People v. Naylor ( 2007 )


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  •                                                                                 First Division
    February 26, 2007
    No. 1-04-3731
    THE PEOPLE OF THE STATE OF ILLINOIS,                               )   Appeal from
    )   the Circuit Court
    Plaintiff-Appellee,                                         )   of Cook County
    )
    v.                                                 )   00 CR 8962
    )
    JOHN NAYLOR,                                                       )   Honorable
    )   John Kirby,
    Defendant-Appellant.                                        )   Judge Presiding
    )
    PRESIDING JUSTICE McBRIDE delivered the opinion of the court:
    Following an August 2004 bench trial, defendant, John Naylor, was found guilty of four
    felony narcotics charges: possession of heroin with intent to deliver while on Chicago Housing
    Authority (CHA) property, delivery of heroin on CHA property, possession of heroin with intent to
    deliver and delivery of heroin. The trial court sentenced defendant to six years’ imprisonment and
    imposed a total of $2,720 in fines, assessments, costs and fees.
    Defendant appeals, arguing that: (1) the trial court improperly admitted his prior conviction
    for aggravated battery because the conviction was entered 14 years prior to trial; (2) three of
    defendant’s convictions should be vacated because they are lesser included offenses of delivery of
    a controlled substance on CHA property; (3) defendant should be awarded $5-per-day presentence
    credit for the 101 days he was in custody prior to sentencing toward his $2,000 fine for possession
    of a controlled substance; and (4) the statute mandating that persons convicted of drug-related
    offenses be assessed a $5 fee for deposit into the Spinal Cord Injury Paralysis Cure Research Trust
    Fund (Spinal Cord Fund) violates defendant’s due process rights because there is no rational
    relationship between the sale of a controlled substance and the public interest in the Spinal Cord
    1-04-3731
    Fund.
    The following evidence was presented at defendant’s August 2004 bench trial. The State
    proceeded at trial on four of the six counts from defendant’s indictment: possession of a heroin
    with intent to deliver while on CHA property, delivery of heroin on CHA property, possession of
    heroin with intent to deliver, and delivery of heroin.
    Officer John Lewis testified that he is a Chicago police officer assigned to the narcotics and
    gang investigation section.
    On March 9, 2000, Officer Lewis was working in the vicinity of 4429 S. Federal in
    Chicago. 4429 S. Federal is part of the Robert Taylor Homes, which is property owned by CHA.
    On that date, Officer Lewis, in conjunction with other officers, was conducting an operation to
    suppress narcotics activity in Robert Taylor Homes. Officer Lewis’s role was to make a controlled
    narcotics purchase.
    Officer Lewis was in civilian dress. He entered the Robert Taylor Homes at about 10:20
    a.m. He went to the north fourth-floor stairwell. He met an individual who asked Officer Lewis if
    he wanted “white,” which Officer Lewis understood to mean heroin. Officer Lewis identified that
    individual as defendant. Officer Lewis responded to defendant that he wanted one foil packet.
    Officer Lewis paid with a $10 bill of prerecorded “1505 funds.” The serial number from the bill
    was recorded prior to the purchase. Officer Lewis exchanged the $10 bill for one tinfoil packet
    containing a white powder he suspected was heroin. Officer Lewis then left the stairwell.
    Officer Lewis saw defendant again 10 to 15 minutes later when defendant was being led
    out of the building by Officer William McKenna. Officer McKenna then returned the $10
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    prerecorded bill to Officer Lewis.   He inventoried the $10 bill and the tinfoil packet.
    On cross-examination, Officer Lewis stated that he made one purchase that day. Officers
    Boggan, Boyd and Espinosa were also present in the stairwell when Officer Lewis made his
    purchase. Defendant was standing with a couple of other individuals. Officer Boyd was standing
    behind Officer Lewis in line for a purchase. Officer Lewis said all four officers made purchases.
    Then, they all exited the building. Officer Lewis did not know from whom the other officers
    purchased. Each of the officers returned to his vehicle and radioed the physical and clothing
    descriptions of the individuals. Defendant was arrested along with a few other individuals. From
    inside his unmarked car, Officer Lewis saw defendant being brought out of the building . Officer
    Lewis admitted that he did not see Officer McKenna recover the $10 bill from defendant.
    Detective Deon Boyd testified that he is currently a detective with Area 2 homicide in the
    Chicago police department, but in March 2000, he was a police officer assigned to the organized
    crime, narcotics, section.
    On March 9, 2000, Detective Boyd was working in the vicinity of 4429 S. Federal in
    Chicago. He was working as an undercover officer at a CHA housing complex. He was working
    with Officer Opal Espinosa and also saw Officers Lewis and Boggan at that location. Once at that
    location, he was told by several people to go to the fourth-floor stairwell.
    When he reached the fourth-floor stairwell, Detective Boyd saw a line of individuals
    making narcotics purchases. Officer Lewis was leaving the line when Detective Boyd reached the
    line. When Detective Boyd got to the front of the line, he came into contact with a man he
    identified as defendant. Detective Boyd asked defendant to get two packages of narcotics. He had
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    a $20 bill of “1505 prerecorded funds” with him for the purchase. The serial number of the $20
    bill had been prerecorded. Detective Boyd tendered the $20 bill in exchange for two tinfoil
    packets. Detective Boyd opened the packets and saw a white powder substance that he suspected
    was heroin. Detective Boyd then exited the stairwell.
    Detective Boyd and Officer Espinosa then returned to their undercover vehicle and
    informed the enforcement team of defendant’s description. After the enforcement team arrived on
    the scene, they apprehended defendant and several other individuals. Detective Boyd saw
    defendant with Officer McKenna. Officer McKenna later returned the $20 bill of prerecorded
    funds to Detective Boyd. He inventoried the tinfoil packets and the $20 bill.
    On cross-examination, Detective Boyd said he thought three or four people were arrested
    that day. He knew one individual that was arrested was Kohler Parks, from whom he saw Officer
    Espinosa buy drugs. He did not see from whom Officers Lewis or Boggan purchased drugs.
    The State offered a stipulation that, if called to testify, Timothy Tripp, a forensic chemist
    with the Illinois State Police crime cab, would state that he tested the powder from each of the
    tinfoil packets submitted by Officer Lewis and Detective Boyd. He would testify that the
    substance in the packet recovered from Officer Lewis tested positive for the presence of heroin and
    that one of the packets submitted by Detective Boyd tested positive for heroin. The defense did
    not object to this stipulation.
    The State rested after the stipulation was entered. Defendant then moved for a directed
    finding, which the trial court denied.
    Defendant testified on his own behalf. He said that on March 9, 2000, he was living in
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    apartment 902 at 4429 S. Federal. He said he was arrested that day by the Chicago police
    department. He denied being in possession of money from drug sales. Defendant said that all he
    remembered was being arrested with a lot of people and placed in a “paddy wagon.” He denied
    selling drugs that day.
    Defendant said he was coming down the stairs from his apartment when he was jumped
    and sprayed in his face with mace. He remembers asking for a paramedic because his eyes were
    burning.
    On cross-examination, defendant said he did not remember which floor he was on when
    the police sprayed him with mace. He repeated several times that all he remembered was getting
    sprayed. He said that when he left his apartment, he was going to pick up his son from
    kindergarten.
    After defendant testified, the State offered a certified copy of defendant’s 1990 conviction
    for aggravated battery as rebuttal evidence. Defendant’s attorney objected to its admission based
    on the length of time since defendant’s release as being more than 10 years. The trial court
    overruled defendant’s objection and admitted the certified copy of the conviction.
    The trial court found defendant guilty on all counts. At a November 2004 sentencing
    hearing, the trial court sentenced to six years’ imprisonment based on “four counts of guilty.” The
    trial court also imposed a total of $2,720 in fines, fees, assessments, and costs, including a $2,000
    drug assessment and $5 fee for the Spinal Cord Fund.
    This appeal followed.
    Defendant first argues that the trial court improperly admitted his prior conviction for
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    aggravated battery because defendant’s prior conviction occurred more than10 years before his
    current trial. The State initially responds that defendant has waived this issue on appeal by failing
    to raise the issue in a posttrial motion. In the alternative, the State maintains that the trial court
    properly allowed the prior conviction as impeachment because defendant’s sentence on that charge
    extended into the 10-year period between defendant’s release from prison and defendant’s arrest
    and trial.
    Defendant concedes that he failed to raise this issue in his posttrial motion, but asks this
    court to review this issue as plain error. Supreme Court Rule 615(a) states that “[a]ny error,
    defect, irregularity, or variance which does not affect substantial rights shall be disregarded. Plain
    errors or defects affecting substantial rights may be noticed although they were not brought to the
    attention of the trial court.” 134 Ill. 2d R. 615(a). “Under the plain error rule, issues not properly
    preserved may be considered by a reviewing court under two limited circumstances: (1) where the
    evidence is closely balanced, so as to preclude argument that an innocent person was wrongfully
    convicted; or (2) where the alleged error is so substantial that it affected the fundamental fairness
    of the proceeding, and remedying the error is necessary to preserve the integrity of the judicial
    process.” People v. Hall, 
    194 Ill. 2d 305
    , 335 (2000).
    Defendant asserts that the evidence was closely balanced in this case because the only
    evidence presented was the testimony of the officers and defendant. Defendant contends that the
    improperly admitted evidence of his prior conviction was highly prejudicial in the trial court’s
    credibility determination. We agree with defendant that the evidence was closely balanced and that
    the admission of the evidence of his prior conviction for impeachment may have influenced the
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    trial court’s credibility determination.
    The Illinois Supreme Court in People v. Montgomery, 
    47 Ill. 2d 510
    , 516 (1971),
    delineated the admissibility of prior convictions for impeachment. For the purposes of attacking
    credibility, evidence of a prior conviction is admissible if: (1) the crime was punishable by death or
    imprisonment for more than one year, or the crime involved dishonesty or false statement
    regardless of the punishment; (2) less than 10 years have elapsed since either the conviction or the
    witness's release from confinement, whichever is later; and (3) the probative value of the
    conviction outweighs the danger of unfair prejudice. 
    Montgomery, 47 Ill. 2d at 516
    .
    Here, defendant’s prior conviction for aggravated battery was entered on December 14,
    1990, at which time defendant received a four-year sentence. Defendant’s trial in the instant case
    took place in August 2004. At trial, the prosecutor pointed out that if defendant served the full
    four-year term, he would have been released within 10 years of trial. However, the trial court
    considered the operative end date as being the date of the new occurrence, March 9, 2000, and
    found the prior conviction to have taken place within 10 years from that date.
    The event or point in time by which the 10-year period must run, meaning when is the end
    of the 10-year point, is not specifically defined and has been determined differently by different
    courts. Illinois courts have not treated the question the same. See, e.g., People v. Reddick, 
    123 Ill. 2d
    184, 203 (1988) (date of trial); People v. McKay, 
    279 Ill. App. 3d 195
    , 202 (1996) (date of new
    offense); People v. Truss, 
    254 Ill. App. 3d 767
    , 780-81 (1993) (date of trial); People v. Hawkins,
    
    243 Ill. App. 2d 210
    , 223-24 (1993) (date of testimony); People v. Strange, 
    125 Ill. App. 3d 43
    ,
    45-46 (1984) (apparently date of trial); People v. Thibudeaux, 
    98 Ill. App. 3d 1105
    , 1113 (1981)
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    1-04-3731
    (date of testimony). While many Illinois decisions have applied the Montgomery test to determine
    the admissibility of a prior conviction, none of these prior decisions have analyzed this precise
    issue. The only exception to this is the case of People v. Owens, 
    46 Ill. App. 3d 978
    (1977), and in
    that case, the reviewing court relied on prior cases which used the date of trial without any
    discussion.
    Nevertheless, it appears that the majority of Illinois cases have applied the Montgomery
    test using the date of trial. See People v. Harvey, 
    211 Ill. 2d 368
    , 383 (2004); and People v. Cox,
    
    195 Ill. 2d 378
    , 383 (2001) (both stating the Montgomery test as when “the witness' conviction or
    release from confinement, whichever date is later, occurred less than 10 years from the date of
    trial” (emphasis added)). We do not believe that the choice of words in these recent supreme court
    decisions was accidental. Rather, the words indicate that the time frame for courts to look at is the
    date of trial. Further, in 
    Owens, 46 Ill. App. 3d at 993
    , the reviewing court held that the operative
    date for admitting a prior conviction was the time of trial, and specifically found it was not the date
    the subsequent offense occurred.
    We agree with the case law that applies the 10-year time period in Montgomery as running
    from the date of conviction or release from confinement, whichever is later, to the date of trial.
    We point out that in Montgomery, the supreme court, while not stating that it was measuring to the
    date of trial, did consistently refer to the prior conviction as being 21 years old, which was how old
    the conviction was at the date of trial (compared to 19 years old at the date of the new offense).
    See 
    Montgomery, 47 Ill. 2d at 511-12
    . If the supreme court in Montgomery intended for the 10-
    year time frame to run from conviction or release until the date of the new occurrence, then the
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    court would not have specifically referred to the 21 years that had elapsed since that conviction and
    trial. We find that the Montgomery decision intended to use the date of trial as the end point in the
    10-year time period and this finding is supported by the majority of Illinois decisions.
    We acknowledge the decision by the Minnesota Supreme Court in People v. Ihnot, 
    575 N.W.2d 581
    , 585 (Minn. 1998), which held that the end point for the 10-year period is the date of
    the charged offense. We also point out that the findings of the courts of other states are not
    binding on this court. People v. Sullivan, 
    366 Ill. App. 3d 770
    , 781 (2006). Moreover, the
    Indiana Court of Appeals in a case of first impression considered the Ihnot decision and rejected its
    conclusion in Whiteside v. State, 
    853 N.E.2d 1021
    , 1027-28 (Ind. App. 2006). The reviewing
    court in Whiteside dismissed the notion that the date of trial would be subject to manipulation so it
    would prevent the opposing party from admitting the prior conviction. 
    Whiteside, 853 N.E.2d at 1027
    . Further, the Whiteside court, in finding that the time of testimony is the proper date, stated
    that contrary to the decision in Ihnot, there are policy justifications involved because “[t]he
    moment that the jury learns that a witness was previously convicted is the first moment that the
    unfair prejudice, if any, has the potential to influence the jury.” 
    Whiteside, 853 N.E.2d at 1028
    .
    We reject the conclusions in Ihnot and agree with Whiteside that the focal point in
    considering the operative end date for the 10-year period should be the prejudicial impact of the
    prior conviction on a witness’s credibility, and by looking at the date of trial or the date of
    testimony, the focus is properly on that moment in time. The court in Whiteside held that the
    operative date was the date of testimony, but we find the difference between the date of testimony
    and the date of trial to be negligible. We will adhere to the date of trial as the operative date
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    because Illinois cases, without much discussion, have used this date most consistently when
    considering the admission of a prior conviction. See 
    Harvey, 211 Ill. 2d at 383
    ; 
    Cox, 195 Ill. 2d at 383
    . Most often the date of trial and the date of testimony will be the same day or within the next
    few days, and therefore, the reasoning remains sound for either date. While it has been asserted
    that the date of trial could be manipulated by dilatory tactics, we do not see a reason to alter the
    pertinent time for impeachment on this basis.
    Additionally, the Whiteside court noted that the trial court should also consider, among
    other things, the degree of remoteness in time when determining whether to admit a prior
    conviction. 
    Whiteside, 853 N.E.2d at 1027
    . There, the reviewing court pointed out that the trial
    court must still consider the probative value in light of its prejudicial effect to determine
    admissibility. 
    Whiteside, 853 N.E.2d at 1029
    . We also concur with this reasoning that the trial
    court still must weigh the probative value of a prior conviction against its prejudicial effect.
    Therefore, the operative dates under Montgomery are the date of the prior conviction or
    release from confinement, whichever occurred later, and the date of trial. In the instant case, the
    State failed to present evidence of defendant’s actual release date from confinement. “A court
    should not presume confinement or the date of a release from confinement. The party seeking to
    impeach testimony has the responsibility of presenting proper evidence of an impeaching
    conviction.” People v. Yost, 
    78 Ill. 2d 292
    , 297 (1980); see also People v. Strange, 
    125 Ill. App. 3d
    43, 46 (1984) (“The State, in seeking to impeach Strange, was obligated to present proper
    evidence of the previous conviction and release date”). Since the State did not present proof of
    defendant’s release from confinement, we will use the date of conviction as the operative date to
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    1-04-3731
    measure the 10-year period.
    Defendant’s prior conviction was entered on December 14, 1990, and the trial began on
    August 11, 2004. The date of trial was more than 13 years after defendant’s date of conviction.
    Accordingly, defendant’s prior conviction was improperly admitted at defendant’s trial. We
    reverse defendant’s conviction and remand for a new trial. We note that the State carries the
    burden of proving the beginning date of the 10-year period while the end point remains the date of
    the first trial. See People v. Reddick, 
    123 Ill. 2d
    184, 203 (1988) (if the prior conviction was less
    than 10 years old at the initial trial but is now greater than 10 years at a retrial, “fundamental
    fairness” dictates that a witness may be impeached in the same manner as at the original trial).
    Defendant also asserts on appeal that three of his four convictions must be vacated because
    they are lesser included offenses to defendant’s conviction for delivery of a controlled substance on
    CHA property. The State concedes that the convictions for possession with intent to deliver and
    delivery are lesser included offenses, but does not agree that the conviction for possession with
    intent to deliver on CHA property is a lesser included offense of delivery on CHA property. Since
    we are reversing defendant’s convictions and remanding for a new trial, we need not reach the
    merits of this issue. However, we point out that defendant’s “one-act, one-crime” argument based
    on People v. King, 
    66 Ill. 2d 551
    (1977), is incorrect because in this case the evidence presented at
    trial showed two sales to two different police officers, and Illinois case law holds that King is
    inapplicable and separate convictions are proper when there are multiple victims. See People v.
    Shum, 
    117 Ill. 2d 317
    , 363 (1987) (“separate victims require separate convictions and sentences”);
    see also People v. Lee, No. 1-04-2258, slip op. at 10 (April 27, 2006).
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    Next, defendant contends that he is entitled to apply his presentence credit toward the
    $2,000 drug assessment imposed by the trial court. The State maintains that defendant is not
    entitled to a credit because convicted offenders are only allowed the credit toward fines, not
    assessments.
    Defendant asserts that under section 110-14 of the Code of Criminal Procedure of 1963
    (725 ILCS 5/110-14 (West 2002)), he is entitled to a credit of $505 for the $2,000 controlled
    substance assessment imposed under section 411.2(a)(2) of the Illinois Controlled Substances Act
    (720 ILCS 570/411.2(a)(2) (West 2002)). Section 110-14 provides:
    “Any person incarcerated on a bailable offense who does not
    supply bail and against whom a fine is levied on conviction of such
    offense shall be allowed a credit of $5 for each day so incarcerated
    upon application of the defendant. However, in no case shall the
    amount so allowed or credited exceed the amount of the fine.” 725
    ILCS 5/110-14(a) (West 2002).
    The supreme court in People v. Jones, No. 101996 (December 21, 2006), recently rejected
    the State’s position. In Jones, the supreme court agreed with the appellate court decision in People
    v. Fort, 
    362 Ill. App. 3d 1
    (2005), and pointed out that a section 411.2 drug assessment has been
    consistently construed is a “fine,” not a “fee,” subject to offset by presentencing incarceration
    credit and that the legislature has never amended the statute to repudiate these holdings. Jones, slip
    op. at 18. Accordingly, we find that defendant is entitled to a $505 credit against the $2,000
    controlled substance assessment for the 101 days he spent in custody prior to sentencing.
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    Finally, defendant contends that section 5-9-1.1(c) of the Unified Code of Corrections
    (Code) (730 ILCS 5/5-9-1.1(c) (West 2002)), which requires drug-related offenders to pay $5 to
    the Spinal Cord Fund, violates his due process rights. The supreme court in Jones also considered
    this issue and found the $5 charge to be “in the nature of [a] fine” and held that a specific purpose
    for the proceeds of a fine are irrelevant to its constitutionality. Jones, slip op. at 28-29. Therefore,
    due process requires only that the punishment imposed be rationally related to the offense, and that
    test is satisfied with the $5 charge to the Spinal Cord Fund. Jones, slip op. at 29. Therefore, the
    trial court properly assessed the $5 charge to defendant.
    Based on the foregoing analysis, we reverse defendant’s conviction and remand for a new
    trial consistent with this opinion.
    Reversed and remanded.
    GARCIA and R. GORDON, JJ., concur.
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