State v. Cousin , 233 N.C. App. 523 ( 2014 )


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  •                               NO. COA13-543
    NORTH CAROLINA COURT OF APPEALS
    Filed:   15 April 2014
    STATE OF NORTH CAROLINA
    v.                                Caswell   County
    Nos. 11   CRS 618-19
    11   CRS 621
    11   CRS 623
    11   CRS 625
    11   CRS 627
    11   CRS 629
    11   CRS 631
    DONNELL TRACY COUSIN,
    Defendant.
    Appeal by defendant from judgments entered 2 November 2012
    by Judge W. Osmond Smith, III in Caswell County Superior Court.
    Heard in the Court of Appeals 23 October 2013.
    Roy Cooper, Attorney General, by Ryan Haigh, Special Deputy
    Attorney General, for the State.
    McCotter Ashton, P.A., by Rudolph A. Ashton, III and Kirby
    H. Smith, III for defendant-appellant.
    DAVIS, Judge.
    Defendant Donnell Tracy Cousin (“Defendant”) appeals from
    his   convictions     of   felonious   obstruction    of   justice   and
    accessory after the fact.      His primary contentions on appeal are
    that the trial court erred in (1) denying him the opportunity to
    -2-
    question and cross-examine an investigator about suspects in the
    murder out of which Defendant’s charges arose; (2) denying his
    motions    to    dismiss;    (3)    allowing    the    prosecution    to   make
    statements during closing argument that appealed to the passion
    and prejudice of the jury; and (4) imposing multiple consecutive
    sentences for the same acts and offenses in violation of his
    constitutional rights.           After careful review, we conclude that
    Defendant received a fair trial free from prejudicial error.
    Factual Background
    The State presented evidence at trial tending to establish
    the following facts:         On 8 July 2005, Larry Mebane (“Mebane”)
    was found mortally wounded in his car in Caswell County with
    three gunshot wounds to his head.               Lieutenant Michael Adkins
    (“Lt. Adkins”) of the Caswell County Sheriff’s Office was one of
    the    first    officers    to   arrive   on   the    scene   after   emergency
    services had been contacted via a 911 call.               He found a handgun
    wedged between the driver’s seat and the center console of the
    car.     Lt. Adkins also noticed that the front passenger window of
    Mebane’s car was “busted out” and that a beer can was lying near
    the car.        The car was running with loud music playing on the
    radio.
    -3-
    Law enforcement officers first became aware of Defendant on
    15 July 2005 when he was stopped at a checkpoint set up in the
    area of the shooting, which led to a subsequent interview of
    Defendant 11 days later at the Caswell County Sheriff’s Office.
    When Defendant arrived at the Sheriff’s Office on 26 July 2005,
    he   gave   a   written      statement       to   Investigator    Jerald    Brown
    (“Investigator Brown”), who was heading the investigation into
    the Mebane shooting along with State Bureau of Investigation
    (“SBI”) Special Agent Brian Norman (“Agent Norman”).                      In this
    statement, Defendant indicated to Investigator Brown that he had
    seen Mebane around 10:30 p.m. on the night of the shooting.
    Defendant also named three specific individuals, Josh Anderson,
    Hugh Anderson, and Terrance Jackson, as having been with Mebane
    at the time of the shooting.
    Defendant then voluntarily returned to the Caswell County
    Sheriff’s     Office    on   30    March     2006   and   provided      additional
    information     to     Investigator      Brown.       During     this    meeting,
    Defendant stated that Mebane had been stopped earlier in the day
    by a man named Jeffrey Murdock and that Murdock had demanded
    money   from    Mebane.           However,    Defendant    did    not    directly
    implicate Jeffrey Murdock in the shooting.
    -4-
    Defendant gave his next statement on 22 June 2006 at the
    Alamance County Sheriff’s Office where he was being questioned
    in   regard      to   unrelated    felony     charges    in    Alamance   County.
    Defendant told investigators that “I know who the damn shooter
    is and I ain’t going to tell him [referring to Agent Norman]
    nothing.”        Defendant proceeded to say that “Tego1 [sic] Anderson
    is   your     shooter.”        Defendant      added     that   “Josh   and    Hugh
    (Anderson) were on [sic] Josh’s car and the two of them pulled
    over in front of Larry and got out.”              He then stated that “Tego
    [sic] pulled up behind Larry on [sic] the white truck and boxed
    him in so Larry couldn’t go forwards or backwards.                     Larry got
    out of his car and was arguing with Josh and Hugh when Tego
    [sic] walked up from behind and shot Larry in the head!”
    On    26    June    2006,   Defendant    gave     another   statement     to
    Investigator Brown in which — this time — he stated that he was
    actually with Mebane when he was shot.                  Defendant stated that
    Mebane was being chased by Josh Anderson, Hugh Anderson, and
    Tino Anderson.           He further related that Hugh Anderson “took a
    pistol and smacked Larry upside the face with it.”                 He also said
    that “Hugh was the only one I saw with my own eyes with a gun.”
    1
    Tino Anderson’s name is spelled in various places in the record
    as “Tego” Anderson.        Both spellings refer to the same
    individual.
    -5-
    Defendant subsequently gave a different statement on 6 July
    2006 to the Alamance County Sheriff’s Office.           On this occasion
    he stated that “[t]he night of the shooting I saw the man who
    shot Larry.    It was Tino.”
    On 17 October 2006, Defendant was interviewed by Sheriff
    Michael Welch (“Sheriff Welch”) of the Caswell County Sheriff’s
    Office.     During this interview, Defendant stated that “Tino was
    there, but he didn’t shoot Larry.”
    On 14 November 2006, Defendant requested to speak with the
    “sheriff or someone in charge” about Mebane’s murder.                  Chief
    Deputy Tim Britt (“Chief Deputy Britt”) of the Alamance County
    Sheriff’s     Office   was   notified    of    Defendant’s   request    and
    conducted     an   interview    with     him   that   was    observed    by
    Investigator Brown and Sheriff Welch.            Defendant proceeded to
    give the following statement to Chief Deputy Britt:
    We [Defendant and Mebane] then turned right
    onto Dailey Store Road. . . . Sylvester
    Harris was in the middle of the road waving
    his hands. Larry Mebane stopped and got out.
    . . . As I was getting out of the car, I
    heard Sylvester Harris say to Larry Mebane,
    “Where is the drugs and money at, I know you
    got it!” . . . Sylvester’s brother was
    standing beside the car they had been in.
    His name is Maurice Harris. . . . The next
    thing I saw as I got out of the car was
    Sylvester Harris shoot Larry Mebane in the
    back of the head.
    -6-
    The         last   statement    that        Defendant        gave    investigators
    occurred on 14 April 2008.           Defendant claimed he had information
    regarding the gun used in the Mebane murder, and Investigator
    Brown     and    Sheriff   Welch     conducted         an   interview          with    him.
    Defendant denied knowing the location of the weapon but stated
    he could point them “in the right direction of that.”                           He stated
    that Josh Anderson was Mebane’s killer and admitted that his
    prior   statements       naming    Tino    Anderson         as    the    shooter       were
    deliberate       falsehoods   designed      to     mislead       and    misdirect       law
    enforcement in their ongoing investigation into the murder.                              He
    admitted that “I put Tino in the middle as a block one time” and
    that in his earlier statements he had been “making you waste
    your time and gas and your ink pen.”                Defendant then stated that
    “I wasn’t there on the scene period.                Never was.”          At the end of
    the interview, Investigator Brown asked if everything he had
    told the officers was truthful, and Defendant replied “nope.”
    On 15 November 2011, Defendant was indicted on one count of
    accessory after the fact to first degree murder and seven counts
    of felonious obstruction of justice.                   A jury trial was held in
    Caswell    County      Superior    Court    on    29    October        2012.      At    the
    conclusion of the State’s evidence, Defendant moved to dismiss
    -7-
    all   of   the    charges     against     him.         The   motion    was     denied.
    Defendant renewed his motion to dismiss at the close of all the
    evidence, and the trial court once again denied the motion.
    Defendant was convicted of all charges.                    He was sentenced
    consecutively to:          (1) 168 to 211 months on the accessory after
    the fact charge; and (2) 168 to 211 months on the seven counts
    of    obstruction     of    justice     charges      after     the    charges      were
    consolidated.      Defendant gave notice of appeal in open court.
    Analysis
    I. Denial of Defendant’s Opportunity to Question Investigator
    Brown Regarding Other Suspects.
    Defendant     first     argues    that     the     trial    court      erred    by
    denying him the opportunity to question Investigator Brown about
    other suspects in the           Mebane murder.           At trial, Defendant’s
    counsel sought to elicit from Investigator Brown during cross-
    examination       information     about       his   interviews        with     persons
    involved in the Mebane murder investigation.                     Specifically, she
    inquired whether during his interviews with Oscar Jackson and
    Terrence Jackson, either of those individuals had discussed or
    divulged    any     information       relating      to   the     identity     of     the
    shooter.    The State objected to this entire line of questioning
    on the ground that the questions sought inadmissible hearsay
    -8-
    because the statements sought were being offered to prove the
    truth of the matter asserted.                       The trial court sustained the
    State’s objections.              As an alternative basis, the trial court
    excluded the evidence under Rule 403 of the North Carolina Rules
    of Evidence based on the danger of unfair prejudice, confusion
    of the issues, and the possibility of confusing the jury.
    Defendant        argues     the    trial       court’s        exclusion       of    the
    statements         as   inadmissible      hearsay          and    under     Rule   403     was
    erroneous.         Defendant contends that this evidence was directly
    relevant to the issues presented and that its exclusion violated
    his constitutional right to present a defense.
    Rule 801(c) of the North Carolina Rules of Evidence defines
    “hearsay” as “a statement, other than one made by the declarant
    while testifying at the trial or hearing, offered in evidence to
    prove the truth of the matter asserted.”                         N.C. R. Evid. 801(c).
    Defendant        asserts        that     in         pursuing       this     line     of
    questioning, he sought to “show how the investigation of Larry
    Mebane     unfolded.            More     importantly,            these    questions       were
    designed      to    determine     if     any   of     Cousin’s        statements     to    law
    enforcement were true and/or corroborated.”
    We rejected a similar argument in State v. Hairston, 
    190 N.C. App. 620
    ,      625,    
    661 S.E.2d 39
    ,    42    (2008),    disc.    review
    -9-
    denied, 
    363 N.C. 133
    , 
    676 S.E.2d 47
     (2009).                 In Hairston, this
    Court found no error in the trial court’s ruling that testimony
    by a detective about a third party’s statements indicating that
    the third     party did not know the defendant would constitute
    inadmissible hearsay:
    Defendant contends that the statement was
    not offered for the truth of the matter
    asserted, but instead was offered as a
    historical fact — that is, whether Hicks
    knew defendant or not.   Defendant, however,
    goes on to argue that the trial court's
    ruling requires reversal because, according
    to defendant, such evidence would have aided
    defendant's arguments concerning his alibi
    defense.   According to defendant, had the
    testimony been admitted, the jury could have
    used the information as "proof" that Brown
    and another person, not defendant, committed
    the robbery.   In essence, defendant argues
    that the testimony was not elicited for its
    truth, but had it been admitted, the jury
    could have used the statement for the truth
    of the matter asserted, that Hicks, who had
    used the stolen credit cards, did not know
    defendant — thus making it less likely that
    defendant participated in the robbery of
    Moore. Accordingly, the trial court did not
    err in sustaining the State's objection as
    the testimony was offered for the truth of
    the matter asserted.
    
    Id.
    We    believe    the   same   is   true   here.     By    Defendant’s   own
    admission, he sought to offer this testimony at least in part
    for   the    purpose    of   demonstrating      the     truth   of   the   matter
    -10-
    asserted.   As such, the trial court did not abuse its discretion
    in sustaining the State’s objections to this line of questioning
    on hearsay grounds.       See State v. Waring, 
    364 N.C. 443
    , 498, 
    701 S.E.2d 615
    , 649 (2010)        (holding that         “[t]he range of cross-
    examination,     though   broad,     is   subject     to   the    trial   judge's
    discretionary powers to keep it within reasonable bounds.                       The
    trial court's rulings on cross-examination will not be held in
    error   absent    a    showing     that     the     verdict      was   improperly
    influenced thereby.”) (internal quotation marks and citations
    omitted), cert. denied, ___ U.S. ___, 
    181 L.Ed.2d 53
     (2011).2
    Even   assuming      arguendo    that    the    trial    court     erred   in
    excluding the evidence, we believe any such error was harmless.
    See State v. Augustine, 
    359 N.C. 709
    , 731, 
    616 S.E.2d 515
    , 531
    (2005) (holding that to establish prejudice resulting from an
    evidentiary ruling by the trial court, a defendant must show a
    reasonable possibility that a different result would have been
    reached had an evidentiary ruling not been made), cert. denied,
    
    548 U.S. 925
    , 
    165 L.Ed.2d 988
     (2006).
    2
    Because we conclude the trial court’s exclusion of the evidence
    on hearsay grounds did not constitute an abuse of discretion, we
    elect not to address the trial court’s alternative basis for
    exclusion based on Rule 403.
    -11-
    Here, no prejudice to Defendant occurred as a result of the
    trial court’s ruling.             Our review of the record reveals that
    Defendant was still able to elicit similar evidence concerning
    the Mebane murder investigation by alternative means.                           See State
    v. Rinck, 
    303 N.C. 551
    , 572, 
    280 S.E.2d 912
    , 927 (1981) (holding
    that “any error by the trial court in sustaining the State’s
    objections was cured when the evidence sought to be admitted was
    subsequently admitted without objection.”).                         At trial, evidence
    concerning        persons    of     interest        in     Investigator              Brown’s
    investigation was elicited through Defendant’s subsequent line
    of questioning to Investigator Brown.                    Therefore, any error in
    the exclusion of this evidence was harmless.
    Defendant also contends that the exclusion of this evidence
    violated     his     constitutional        rights        but        concedes        that   no
    constitutional       argument       was     asserted           by     him      at     trial.
    “Constitutional issues not raised and passed upon at trial will
    not be considered for the first time on appeal, not even for
    plain error.”         State v. Jones, 
    216 N.C. App. 225
    , 230, 
    715 S.E.2d 896
    ,     900-01   (2011)        (citation       and        quotation        marks
    omitted).    Therefore this claim is not properly before us.
    II. Denial of Motions to Dismiss
    -12-
    Defendant    next      contends    that    the   trial   court    erred   in
    denying   his     motions      to    dismiss     the   charges   of    felonious
    obstruction of justice and accessory after the fact based on the
    insufficiency of the evidence.                 A trial court's denial of a
    defendant's motion to dismiss is reviewed                 de novo. State v.
    Smith, 
    186 N.C. App. 57
    , 62, 
    650 S.E.2d 29
    , 33 (2007).                          On
    appeal, this Court must determine “whether there is substantial
    evidence (1) of each essential element of the offense charged,
    or of a lesser offense included therein, and (2) of defendant's
    being the perpetrator.”             State v. Fritsch, 
    351 N.C. 373
    , 378,
    
    526 S.E.2d 451
    ,   455    (citation    and    quotation    marks   omitted),
    cert. denied, 
    531 U.S. 890
    , 
    148 L.Ed.2d 150
     (2000).                   Substantial
    evidence is “such relevant evidence as a reasonable mind might
    accept as adequate to support a conclusion.”                   State v. Smith,
    
    300 N.C. 71
    , 78–79, 
    265 S.E.2d 164
    , 169 (1980).                  Evidence must
    be viewed in the light most favorable to the State with every
    reasonable inference drawn in the State's favor.                 State v. Rose,
    
    339 N.C. 172
    , 192, 
    451 S.E.2d 211
    , 223 (1994), cert. denied, 
    515 U.S. 1135
    , 
    132 L.Ed.2d 818
     (1995).
    A. Felonious Obstruction of Justice
    [I]n order to convict [a] Defendant of the
    common   law   offense of    obstruction of
    justice,   the   State  [is]    required to
    -13-
    demonstrate that Defendant ha[s] committed
    an act that prevented, obstructed, impeded
    or   hindered   public  or    legal   justice.
    Although    obstruction    of    justice    is
    ordinarily a common law misdemeanor, 
    N.C. Gen. Stat. § 14-3
    (b) provides that "[i]f a
    misdemeanor offense as to which no specific
    punishment is prescribed be infamous, done
    in secrecy and malice, or with deceit and
    intent to defraud, the offender shall . . .
    be guilty of a Class H felony."      For that
    reason, [u]nder 
    N.C. Gen. Stat. § 14-3
    (b)
    (1979), for a misdemeanor at common law to
    be raised to a Class H felony, it must be
    infamous, or done in secret and with malice,
    or committed with deceit and intent to
    defraud. If the offense falls within any of
    these categories, it becomes a Class H
    felony and is punishable as such.
    State v. Taylor, 
    212 N.C. App. 238
    , 246, 
    713 S.E.2d 82
    , 88
    (2011) (internal citations and quotation marks omitted).                 We
    have previously noted that       “this State has a policy against
    parties deliberately frustrating and causing undue expense to
    adverse parties gathering information about their claims. . . .”
    State v. Wright, 
    206 N.C. App. 239
    , 242, 
    696 S.E.2d 832
    , 835
    (2010).
    In    the     present   case,     Defendant    gave   eight      written
    statements   to   law   enforcement   officers    concerning   the   events
    surrounding the murder of Mebane.           In his first two written
    statements on 26 July 2005 and 30 March 2006, he denied being at
    -14-
    the scene of Mebane’s murder but identified individuals who may
    have been involved with Mebane’s death.
    In his next six statements on 22 June 2006, 26 June 2006, 6
    July 2006, 17 October 2006, 14 November 2006, and 14 April 2008,
    Defendant admitted being present at the scene of the crime.               In
    these   statements,     Defendant    identified     various   alternating
    persons as the killer.       On 22 June 2006, Defendant named Tino
    Anderson as the shooter and stated that Hugh Anderson and Josh
    Anderson were also involved.         On 26 June 2006, Defendant named
    Hugh Anderson as the killer as he was “the only one I saw with
    my own eyes with a gun.”
    On 17 October 2006, Defendant did not identify any specific
    individual   as   the   shooter   but   placed    Tino,   Hugh,   and   Josh
    Anderson at the scene and stated:            “Tino was there, but he
    didn’t shoot Larry.”       On 14 November 2006, Defendant gave a
    different story, indicating that Maurice Harris and Sylvester
    Harris tried to rob Mebane and that Sylvester Harris was the
    shooter and then stated that “the next thing I saw as I got out
    of the car was Sylvester Harris shoot Larry Mebane in the back
    of the head.”
    On 15 April 2008, Defendant changed his story once again,
    stating that “I done already gave [sic] told you the name of who
    -15-
    killed him already . . . Josh Anderson.”                     Defendant also claimed
    in that statement that he was not at the scene when Mebane was
    murdered.         Defendant    then      admitted      that    he     had    named   Tino
    Anderson as the shooter in a previous statement as a “block.”
    At the end of the interview, Defendant was asked if he was
    telling the truth and he responded “nope.”
    Defendant argues that the State offered no evidence that
    any   of   his    statements      were    false       or    misleading      and   instead
    simply     relied      on   the    contradictory            nature     of    Defendant’s
    statements.       We disagree.
    Agent Norman of the SBI testified as to the significant
    burden imposed on the investigation of Mebane’s murder resulting
    from Defendant’s various conflicting statements.                            Agent Norman
    further explained that each lead was “followed up” and that the
    SBI   ultimately        determined       that     each       person     identified     by
    Defendant had an alibi and was not present at the scene when the
    shooting occurred.
    Clearly, when viewed in the light most favorable to the
    State,     a   jury    question    existed       as    to    whether    Defendant      (1)
    unlawfully       and   willfully    (2)    obstructed         justice       by   providing
    false statements to law enforcement officers investigating the
    death of Larry Mebane (3) with deceit and intent to defraud.
    -16-
    Therefore, the trial court properly denied Defendant’s motion to
    dismiss the felonious obstruction of justice charges.
    B. Accessory After the Fact
    Defendant also asserts the trial court should have granted
    his motion to dismiss the charge of accessory after the fact
    because the State failed to produce substantial evidence that
    Defendant made false statements with the intent to help the
    actual perpetrator escape detection, arrest, or punishment.
    The elements of accessory after the fact are as follows:
    “(1) the felony has been committed by the principal; (2) the
    alleged accessory gave personal assistance to that principal to
    aid in his escaping detection, arrest, or punishment; and (3)
    the alleged accessory knew the principal committed the felony.”
    State v. Duvall, 
    50 N.C. App. 684
    , 691, 
    275 S.E.2d 842
    , 849,
    rev'd on other grounds, 
    304 N.C. 557
    , 
    284 S.E.2d 495
     (1981); see
    also N.C. Gen Stat. § 14-7; State v. Barnes, 
    116 N.C. App. 311
    ,
    316, 
    447 S.E.2d 478
    , 480 (1994).              We note that 
    N.C. Gen. Stat. § 14
    –7   permits   the   conviction       of    an   accessory       after      the   fact
    “whether   the   principal      felon    shall      or     shall    not      have   been
    previously   convicted,    or    shall       or    shall    not    be     amenable    to
    justice. . . .”      
    N.C. Gen. Stat. § 14-7
     (2013).                Furthermore,
    [t]his     Court     has     recognized          that       an
    -17-
    indictment   may    properly    allege     unknown
    conspirators     in    charging     a    criminal
    conspiracy.    It rationally follows that an
    indictment   is    valid    which   alleges     the
    existence of an unknown co-principal in
    charging a crime.          Here the bills of
    indictment    do    not    allege     that     [the
    defendant’s co-conspirator] was the person
    who actually perpetrated the offenses.          The
    indictments    charged    that    a   crime     was
    committed by an unknown person and that
    defendant was present, aiding and abetting
    in the deed.      Thus the acquittal of [the
    defendant’s    co-conspirator]      was    not    a
    sufficient   basis    for    dismissal    of    the
    charges.
    State v. Beach, 
    283 N.C. 261
    , 269, 
    196 S.E.2d 214
    , 220 (1973)
    (internal    citations    omitted),        overruled      on   other    grounds   by
    State v. Adcock, 
    310 N.C. 1
    , 33, 
    310 S.E.2d 587
    , 605-06 (1981).
    Moreover, Defendant concedes in his brief that “[t]he State does
    not have to identify the killer of Larry Mebane, in order to
    convict [Defendant] of Accessory After the Fact of First Degree
    Murder.”
    Here, as discussed above, the evidence — when viewed in the
    light   most      favorable    to    the   State    —     tended   to   show     that
    Defendant gave eight different written statements to authorities
    on   his    own    volition     providing     a    wide    array   of    scenarios
    surrounding the death of Mebane.              In these various statements,
    Defendant    identified       four   different     individuals     as    being    the
    -18-
    person who shot Mebane.              Furthermore, he admitted near the end
    of    his   14     April   2008   interview     with   Investigator      Brown    and
    Sheriff Welch that he had not been truthful to investigators.
    The    jury      could     rationally    have     concluded     that    his     false
    statements were made in an effort to shield the identity of the
    actual shooter.
    There     was     competent    evidence     introduced    at     trial    that
    allowed the jury to rationally conclude that Defendant knew the
    identity of Mebane’s shooter and was protecting that person.
    First, Defendant’s statements to investigators suggested that he
    had, in fact, been present at the murder scene as his statements
    revealed his knowledge of information that could only have been
    obtained      by    someone    physically       present   at   the     scene.      In
    addition to knowing the location of the shooting, he also knew
    that (1) Mebane had been left for dead in the passenger seat of
    the car; (2) a handgun was found wedged in between the seat and
    the console of the car; (3) a beer can was left beside the car;
    (4) Mebane had been shot in the head; (5) the car radio was on
    and playing loud music following the shooting; and (6) Mebane’s
    jaw was broken.
    -19-
    Second, the fact that Defendant knew the true identity of
    the shooter was   demonstrated by the testimony of his former
    girlfriend, Sheila Satterfield, who testified as follows:
    Q. Sheila, the question is, did Tracy tell
    you he was with Larry when he got shot?
    A. He did. He did.
    Q. And did Tracy tell you how the shooting
    occurred?
    A. He said he jumped out the car and ran.
    All I know somebody was shooting guns.
    That's all I know.
    Q. Did Tracy eventually tell you who that
    shooter was?
    A. I can't remember the name, but we was at
    a store one day, and he told me it was a guy
    that was in a brown Honda.
    Q. Did he actually point out the person in
    the store?
    A. I -- see I wasn't in the store. I was in
    the car, and um, when he came back, he said
    that's the guy that killed Little Larry.
    Look. Look. Look. I said, Oh, I ain't
    looking. Get in this car, and let's go.
    Finally, Defendant admitted in his 14 April 2008 statement
    that “I put Tino [Anderson] in the middle as a block one time,”
    thereby raising the inference that he was deliberately thwarting
    the investigators’ attempts to apprehend Mebane’s killer.     In
    -20-
    that    same    statement,    Defendant        further    acknowledged      that   his
    false statements had made “you waste your time and gas and your
    ink     pen,”    indicating      that    he     was    fully    aware     his   false
    statements were resulting in a misuse of law enforcement time
    and resources by causing the investigators to chase false leads.
    The jury could rationally have concluded that the purpose of his
    actions was to prevent the officers from learning the identity
    of the actual killer.
    We conclude that the evidence presented by the State was
    sufficient to raise a jury question as to the accessory after
    the     fact     charge.         Accordingly,         Defendant’s       argument    is
    overruled.
    III. State’s Closing Argument
    Defendant      next   argues     that    the     trial   court     abused   its
    discretion by improperly allowing the State to make a closing
    argument       that   appealed     to   the    jury’s    passion    and    prejudice
    without intervening ex mero motu.                This argument likewise lacks
    merit.
    “The standard of review when a defendant fails to object at
    trial    [to    statements    in    a   closing       argument]    is   whether    the
    argument complained of was so grossly improper that the trial
    court erred in failing to intervene ex mero motu.” State v.
    -21-
    Trull,   
    349 N.C. 428
    ,   451   
    509 S.E.2d 178
    ,   193    (1998),   cert.
    denied, 
    528 U.S. 835
    , 
    145 L.Ed.2d 80
     (1999).
    In other words, the reviewing court must
    determine whether the argument in question
    strayed far enough from the parameters of
    propriety that the trial court, in order to
    protect the rights of the parties and the
    sanctity of the proceedings, should have
    intervened on its own accord and: (1)
    precluded other similar remarks from the
    offending attorney; and/or (2) instructed
    the jury to disregard the improper comments
    already made.
    
    Id.
        “Statements or remarks in closing argument must be viewed
    in context and in light of the overall factual circumstances to
    which they refer.” State v. Phillips, 
    365 N.C. 103
    , 135, 
    711 S.E.2d 122
    , 145 (2011) (citation and internal quotation marks
    omitted), cert. denied, ___ U.S. ___, 
    182 L.Ed.2d 176
     (2012).
    Consequently, “statements contained in closing arguments to
    the jury are not to be placed in isolation or taken out of
    context on appeal.”            State v. Murrell, 
    362 N.C. 375
    , 394 
    665 S.E.2d 61
    , 74 (2008) (citations and internal quotation marks
    omitted).       Our Supreme Court has further held that “[t]o merit a
    new    trial,    the    prosecutor's   remarks      must   have   perverted   or
    contaminated the trial such that they rendered the proceedings
    fundamentally unfair."          Phillips, 
    365 N.C. at 136
    , 
    711 S.E.2d at 146
    .
    -22-
    Here, Defendant contends that the State’s closing argument
    was improper because it “sought pity and passion for victim’s
    family, tried to make the jury share the responsibility of the
    prosecutor    for    prosecuting    this       case,    and   sought       to   convict
    Defendant      for       not   cooperating           with     law        enforcement.”
    Specifically,       he   appears   to   be     challenging         the    prosecutor’s
    statement that       “[t]his community deserves to be safe from a
    murderer.”
    Our Supreme Court has held that “it is not improper for the
    State   to    remind     the   jurors    that        they    are    the    voice   and
    conscience of the community.”             State v. Garcell, 
    363 N.C. 10
    ,
    63, 
    678 S.E.2d 618
    , 651 (2009) (citation and internal quotation
    marks   omitted).          Therefore,    we     do     not    believe      that    this
    statement when viewed in the overall context of the closing
    argument in its totality required intervention ex mero motu by
    the trial court.
    Defendant also appears to be contending the trial court
    should have intervened when the prosecutor made a comment that
    this is still somebody's child, and he
    didn't deserve to die like that, and his
    Momma didn't deserve to endure that loss,
    and his son from last night all the way for
    the rest of his life will not have his
    father to take him tricker-treating, to buy
    his Christmas or be there for Easter or
    -23-
    spend summer vacations, and that matters,
    and the State values that life, and you, the
    jury, values (sic) that life, and justice
    cries out that the person who did it be
    prosecuted.   How many times could you have
    ever imagined that this case, the person who
    pulled the trigger and killed this young
    man, this father, in this room right now, in
    this moment there is one person in here who
    knows who did it, and it's the defendant.
    Right now.     The pain and suffering that
    could be released.    The justice that could
    be done, but instead of that, not once, not
    twice, not three times, not four times, 5,
    6, 7 times over the span of seven years this
    man chose to lie about it in detail.
    This portion of the State’s argument sought to convey the
    notion     that   Defendant’s     pattern     of      false   and    misleading
    statements to investigators had prevented Mebane’s family from
    learning the identity of          his killer.         “The admissibility of
    victim impact testimony is limited by the requirement that the
    evidence    not   be   so   prejudicial     it     renders     the   proceeding
    fundamentally unfair. Victim impact testimony is admissible to
    show the effect the victim's death had on friends and family
    members.”    State v. Raines, 
    362 N.C. 1
    , 15, 
    653 S.E.2d 126
    , 135
    (2007) (internal citations and quotation marks omitted), cert.
    denied, 
    557 U.S. 934
    , 
    174 L.Ed.2d 601
     (2009).
    After     reviewing     the    entirety      of    the    State’s   closing
    argument and considering the context in which the challenged
    -24-
    statements    were     made,    we hold    once again      that Defendant has
    failed to carry his burden of demonstrating that the trial court
    had a duty to intervene ex mero motu.                     Therefore, we reject
    Defendant’s arguments on this issue.
    IV. Double Jeopardy
    Defendant’s final argument is that the trial court erred in
    sentencing Defendant for two crimes — felonious obstruction of
    justice and accessory after the fact — arising out of the same
    transaction,      thereby      violating    his   constitutional     rights    by
    subjecting him to double jeopardy.              This argument likewise lacks
    merit.
    Our      Supreme    Court     has   stated     that    “[b]oth   the   fifth
    amendment    to   the    United    States      Constitution    and   article   I,
    section 19 of the North Carolina Constitution prohibit multiple
    punishments for the same offense absent clear legislative intent
    to the contrary.”           State v. Etheridge, 
    319 N.C. 34
    , 50, 
    352 S.E.2d 673
    , 683 (1987).
    Where,   as    here,   a   single   criminal
    transaction constitutes a violation of more
    than one criminal statute, the test to
    determine if the elements of the offenses
    are the same is whether each statute
    requires proof of a fact which the others do
    not. Blockburger v. United States, 
    284 U.S. 299
    , 
    76 L.Ed. 306
     (1932); State v. Perry,
    
    305 N.C. 225
    , 
    287 S.E. 2d 810
     (1982).     By
    -25-
    definition, all the essential elements of a
    lesser included offense are also elements of
    the greater offense.     Invariably then, a
    lesser included offense requires no proof
    beyond   that  required   for   the  greater
    offense, and the two crimes are considered
    identical for double jeopardy purposes.
    Brown v. Ohio, 
    432 U.S. 161
    , 
    53 L.Ed. 2d 187
    (1977); State v. Revelle, 
    301 N.C. 153
    , 
    270 S.E. 2d 476
     (1980).       If neither crime
    constitutes a lesser included offense of the
    other, the convictions will fail to support
    a plea of double jeopardy. See State v.
    Walden, 
    306 N.C. 466
    , 
    293 S.E. 2d 780
    (1982).
    
    Id.
    The   Supreme   Court   further   clarified   the   double   jeopardy
    analysis in State v. Tirado, 
    358 N.C. 551
    , 579, 
    599 S.E.2d 515
    ,
    534 (2004), cert. denied sub nom. Queen v. N.C., 
    544 U.S. 909
    ,
    
    161 L.Ed.2d 285
     (2005):
    Even where evidence to support two or more
    offenses overlaps, double jeopardy does not
    occur   unless  the   evidence required  to
    support the two convictions is identical.
    If proof of an additional fact is required
    for each conviction which is not required
    for the other, even though some of the same
    acts must be proved in the trial of each,
    the offenses are not the same.
    Id. at 579, 
    599 S.E.2d at 534
    , (internal citation and brackets
    omitted).
    In Tirado, the Supreme Court determined that the charges of
    attempted first-degree murder and assault with a deadly weapon
    -26-
    with intent to kill inflicting serious injury are not comprised
    of the same elements in that each requires an additional element
    not included in the other offense.                 
    Id. at 579
    , 
    599 S.E.2d at 534
    .    Therefore, even though the crimes charged in Tirado arose
    from the exact same underlying transaction, the Court held that
    “[b]ecause     each    offense     contains   at        least   one    element    not
    included in the other, defendants have not been subjected to
    double jeopardy.”        
    Id.
     See State v. Mulder, No. COA13-672, ___
    N.C. App. ___, ___, ___ S.E.2d. ___, ___ (filed Mar. 18, 2014)
    (“[A] defendant convicted of multiple criminal offenses in the
    same trial is only protected by double jeopardy principles if
    (1) those criminal offenses constitute the same offense . . . ;
    and (2) the legislature did not intend for the offenses to be
    punished separately. . . . [T]he applicable test to determine
    whether   double      jeopardy     attaches   in    a    single    prosecution     is
    whether each statute requires proof of a fact which the others
    do not.” (internal citations and quotation marks omitted)).
    The elements of common law felonious obstruction of justice
    are:    (1) the defendant unlawfully and willfully; (2) obstructed
    justice; (3) with deceit and intent to defraud.                       In re Kivett,
    
    309 N.C. 635
    ,    670,   
    309 S.E.2d 442
    ,       462    (1983);   State    v.
    Clemmons, 
    100 N.C. App. 286
    , 292-93, 
    396 S.E.2d 616
    , 619 (1990).
    -27-
    The elements of accessory after the fact are:                    “(1) the felony
    has been committed by the principal; (2) the alleged accessory
    gave    personal       assistance    to    that    principal     to   aid    in    his
    escaping detection, arrest, or punishment; and (3) the alleged
    accessory knew the principal committed the felony.”                      Duvall, 50
    N.C. App. at 691, 
    275 S.E.2d at 849
    .
    Therefore, the elements of these two crimes are clearly not
    identical.       Obstruction of justice, unlike accessory after the
    fact, requires deceit and intent to defraud.                     Accessory after
    the    fact,    unlike    obstruction      of     justice,    requires      that   the
    defendant personally assisted the principal who committed the
    crime in escaping detection, arrest, or punishment.                          The two
    offenses are distinct, and neither is a lesser included offense
    of the other.          Consequently, because the charges of felonious
    obstruction      of    justice    and   accessory     after    the    fact   contain
    separate and distinct legal elements, Defendant has failed to
    show a double jeopardy violation.
    Conclusion
    For     the    reasons    stated    above,    we   hold   that     Defendant
    received a fair trial free from prejudicial error.
    NO PREJUDICIAL ERROR.
    Judges ELMORE and MCCULLOUGH concur.