that . . . Johansen break into the home
    to steal Percocets and Oxycontin and anything else
    he wanted.
    ‘‘Just like Jeff, he tells him when to go, February 4.
    Just like Jeff, he tells him he would arrange to have
    someone leave the door open. And he tells . . .
    Johansen . . . that he . . . could profit from breaking
    into the home.
    ‘‘By this point, the defendant has a mistaken belief
    that as long as someone else committed the criminal
    activity, he can’t get into trouble. The laws of our state
    hold the planner of a criminal agreement—of an
    agreement to commit a crime, accountable, just as the
    one who actually does it.’’
    The theme throughout the state’s closing argument
    was that the defendant mistakenly believed that as long
    as Johansen did the ‘‘dirty work,’’ he would not be found
    guilty of conspiracy to commit or accessory to burglary
    or conspiracy to commit or accessory to larceny.5 This
    use of the prior misconduct evidence, as argued by the
    state in its closing argument, amounted to nothing more
    than a claim that if the defendant committed a similar
    crime with Johansen in the past, he likely committed
    such a crime with him on this occasion, in effect show-
    ing that he is the sort of person who would do so. Not
    only was this evidence not admitted for that purpose
    but it was not admissible for that purpose because the
    crimes were not shown to have been committed as part
    of a common scheme or plan or to have had such unique
    commonalities between them as to make proof of the
    commission of the one crime evidence of identity as
    the perpetrator of the other. The Litchfield car bur-
    glaries were not committed pursuant to a common
    scheme or plan for the obvious reason that the alleged
    plan to commit those crimes was not concocted until
    the defendant and Johansen found no chain saws in
    the truck that had been left unlocked for them. The
    whole purpose of the car burglaries was for Johansen
    ‘‘to make some real money’’ to pay for the gas that
    he had used to drive his car to Litchfield that night.
    Meanwhile, the Hargrave burglary, as described in
    Johansen’s statement, was not conceived of or under-
    taken for any purpose related to the Litchfield car bur-
    glaries. The crimes were not signature crimes,
    moreover, because they were committed in different
    ways, against different kinds of victims, in different
    communities, and had little else in common except the
    technical names of the offenses allegedly committed
    and the identities of Johansen and the defendant as
    two of their alleged perpetrators.
    Against this background, the harm suffered by the
    defendant was substantial. The jury’s attention was
    directed at trial and in the state’s closing argument to
    evidence that showed that the defendant was a person
    who had previously committed the Litchfield car bur-
    glaries, thus suggesting the defendant’s propensity or
    predisposition to commit similar crimes, upon which
    the jury relied, substantially affecting the verdict. From
    this inference, the jury was tempted to find the defen-
    dant guilty based on the illicit inference that he had
    acted in accordance with his propensity or predisposi-
    tion. This is precisely the type of inference that is
    intended to be avoided by the general rule prohibiting
    evidence of a defendant’s prior uncharged misconduct,
    as it ‘‘borders on the forbidden theme of ‘once a thief
    always a thief.’ ’’ C. Tait & E. Prescott, supra, § 4.19.6,
    p. 164.
    It is true, of course, that the trial court issued repeated
    curative instructions to the jury that the disputed evi-
    dence concerning the Litchfield car burglaries was to
    be considered only on the issues of motive and intent,
    and that if the jury found that it had no relevance to
    those issues, then it was to be disregarded. In addition,
    the court specifically instructed the jury that the evi-
    dence was not to be used as a basis for inferring that
    the defendant was a person of bad character. Notwith-
    standing such instructions, I conclude that the court’s
    error in admitting the disputed evidence was not harm-
    less. I reach this conclusion for two reasons. First, the
    challenged evidence was so extensive and so centrally
    featured in the state’s evidence and closing argument
    that it would have been virtually impossible for the jury
    to ignore. Second, in the absence of any explanation
    from the court as to how precisely the evidence could
    have been used on the issue of intent, I think it is highly
    likely that the jury used the evidence precisely as the
    state argued it to them and of which the majority has
    approved, for the illicit purpose of inferring that if he
    once agreed with Johansen to commit certain generi-
    cally similar property crimes, then he likely did so here
    as well.
    In summary, I conclude that the prior misconduct
    evidence was improperly used to support the illicit
    inference that the defendant committed the Hargrave
    burglary because, as shown by his involvement in the
    Litchfield car burglaries, he had a propensity or predis-
    position to commit such crimes. Because, for that rea-
    son, there can be no substantial assurance that the
    challenged evidence did not affect the jury’s verdict, I
    would reverse the defendant’s conviction on all counts
    and order a new trial.
    1
    Professor Wigmore has described the proper use of evidence of prior
    bad acts or offenses admitted to show intent as follows: ‘‘It will be seen
    that the peculiar feature of this process of proof is that the act itself is
    assumed to be done,—either because (as usually) it is conceded, or because
    the jury are instructed not to consider the evidence from this point of view
    until they find the act to have been done and are proceeding to determine
    the intent. . . . [T]he attempt is merely to discover the intent accompanying
    the act in question . . . .’’ (Footnote omitted.) 2 J. Wigmore, Evidence
    (Chadbourn Rev. Ed. 1979) § 302, p. 245.
    2
    On the first day of trial, the state presented five witnesses, none of whom
    implicated the defendant in the burglary. Norma Hargrave’s only testimony
    regarding the defendant was that she knew him as her nephew’s son. Gerald
    Hargrave testified that he did not know the defendant. James Hargrave
    testified that he knew the defendant only as his ‘‘relative.’’ Ellen Riemer
    testified that on the day of the burglary, she was driving home and saw two
    ‘‘young men’’ in their ‘‘late teens to mid-twenties,’’ who appeared to be
    securing a tarp to an older white sedan and ‘‘stuffing things under’’ it, but
    did not identify the defendant as one of these two men. Kozubenko testified
    that he knew the defendant through other friends, but not closely, and at
    no time during his testimony did he implicate the defendant in the burglary.
    Moreover, Kozubenko specifically stated that the defendant was not present
    at Hargrave’s home at the time of the burglary and that he did not speak
    to the defendant on the day of the burglary.
    On the second day of trial, in addition to Johansen and Colby, the state
    called Robert Given, a resident state trooper in Ellington, who testified that
    he had assisted Ellington Resident State Trooper Veronica Carpenter in the
    execution of the warrant to search Kozubenko’s residence for the items
    stolen from Hargrave’s home, but did not offer any evidence about the
    defendant’s alleged involvement in the burglary of Hargrave’s home.
    Similarly, none of the state’s witnesses on the third day of trial implicated
    the defendant in the Hargrave burglary. Carpenter read Colby’s and
    Johansen’s recanted statements into the record in their entirety. Ellington
    Resident State Trooper Bart Alexander briefly testified that he was one of
    the officers who first responded to the report of the burglary of Hargrave’s
    home, but did not testify as to the defendant’s alleged involvement in the
    burglary. Steven Koss of the Manchester Police Department testified about
    his oral interviews of Colby and Johansen regarding the burglary of Har-
    grave’s home and testified that both Colby and Johansen mentioned the
    involvement of a ‘‘cousin’’ in the Hargrave burglary, but could not recall if
    either of them ever mentioned the defendant by name.
    3
    Contrary to his written statement to the police, in which he had impli-
    cated the defendant in setting up the burglary, Johansen testified that the
    defendant was not involved in the burglary, did not advise him that there
    would be drugs in Hargrave’s home, and did not tell him that the house
    would be left unlocked for him on February 4, 2010. Like Johansen, Colby,
    at trial, recanted that portion of his written statement in which he had
    implicated the defendant in the burglary. Colby explained that he ‘‘didn’t
    know anything about’’ the burglary and ‘‘didn’t even have a statement to
    give without [Johansen] telling [him]’’ the names of those allegedly involved.
    4
    The lack of evidence presented to the jury supporting the state’s theory
    of the case is particularly noteworthy. Specifically, the state’s theory that
    the defendant conspired with Johansen by informing him that there would
    be ‘‘piles of drugs’’ at Hargrave’s home and that Johansen would be able to
    enter the home on February 4, 2010, because the defendant would have
    someone leave the door open, is unsupported by the evidence. To the
    contrary, Johansen and Kozubenko arrived at the home on that date not
    only to find the doors and windows locked, but also rid of drugs. There
    also was no evidence supporting the state’s theory that the defendant had
    conspired with Johansen in order to receive a finder’s fee or repayment for
    an outstanding debt owed to him. No evidence was presented establishing
    that after the burglary, Johansen gave the defendant any amount of money
    or stolen goods as payment for any purpose—either as a finder’s fee or as
    a partial payment for previously bailing him out of jail. There also was no
    evidence that the defendant was ever present at Hargrave’s home on the
    day of the burglary.
    Similarly, none of the state’s forty-seven photographic exhibits tended to
    show the defendant’s presence at Hargrave’s home. In fact, the only evidence
    that ever implicated the defendant in the burglary was the initial statements
    of Johansen and Colby, which were recanted in relevant part at trial.
    5
    The state also argued to the jury that the live testimony of Johansen and
    Colby as to the defendant’s noninvolvement in the burglary was unreliable
    because ‘‘they seem to have a poor recollection of what took place when
    the state would ask them questions about the crime,’’ and they ‘‘testified in
    a poor manner’’ by not ‘‘look[ing] up when answering any of the questions’’
    and mumbling. The state also argued to the jury that Johansen and Colby
    ‘‘[b]oth had a strong bias to testify falsely on behalf of the defendant’’
    because ‘‘Johansen owed the defendant money for bailing him out’’ and is
    the defendant’s first cousin, and that Colby ‘‘had a strong bias to lie’’ because
    the defendant ‘‘is, again, a good friend of his.’’ The state claimed that ‘‘both
    of these individuals . . . weren’t concerned about the consequences for
    lying on the [witness] stand because they are already incarcerated.’’ The state
    also asserted that Colby’s and Johansen’s ‘‘testimony was unreasonable,’’ in
    that they claimed to have been high when they gave their statements, but
    testified that portions of their statements still should be believed, even
    though some other portions implicating the defendant were false.