STATE OF NEW JERSEY VS. ANTHONY EUGENE STEVENSON STATE OF NEW JERSEY VS. LEROY TAYLOR (12-05-0895, MONMOUTH COUNTY AND STATEWIDE) (CONSOLIDATED) ( 2018 )


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  •                                 NOT FOR PUBLICATION WITHOUT THE
    APPROVAL OF THE APPELLATE DIVISION
    This opinion shall not "constitute precedent or be binding upon any court." Although it is posted on the
    internet, this opinion is binding only on the parties in the case and its use in other cases is limited. R. 1:36-3.
    SUPERIOR COURT OF NEW JERSEY
    APPELLATE DIVISION
    DOCKET NOS. A-0073-15T1
    A-0633-15T1
    STATE OF NEW JERSEY,
    Plaintiff-Respondent,
    v.
    ANTHONY EUGENE STEVENSON,
    a/k/a ANTHONY E. DIXON,
    Defendant-Appellant.
    __________________________________
    STATE OF NEW JERSEY,
    Plaintiff-Respondent,
    v.
    LEROY TAYLOR, a/k/a LEROY T. PRINCE
    DEVINE,
    Defendant-Appellant.
    ___________________________________
    Submitted October 22, 2018 – Decided October 31, 2018
    Before Judges Fasciale, Gooden Brown and Rose.
    On appeal from Superior Court of New Jersey, Law
    Division, Monmouth County, Indictment No. 12-05-
    0895.
    Joseph E. Krakora, Public Defender, attorney for
    appellant Anthony Eugene Stevenson (Michael J.
    Confusione, Designated Counsel, on the brief).
    Joseph E. Krakora, Public Defender, attorney for
    appellant Leroy Taylor (Laura B. Lasota, Assistant
    Deputy Public Defender, of counsel and on the briefs).
    Christopher J. Gramiccioni, Monmouth County
    Prosecutor, attorney for respondent (Ian D. Brater,
    Assistant Prosecutor, of counsel and on the briefs).
    Appellant Anthony Eugene Stevenson filed a pro se
    supplemental brief.
    PER CURIAM
    In these back-to-back appeals, which we have consolidated for purposes
    of this opinion, Anthony Eugene Stevenson and Leroy Taylor (collectively
    defendants) appeal from multiple convictions related to their illegal possession
    and sale of narcotics and firearms. A grand jury indicted and charged them with
    committing numerous offenses – more than 100 offenses in total. The State tried
    defendants separately. We affirm as to Stevenson. As the State concedes,
    however, the judge erroneously handled Taylor's request to proceed pro se. We
    therefore reverse for a new trial as to Taylor. We will first address Stevenson's
    contentions, then those raised by Taylor.
    A-0073-15T1
    2
    I.
    On appeal, Stevenson makes the following arguments:
    POINT I
    THE TRIAL COURT ERRED IN DENYING
    DEFENDANT'S   MOTION    TO   SUPPRESS
    EVIDENCE OBTAINED FROM WIRETAPS.
    POINT II
    THE TRIAL COURT ERRED IN DENYING
    DISCLOSURE  OF  THE  CONFIDENTIAL
    INFORMANTS.
    POINT III
    THE PROSECUTOR WENT BEYOND FAIR
    COMMENT DURING SUMMATION, DEPRIVING
    DEFENDANT OF A FAIR TRIAL BELOW.
    POINT IV
    THE TRIAL COURT INFRINGED DEFENDANT'S
    RIGHT TO TESTIFY VIA THE COURT'S
    ERRONEOUS SANDS/BRUNSON RULINGS AND
    IN FAILING TO ENSURE THAT DEFENDANT WAS
    AWARE THAT IT WAS HIS PERSONAL RIGHT TO
    CHOOSE WHETHER OR NOT TO TESTIFY IN HIS
    OWN DEFENSE BEFORE THE JURY BELOW.
    POINT V
    DEFENDANT'S SENTENCE IS IMPROPER AND
    EXCESSIVE.
    A-0073-15T1
    3
    In a pro se supplemental brief, Stevenson raises the following additional
    argument:
    POINT I
    THE TRIAL COURT ERRED WHEN IT DID NOT
    ACQUIT DEFENDANT OF THE GUN CHARGES
    BASED ON DUE PROCESS ENTRAPMENT.
    Stevenson argues that the court erred by denying his motion to suppress
    evidence gathered by police pursuant to a wiretap warrant. He asserts that
    Detective Christopher Camilleri submitted an affidavit containing "false
    statements." He contends the State failed to show probable cause, and that the
    request for a wiretap warrant was unnecessary.
    An appellate court reviewing an order denying a motion to suppress must
    uphold the factual findings underlying the trial judge's decision so long as they
    are supported by sufficient credible evidence in the record. State v. Elders, 
    192 N.J. 224
    , 243 (2007). A trial judge's findings of fact should not be disturbed
    unless they are "so clearly mistaken" that the interests of justice demand their
    correction. 
    Id. at 244.
    We review a trial judge's interpretation of the law de
    novo. State v. Gamble, 
    218 N.J. 412
    , 425 (2014).
    N.J.S.A. 2A:156A-10 governs the grounds necessary for the issuance of a
    wiretap warrant. Based on the facts submitted by the applicant, that judge must
    conclude that probable cause exists or existed to believe that:
    A-0073-15T1
    4
    a. The person whose communication is to be intercepted
    is engaging or was engaged over a period of time as a
    part of a continuing criminal activity or is committing,
    has or had committed or is about to commit an offense
    as provided in section 8 of P.L.1968, c.409 (C.
    2A:156A-8);
    b. Particular communications concerning such offense
    may be obtained through such interception;
    c. Normal investigative procedures with respect to such
    offense have been tried and have failed or reasonably
    appear to be unlikely to succeed if tried or to be too
    dangerous to employ;
    d. Except in the case of an application meeting the
    requirements of subsection g. of section 9 of P.L.1968,
    c.409 (C. 2A:156A-9), the facilities from which, or the
    place where, the wire, electronic or oral
    communications are to be intercepted, are or have been
    used, or are about to be used, in connection with the
    commission of such offense, or are leased to, listed in
    the name of, or commonly used by, such individual;
    e. The investigative or law enforcement officers or
    agency to be authorized to intercept the wire, electronic
    or oral communication are qualified by training and
    experience to execute the interception sought; and
    f. In the case of an application, other than a renewal or
    extension, for an order to intercept a communication of
    a person or on a facility which was the subject of a
    previous order authorizing interception, the application
    is based upon new evidence or information different
    from and in addition to the evidence or information
    offered to support the prior order, regardless of whether
    such evidence was derived from prior interceptions or
    from other sources.
    A-0073-15T1
    5
    [Ibid.]
    If there is no corroborative evidence offered, "the judge shall inquire in camera
    as to the identity of any informants or any other additional information . . . which
    the judge finds relevant . . . to determine if there is probable cause . . . ." 
    Ibid. An application for
    a wiretap warrant must contain a "particular statement
    of the facts relied upon by the applicant" including information about the person
    whose communications will be intercepted; the particular offenses being
    committed; the type of communications to be intercepted; the nature and
    location of the targeted facilities; the period of time for which the warrant is
    sought; and "[a] particular statement of facts showing that other normal
    investigative procedures with respect to the offense have been tried and have
    failed or reasonably appear to be unlikely to succeed if tried or to be too
    dangerous to employ."       N.J.S.A. 2A:156A-9.       The New Jersey statutes on
    wiretap warrants mirror the federal statute, 18 U.S.C.S. § 2518(1), (3). As a
    result, we give "careful consideration" to federal decisions on this subject. State
    v. Ates, 
    217 N.J. 253
    , 269 (2014).
    In his wiretap affidavit, Camilleri gave a detailed description of the
    investigation as of May 25, 2011.             He provided information given by
    confidential informants (CIs) about Stevenson's distribution of "large quantities
    A-0073-15T1
    6
    of heroin in the Long Branch/Red Bank area"; Detective Michael Deaney's
    undercover purchases of several bricks of heroin from Stevenson from March
    through May 2011 and Deaney's phone calls arranging those purchases; calls
    between Deaney and Stevenson about the purchase of a handgun and the
    recording of the meeting at which Deaney bought a gun from Amos Castro in
    Stevenson's presence; and a conversation between Deaney and Stevenson about
    the possibility of buying another gun from "a friend" of Stevenson.
    Camilleri asserted that based on the foregoing, he had probable cause to
    believe that Stevenson and "other as yet unidentified individuals" were utilizing
    the specified phone numbers to further a "large scale" and "ongoing organized
    criminal enterprise" involving "narcotics distribution and illicit handgun sales ."
    He noted that the investigation had already revealed information about
    Stevenson's activities, but stated that "the identity of most of his co-conspirators
    remain[ed] unknown" and would be difficult to discover due to conspirators' use
    of prepaid wireless phones and false subscriber information. Camilleri believed
    that the criminal activity at issue was "far more extensive than what [the]
    investigation [had] yet identified" and that a wiretap would lead to the discovery
    of further evidence that Stevenson and his associates were engaged in "schemes"
    A-0073-15T1
    7
    to distribute and dispense controlled dangerous substances (CDS), and to
    transport illegal handguns into New Jersey to sell them.
    Camilleri next explained the need for wiretapping, discussing why other
    investigatory methods had not been entirely successful or would not likely
    succeed in uncovering the full extent of the conspiracy. He stated that the
    investigation had yet to identify Stevenson's heroin suppliers or locations where
    he and his associates stored heroin. The CIs were unable to provide identities
    of, or any other information about, Stevenson's possible co-conspirators, and
    had expressed unwillingness to testify against Stevenson. Deaney's undercover
    activities were limited to purchases of heroin from Stevenson and a gun from
    one co-conspirator.    Camilleri opined that physical surveillance would be
    unhelpful since Stevenson likely acted in private locations, and that the
    execution of search warrants was impossible because police did not yet know
    what locations to search. Additionally, Camilleri stated that such searches,
    and/or grand jury subpoenas, would compromise the covert nature of the
    investigation and could cause conspirators to temporarily suspend their
    activities to avoid detection. Finally, analysis of call detail records and other
    technical phone data would only reveal what phone numbers were used to call
    Stevenson's identified numbers, but not the contents of the communications.
    A-0073-15T1
    8
    Stevenson argues that Camilleri's statements in the warrant affidavit – that
    Stevenson was involved in transporting illegal firearms into New Jersey – were
    false because they were based solely on the fact that Castro sold a gun to Deaney
    after Stevenson introduced the two. He also contends that Camilleri's statements
    that Stevenson was part of a "criminal enterprise" were false. Stevenson asserts
    that he made a sufficient showing that the warrant request contained such false
    statements, and that therefore the court erred by not holding an evidentiary
    hearing under Franks v. Delaware, 
    438 U.S. 154
    (1978), and by denying his
    motion to suppress.
    New Jersey has adopted the Franks standard for evaluating challenges to
    the veracity of a warrant application. State v. Howery, 
    80 N.J. 563
    , 567-68
    (1979). Under 
    Franks, 438 U.S. at 171
    , a court must hold an evidentiary hearing
    to address a challenge only if there are "allegations of deliberate falsehood or of
    reckless disregard for the truth, and those allegations [are] . . . accompanied by
    an offer of proof."     "Allegations of negligence or innocent mistake are
    insufficient" to require a hearing. 
    Ibid. A "defendant must
    make a substantial
    preliminary showing that the affiant, either deliberately or with reckless
    disregard of the truth, failed to apprise the issuing judge of material information
    which, had it been included in the affidavit, would have militated against
    A-0073-15T1
    9
    issuance of the search warrant." State v. Dispoto, 
    383 N.J. Super. 205
    , 216
    (App. Div. 2006) (citation omitted). Further, even if that standard is met, if
    there remains sufficient content in the application to support a finding of
    probable cause when the allegedly false material is set aside, a hearing is not
    required. 
    Franks, 438 U.S. at 171
    -72.
    If a hearing is held and 1) the allegation of falsity or reckless disregard is
    established by a preponderance of the evidence and 2) without the false material
    the affidavit is insufficient to establish probable cause, then the warrant resulting
    from that application must be annulled and all evidence collected pursuant to
    the warrant must be suppressed. United States v. Gotti, 
    771 F. Supp. 535
    , 538
    (E.D.N.Y. 1991).
    To determine whether a deliberate falsehood or reckless disregard for the
    truth was perpetrated by the warrant applicant, the test is whether the affiant
    deliberately lied, "entertained serious doubts" as to the truth of his or her
    statements in the application, or "had obvious reasons to doubt the accuracy" of
    the information reported therein. United States v. Clapp, 
    46 F.3d 795
    , 801 n.6
    (8th Cir. 1995). "Franks does not require that all statements in an affidavit be
    true; it simply requires that the statements be 'believed or appropriately accepted
    by the affiant as true.'" United States v. Campino, 
    890 F.2d 588
    , 592 (2d Cir.
    A-0073-15T1
    10
    1989) (quoting 
    Franks, 438 U.S. at 165
    ). Moreover, a challenger's attack on a
    statement in an application "must be more than conclusory and must be
    supported by more than a mere desire to cross-examine." United States v.
    Jimenez, 
    824 F. Supp. 351
    , 361 (S.D.N.Y. 1993).
    Importantly, the Franks analysis applies only to allegations of deliberate
    falsification or reckless disregard for the truth of facts, and not to the affiant's
    conclusions based on those facts. United States v. Armocida, 
    515 F.2d 29
    , 41
    (3d Cir. 1975) (explaining that there is no need for a Franks hearing where
    defendant challenged only affiant's conclusion, based on available information,
    that he was most likely in contact with a heroin supplier).          A defendant's
    disagreement with the affiant's interpretation of "facts fairly stated" does not
    satisfy the Franks standard. 
    Jimenez, 824 F. Supp. at 361
    (indicating that no
    hearing is necessary based upon "[a] defendant's submission of his own counter-
    interpretation" of facts leading to affiant's conclusion that drugs and money were
    moved into and out of a location); 
    Gotti, 771 F. Supp. at 539
    (stating that no
    hearing is necessary where defendants' only challenge was a disagreement with
    affiant "on the interpretation of what was overheard on" certain tapes).
    Here, the judge found that Stevenson did not satisfy the requirements for
    a Franks hearing, because he did not demonstrate that Camilleri's application
    A-0073-15T1
    11
    contained knowingly or recklessly made false statements. As to the statements
    concerning Stevenson's participation in firearms trafficking, the judge found that
    Camilleri demonstrated Stevenson's involvement by stating that he was present
    during Deaney's handgun purchase from Castro and later told Deaney that a
    "friend" of his could obtain more guns. In regard to Camilleri's use of the phrase
    "criminal enterprise" in the affidavit, the judge found that the term was a
    "conclusion[] drawn from facts fairly stated." The judge found that the warrant
    was based upon probable cause and that the wiretap evidence need not be
    suppressed.
    We conclude that Stevenson did not satisfy the Franks standard. Indeed,
    his motion did not challenge any "facts fairly stated" in Camilleri's warrant
    application, but instead challenged only Camilleri's conclusions based on those
    facts. That Stevenson disagreed with Camilleri's use of the term "criminal
    enterprise" and interpretation of the facts surrounding Castro's gun sale does not
    require a hearing under Franks. Further, Stevenson did not offer any proof that
    Camilleri deliberately falsified statements in the application or had reason to
    doubt the veracity of those statements, beyond his own counter-interpretation of
    events. Finally, even without the phrase "criminal enterprise" and the statements
    concerning the weapons trafficking offense, there was sufficient evidence in the
    A-0073-15T1
    12
    application to support a finding of probable cause to believe that Stevenson was
    engaged in criminal activity justifying a wiretap warrant under N.J.S.A.
    2A:156A-10. As a result, a Franks hearing was unnecessary, and the trial court
    did not err in denying the motion to suppress on probable cause grounds.
    Stevenson also argues that the court erred in finding that the warrant
    request established that normal investigative procedures were tried and failed
    before a wiretap warrant was sought. Specifically, he contends that the several
    less invasive investigative methods used by police prior to the warrant request
    were successful in uncovering sufficient evidence to prosecute him for drug
    offenses, so therefore the wiretap was unnecessary. 1
    A challenge to a wiretap warrant's necessity is reviewed for abuse of
    discretion, United States v. Wilson, 
    484 F.3d 267
    , 280 (4th Cir. 2007), giving
    substantial deference to the warrant-issuing court's determination. United States
    v. Gray, 
    410 F.3d 338
    , 342 (7th Cir. 2005). To obtain a wiretap warrant, the
    government must demonstrate that it has made a reasonable, good faith effort to
    use "normal" investigative procedures before resorting to the "intrusive" method
    of intercepting communications.      
    Ates, 217 N.J. at 267
    ; United States v.
    1
    Stevenson's brief states that police failed to "minimize[] intercepted
    communications." But his arguments only concern the necessity requirement.
    A-0073-15T1
    13
    Cartagena, 
    593 F.3d 104
    , 109 (1st Cir. 2010). However, investigating officers
    need not use a wiretap warrant as a "last resort," and the mere fact that another
    technique was available or possible does not render a wiretap unnecessary.
    United States v. Macklin, 
    902 F.2d 1320
    , 1327 (8th Cir. 1990). The government
    is not "forced to run outlandish risks or to exhaust every conceivable alternative
    before requesting authorization for electronic surveillance." United States v.
    Ashley, 
    876 F.2d 1069
    , 1072 (1st Cir. 1989).
    Instead, the warrant application must only show why other measures are
    inadequate for the particular investigation, United States v. Perez, 
    661 F.3d 568
    ,
    581 (11th Cir. 2011), including why their success "appears unlikely or too
    dangerous." United States v. Campos, 
    541 F.3d 735
    , 746 (7th Cir. 2008). "The
    government's burden of proving necessity 'is not great' and its compliance with
    the necessity requirement is 'reviewed in a practical and common-sense
    fashion.'" 
    Ibid. (quoting United States
    v. McLee, 
    436 F.3d 751
    , 763 (7th Cir.
    2006)). Nevertheless, mere boilerplate language regarding the difficulty of
    gathering evidence is insufficient; the government must base its need on facts
    specific to the case at hand. 
    Id. at 749.
    Even where traditional investigative methods have achieved "partial
    success," this "does not necessarily render electronic surveillance unnecessary."
    A-0073-15T1
    14
    
    Perez, 661 F.3d at 581
    . For example, the government may demonstrate the
    necessity of a wiretap by showing that its "ability to continue obtaining
    actionable intelligence from such methods [is] limited," 
    Cartagena, 593 F.3d at 110
    , or that the "most valuable evidence" is likely to be direct evidence of illicit
    transactions taking place via phone. United States v. McGuire, 
    307 F.3d 1192
    ,
    1197 (9th Cir. 2002).      Other justifications include: 1) the possibility that
    traditional surveillance would cause perpetrators to flee the jurisdiction, suspend
    criminal activities, or give false information; 2) an inability to identify locations
    where a perpetrator or organization stores contraband, rendering search warrants
    ineffective; 3) the impossibility of infiltration by CIs or agents due to the close
    and secretive nature of a group; 4) CIs' refusal to continue cooperating or
    inability to do so; 5) the use of counter-surveillance methods by perpetrators; 6)
    the undesirability of granting immunity to most culpable conspiracy members if
    subpoenas are used; and 7) the inability of pen registers and other phone records
    to disclose the details of conversations. 
    Campos, 541 F.3d at 747-48
    ; United
    States v. Carter, 
    449 F.3d 1287
    , 1294 (D.C. Cir. 2006); United States v. Bennett,
    
    219 F.3d 1117
    , 1122 (9th Cir. 2000); United States v. Brone, 
    792 F.2d 1504
    ,
    1506 (9th Cir. 1986).
    A-0073-15T1
    15
    Even if law enforcement has already gathered sufficient evidence to indict
    one perpetrator through other means, the necessity requirement may be fulfilled
    where the application demonstrates that the government has "limited knowledge
    of the full extent of [that perpetrator's] criminal activities and his
    coconspirators" and can gain more evidence by intercepting communications.
    
    Perez, 661 F.3d at 582
    . This is because "the government has a duty to extirpate
    conspiracy beyond its duty to prevent the mere commission of specific
    substantive offenses." 
    McGuire, 307 F.3d at 1198
    (footnote omitted).
    Here, the judge concluded that Camilleri's affidavit "presented an
    adequate basis to establish that normal investigative techniques had been
    inadequate to identify many of the co-conspirators and the full extent of the
    conspiracy."   The judge took note of Camilleri's experience with similar
    investigations, and found that the detective "presented a convincing explanation
    of the need to intercept wire communications" in this matter. He found that
    although other investigative methods had implicated Stevenson in drug and
    weapons offenses, they "did not allow . . . law enforcement agents to penetrate
    [his] network" or to "obtain information about the extended organization , such
    as other members, couriers, buyers, and suppliers." The judge also found that
    Camilleri provided adequate reasons why other as yet untried methods, such as
    A-0073-15T1
    16
    search warrants and grand jury subpoenas, would not have been helpful at the
    time the wiretap warrant was sought.
    The judge did not abuse his discretion by denying the motion to suppress
    evidence obtained using the wiretaps, and we further conclude that the judge did
    not abuse his discretion when he determined that the wiretap warrant was based
    on necessity. The mere fact that certain traditional investigatory techniques,
    including Deaney's undercover work, the CIs, physical surveillance, and others,
    revealed evidence sufficient to prosecute Stevenson for some offenses did not
    negate a finding of necessity. These methods were partially effective, but likely
    would not have assisted detectives any further in identifying Stevenson's heroin
    suppliers, all of his lower-level dealer customers, any user customers, or other
    co-conspirators. Further, Camilleri's application did not contain conclusory or
    boilerplate statements, and instead included details specific to this investigation.
    The application demonstrated a good faith effort to utilize other investigative
    techniques before resorting to wiretapping.
    Stevenson argues that the court erred by denying his requests to reveal the
    identity of the CI who introduced Deaney to him. He asserts that the CI was
    "directly involved or played an integral role in the crimes at issue" and that
    therefore disclosure would have been proper. Substantial deference is given to
    A-0073-15T1
    17
    a judge's evidentiary rulings. State v. Sessoms, 
    413 N.J. Super. 338
    , 342 (App.
    Div. 2010). A trial judge's decision denying a motion to disclose the identity of
    a CI is reviewed for abuse of discretion. State v. Milligan, 
    71 N.J. 373
    , 384
    (1976).
    "Protecting the identity of [CIs] is a privilege afforded the State in
    recognition of its compelling need to protect its sources of information
    concerning criminal activity." State v. Brown, 
    170 N.J. 138
    , 149 (2001). The
    purpose of this privilege is to promote communications by citizens to law
    enforcement about their knowledge of wrongdoing by offering "anonymity to
    avoid both retribution and social ridicule." State v. Infante, 
    116 N.J. Super. 252
    ,
    257 (App. Div. 1971).
    To that end, a witness may "refuse to disclose the identity of a person who
    has furnished information purporting to disclose a violation of . . . the laws of
    this State or of the United States" to a government representative charged with
    the duty of enforcing those laws. N.J.S.A. 2A:84A-28; N.J.R.E. 516. Evidence
    of a CI's identity is "inadmissible, unless the judge finds that (a) the identity of
    the person furnishing the information has already been otherwise disclosed or
    (b) disclosure of his [or her] identity is essential to assure a fair determination
    of the issues." N.J.S.A. 2A:84A-28; N.J.R.E. 516.
    A-0073-15T1
    18
    When deciding whether to order disclosure of a CI's identity, a judge must
    weigh – on a case-by-case basis – the State's interest in protecting the informant
    against the defendant's need for the information, State v. Adim, 
    410 N.J. Super. 410
    , 434 (App. Div. 2009), "taking into consideration the crime charged, the
    possible defenses, the possible significance of the informer's testimony, and
    other relevant factors." Roviaro v. United States, 
    353 U.S. 53
    , 62 (1957).
    "Without a strong showing of need, courts will generally deny a request for
    disclosure." State v. Florez, 
    134 N.J. 570
    , 578 (1994). A judge need not order
    disclosure simply because a defendant wishes "to test the truth of [an] officer's
    statement that there is [a CI] or as to what the [CI] related or as to the [CI's]
    reliability." State v. Burnett, 
    42 N.J. 377
    , 385 (1964).
    However, the State cannot invoke the privilege if the CI is an "essential
    witness on a basic issue in the case" or an "active participant in the crime for
    which the defendant is on trial," or when "fundamental principles of fairness"
    mandate disclosure. 
    Florez, 134 N.J. at 579
    . Even if the CI's safety would be
    compromised, that fact cannot surmount the need for trial fairness when
    "disclosure is material to the defense and to a balanced presentation of essential
    issues." 
    Id. at 582.
    A-0073-15T1
    19
    Where the courts have required disclosure of a CI's identity, "the factual
    complex generally involves situations where the informant was an actual
    participant in the precise criminal act for which the accused is being charged."
    
    Infante, 116 N.J. Super. at 258
    . For example, in 
    Florez, 134 N.J. at 578-91
    , our
    Supreme Court concluded that the trial judge erred in refusing to order
    disclosure of two CIs' identities, because both played "a central and critical part"
    in the commission of the crimes charged.         There, the CIs singled out the
    defendants as targets of law enforcement's reverse sting operation and arranged
    a meeting with the defendants for a drug purchase. 
    Id. at 576-591.
    At the
    meeting, one CI sold drugs to the defendants. 
    Id. at 577.
    The Court found that
    the CIs' credibility was "pivotal" to the case, particularly since the "primary
    evidence" of the drug transaction was founded solely on the account of the seller
    CI, who was the only witness besides the defendants. 
    Id. at 581.
    The Court
    concluded that the CIs' names and addresses should have been disclosed, to
    allow the defendants to potentially gather information that could impeach their
    credibility. 
    Ibid. See also Maudsley
    v. State, 
    323 N.J. Super. 579
    , 594 (App.
    Div. 1999) (explaining that nondisclosure was improper where the CI was the
    only person who participated in a "bogus" drug transaction that formed sole
    basis of search warrant application).
    A-0073-15T1
    20
    By contrast, where a CI "plays only a marginal role, such as providing
    information or 'tips' to the police or participating in the preliminary stage of a
    criminal investigation," denial of disclosure of his or her identity is proper.
    
    Milligan, 71 N.J. at 387
    .     "Proof that the informer witnessed the criminal
    transaction, without more, is usually considered insufficient to justify
    disclosure." 
    Id. at 388.
    Further, where the CI's role "is confined to introducing
    the undercover agent to [the] defendant, the majority of decisions have refused
    to compel disclosure of the informer's identity." 
    Id. at 388-89.
    Generally, "when
    an informer does not testify and was not involved in the crime, information that
    would be relevant to impeach the informer's credibility has no bearing on the
    issues at trial" and the defendant thus cannot demonstrate sufficient "need" to
    justify disclosure. 
    Adim, 410 N.J. Super. at 434-35
    .
    In 
    Milligan, 71 N.J. at 388-90
    , the CI introduced an undercover agent to
    the defendant, but because the CI was not the purchaser and did not induce the
    defendant to make the drug sale, the Court found no error in the trial judge's
    denial of disclosure.    See also State v. Oliver, 
    50 N.J. 39
    , 41-42 (1967)
    (indicating that nondisclosure was proper where CI accompanied undercover
    agent to a bar to shield him from suspicion, but played no part in the crimes
    charged); State v. Williams, 
    364 N.J. Super. 23
    , 40 (App. Div. 2003) (stating
    A-0073-15T1
    21
    that nondisclosure was proper where CI called defendant to arrange drug deal,
    but deal never occurred and CI was not involved in the drug possession c harges
    against defendant); State v. Salley, 
    264 N.J. Super. 91
    , 98-101 (App. Div. 1993)
    (reversing an order requiring disclosure where CI "lur[ed]" defendant to bring a
    gun out of his apartment but otherwise was "no more than a witness to the
    criminal event"); State v. Varona, 
    242 N.J. Super. 474
    , 479-80 (App. Div. 1990)
    (explaining that nondisclosure was proper where CI introduced undercover
    officer to defendant and told him when defendant had drugs ready, but "did not
    negotiate, conduct or set up any of the sales").
    Additionally, the privilege is no longer applicable after the CI's identity
    "has been disclosed to those who would have cause to resent" that person's
    assistance to the government.     
    Roviaro, 353 U.S. at 60
    .      But because the
    privilege belongs to the State and not to the CI, only disclosure by the State may
    void it. 
    Sessoms, 413 N.J. Super. at 343-44
    . For example, in Sessoms, we found
    that there was no "disclosure" sufficient to void the privilege where the CI
    submitted an affidavit identifying himself by name and exculpating the
    defendant. 
    Id. at 342-44.
    We reversed the trial judge's order requiring the State
    to "confirm or deny" whether the person who submitted the affidavit was indeed
    the CI. 
    Id. at 340-41.
    In 
    Williams, 364 N.J. Super. at 38
    , we found that the
    A-0073-15T1
    22
    State did not waive the privilege where the defendant remembered the CI who
    called him to set up a drug sale where he was subsequently arrested. See also
    
    Salley, 264 N.J. Super. at 101-02
    (stating that disclosure was not required
    although the CI's identity was "only thinly concealed").
    On August 2, 2013, Stevenson requested disclosure of the identities of two
    CIs referenced by detectives during grand jury proceedings. He argued that the
    CI, who introduced Deaney to Stevenson, was "directly involved on multiple
    occasions with the investigation" and could be "an essential witness" since
    police relied on information he provided. Through counsel, Stevenson indicated
    that he had guessed who this CI was, and that the CI was "a criminal" who stole
    and forged checks in Stevenson's name. Essentially, Stevenson asked not that
    the CI's identity be disclosed to him, but that he be permitted to reveal the CI's
    identity to the jury at trial, thus utilizing information about his criminal activities
    to impeach the State witnesses' testimony that the CI was a reliable informant.
    The judge found that the CI "was not an actual participant" in any crime
    with which Stevenson was charged, because he "merely set up and witnessed the
    first two meetings" between Stevenson and Deaney. He noted that while the CI
    directly purchased heroin from Stevenson on one subsequent occasion,
    Stevenson was not charged with that transaction. Additionally, the CI was
    A-0073-15T1
    23
    present during one of the gun purchases at Stevenson's request, not the State's.
    The judge found that this "limited involvement . . . [did] not sufficiently
    outweigh the State's interest in protecting the free flow of information." He also
    found that the CI's identity need not be disclosed based on "fundamental
    fairness," because Stevenson had not made a "strong showing of need."
    At trial, defense counsel asked Deaney if the CI was "somebody Mr.
    Stevenson obviously knew," and Deaney answered, "I would assume so."
    Counsel then asked the judge if she could say the CI's name, and the judge told
    her she could not. She instead asked Deaney whether the CI was "involved in
    supplying drugs to smaller-level drug dealers," and Deaney said he did not
    know. Later, on re-cross examination, counsel asked Deaney if the CI had
    agreed to assist investigators "to try to avoid going to jail," and Deaney again
    said he did not know. Counsel continued to ask questions about the CI, and the
    court sustained the State's objection and told counsel she could not ask any
    further questions that could reveal the CI's identity.
    On April 22, 2015, Stevenson moved to recall Deaney to permit further
    cross-examination regarding the CI, and for permission to cross-examine other
    State witnesses on that subject. During a hearing on April 23, 2015, defense
    counsel reiterated that Stevenson knew who the CI was, and argued that three
    A-0073-15T1
    24
    State witnesses had mentioned the CI's name and spoken about his activities
    during the investigation. For example, one of Stevenson's associates, Kenrick
    Crawford, testified, using the CI's name, that Stevenson borrowed the CI's car
    to go to Newark on August 1, 2011. However, neither Crawford nor any other
    witness described the man they named as a CI or identified him as the person
    who introduced Deaney to Stevenson.
    Counsel requested permission to question Deaney and Camilleri about the
    CI again, this time using his name. She specifically wanted to ask about the fact
    that the CI was charged with conspiracy to distribute CDS, theft, and forgery, to
    impeach the detectives' reliance on information from him. The court found that
    counsel could cross-examine detective witnesses about their interactions with
    the CI but that she was "foreclosed from getting into" the CI's identity in keeping
    with the 2013 denial of Stevenson's prior motion. The judge told counsel she
    could question witnesses about the charges against the CI to impeach the
    witnesses' testimony, but that she could only refer to him as "the confidential
    informant."
    Counsel abided by that ruling, and later solicited testimony from Camilleri
    that the CI was charged with racketeering. She questioned the detective as to
    whether he would "want to gather information from a person who's a dishonest
    A-0073-15T1
    25
    person." Counsel also made references to the CI's criminal activities during her
    closing statement, calling his reliability as an informant into question. She urged
    the jury not to "ignore" the issue of the CI's credibility.
    We conclude that the judge did not abuse his discretion by denying
    Stevenson's motions to reveal the CI's identity to the jury. Although Stevenson
    may have guessed who the CI was, this knowledge was not a result of a
    disclosure by the State; thus the State did not waive its privilege to protect the
    CI's identity. The judge properly found that the CI was not an active participant
    in the crimes charged and his identity was not crucial to Stevenson's defense.
    As in cases like Milligan, the CI introduced Stevenson to an undercover agent
    and witnessed some of the charged crimes, but did not buy the drugs, induce any
    sales, or otherwise participate. Finally, nondisclosure to the jury of the CI's
    name does not appear to have hampered Stevenson's defense, since counsel was
    nevertheless able to cross-examine key State witnesses about the CI's criminal
    activities and thus impugn his credibility and detectives' reliance on him.
    Stevenson next argues that certain remarks made by the prosecutor during
    summation deprived him of a fair trial. He complains that the prosecutor stated
    that 1) defense counsel "humiliated witnesses on cross-examination," which cast
    aspersions upon him and counsel, and 2) he did not attack Camilleri's warrant
    A-0073-15T1
    26
    application on probable cause grounds, which improperly imp lied that he had
    the burden of production and proof at trial. He contends that the court erred by
    declining to grant a mistrial or to issue curative instructions because of these
    comments.
    "Prosecutors are afforded considerable leeway in closing arguments as
    long as their comments are reasonably related to the scope of the evidence
    presented," and are "expected to make vigorous and forceful closing arguments
    to juries." State v. Frost, 
    158 N.J. 76
    , 82 (1999). However, a prosecutor "must
    refrain from improper methods that result in a wrongful conviction . . . ." State
    v. Smith, 
    167 N.J. 158
    , 177 (2001).
    For example, prosecutors must not "make inaccurate legal or factual
    assertions," and must "confine their comments to evidence revealed during the
    trial and reasonable inferences to be drawn from that evidence." 
    Id. at 178.
    A
    prosecutor is also "not permitted to cast unjustified aspersions on the defense or
    defense counsel." 
    Id. at 177.
    Further, he or she may not comment upon a
    defendant's failure to testify or remark that the State's evidence was
    "uncontradicted" or that the defendant failed to produce witnesses on his or her
    behalf. State v. Engel, 
    249 N.J. Super. 336
    , 381-82 (App. Div. 1991).
    A-0073-15T1
    27
    However, if a prosecutor's remarks "are based on the facts of the case and
    reasonable inferences therefrom, what is said in discussing them, 'by way of
    comment, denunciation or appeal, will afford no ground for reversal.'" 
    Smith, 167 N.J. at 178
    (quoting State v. Johnson, 
    31 N.J. 489
    , 510 (1960)).             A
    prosecutor may fairly comment upon defense counsel's tactics and respond "in
    order to 'right the scale.'" 
    Engel, 249 N.J. Super. at 379
    (quoting United States
    v. Young, 
    470 U.S. 1
    , 13 (1985)). "A prosecutor is not forced to idly sit as a
    defense attorney attacks the credibility of the State's witnesses," State v. Hawk,
    
    327 N.J. Super. 276
    , 284 (App. Div. 2000), and a response may be appropriate
    even if it "tends to undermine the defense case." State v. Nelson, 
    173 N.J. 417
    ,
    473 (2002).
    Moreover, a finding of prosecutorial misconduct "does not end a
    reviewing court's inquiry; in order to merit reversal, the misconduct must have
    deprived the defendant of a fair trial." 
    Hawk, 327 N.J. Super. at 281
    . A
    prosecutor's misconduct must generally be "egregious," State v. Echols, 
    199 N.J. 344
    , 360 (2009), and substantially prejudice the defendant's right to the jury's
    evaluation of the merits of his defense. 
    Smith, 167 N.J. at 181-82
    . An appellate
    court "must assess the prosecutor's comments in the context of the entire trial
    record," 
    Nelson, 173 N.J. at 472
    , including whether the trial was lengthy and the
    A-0073-15T1
    28
    prosecutor's remarks short or "errant." 
    Engel, 249 N.J. Super. at 382
    . Further,
    where a prosecutor's comments are "only slightly improper," a general jury
    charge to the effect that statements during summation are not evidence and
    should be disregarded if they conflict with jurors' recollection of events "may
    serve to ameliorate potential prejudice." 
    Frost, 158 N.J. at 86-87
    .
    During his summation, the prosecutor discussed Crawford's testimony,
    conceding that he was a drug user who was "down on his luck." The prosecutor
    said Crawford was thrown out of his house by his mother, and continued:
    How many times was he asked to go through that?
    Now, think about the cross-examinations and where
    they went sometimes. Are these intended to try to hurt
    their credibility or try to humiliate someone? Because
    humiliating somebody on the stand doesn't do anything
    to affect their credibility whether or not they are telling
    the truth.
    Later, the prosecutor commented that defense counsel questioned
    Camilleri about whether co-conspirators arrested on charges of racketeering
    were simply heroin buyers. The prosecutor noted that Camilleri submitted an
    affidavit in support of issuance of the arrest warrants, and said:
    The probable cause on that arrest affidavit was never
    attacked. . . . No inconsistencies shown. It wasn't
    alleged he lied in it. It wasn't alleged he said anything
    other than what he testified to on the stand. So that
    whole line [of questioning] by [defense counsel],
    charged this person with racketeering, charged that
    A-0073-15T1
    29
    person with racketeering, he was up front about all of
    it. He told you.
    Stevenson did not object at the time of the summation.
    The next day, Stevenson moved for a mistrial or a curative instruction,
    arguing that the prosecutor had "disparag[ed]" the defense and improperly
    implied that he had the burden of proof to challenge Camilleri's affidavit. The
    prosecutor explained that he had intended to make a "fair comment" on counsel's
    cross-examination of Crawford, in which she brought up the facts that his mother
    threw him out of her house and that he was made fun of in school, because he
    felt that those questions were irrelevant to the case and Crawford's credibility.
    He said that he mentioned the arrest affidavit to rebut counsel's implication
    during cross-examination that Camilleri "overcharg[ed] his case" against
    various co-conspirators.
    The judge found that the prosecutor's remarks "were totally fair comment
    within the context of everything that [had] occurred in the course of [the] trial ."
    He also found that the defense had adopted tactics that "were directly related to
    what [Stevenson was] claiming that the prosecutor inappropriately commented
    on." As a result, he denied the motion. Later, the judge instructed the jury that
    "[a]rguments, statements, remarks, openings and summations of counsel . . .
    must not be treated as evidence."
    A-0073-15T1
    30
    The prosecutor's characterization of defense counsel's cross-examination
    of Crawford as "humiliating" was not so egregious as to deprive Stevenson of a
    fair trial. Rather, this comment was a fair response to the defense's tactics in
    trying to discredit Crawford; the prosecutor simply attempted to "right the scale"
    by stating that the drug use and school and family issues divulged on cross -
    examination had no bearing on his credibility.
    The prosecutor's comment that Camilleri's affidavit of probable cause for
    the arrest warrants was "never attacked" is a fair response to defense counsel's
    suggestion that Camilleri overcharged co-defendants – and thus possibly
    Stevenson himself – and as a proper attempt to repair Camilleri's credibility.
    Even if the prosecutor's statement was improper, the comment was not long or
    inappropriately forceful, particularly considering the length of the trial and the
    summation itself, and the overall strength of the evidence against Stevenson.
    The prosecutor's comments did not deprive Stevenson of a fair tri al.
    Stevenson argues that the trial court erred by failing to engage in a
    colloquy with him about whether he wanted to testify, and by instead relying on
    his counsel's statement that he did not intend to do so. Relatedly, he argues that
    the court erred in ruling that if he did testify, his prior convictions would be
    admissible to impeach him. Stevenson asserts that the court did not properly
    A-0073-15T1
    31
    balance the remoteness of his convictions and the nature of the crimes to
    determine whether the relevance to his credibility outweighed potential
    prejudice.
    In general, a judge's evidentiary rulings are entitled to deference and are
    reviewed under an abuse of discretion standard. State v. Harris, 
    209 N.J. 431
    ,
    439 (2012). More specifically, "whether a prior conviction may be admitted
    into evidence against a criminal defendant rests within the sound discretion of
    the trial judge." State v. Sands, 
    76 N.J. 127
    , 144 (1978). "Ordinarily evidence
    of prior convictions should be admitted and the burden of proof to justif y
    exclusion rests on the defendant." 
    Ibid. N.J.R.E. 609(a) permits
    the admission of a witness's prior convictions for
    impeachment purposes. If the witness is a defendant in a criminal case and the
    prior conviction is "the same or similar to one of the offenses charged" or "the
    court determines that admitting the nature of the offense poses a risk of undue
    prejudice," the State may only present the crime's degree, the date of conviction,
    and the sentence imposed. N.J.R.E. 609(a)(2). This rule is intended to ensure
    that a prior offender does not appear to be "a citizen of unassailable veracity,"
    while also protecting a defendant against "the risk of impermissible use by the
    jury of prior-conviction evidence." State v. Brunson, 
    132 N.J. 377
    , 391 (1993).
    A-0073-15T1
    32
    If more than ten years have passed since the prior conviction or the
    witness's release from confinement, evidence of that conviction is only
    admissible if the judge determines that its probative value outweighs its
    prejudicial effect, with the burden of proof on the proponent of the evidence.
    N.J.R.E. 609(b)(1). In determining whether such a conviction is admissible, the
    court may consider whether there have been intervening convictions; the
    number, nature, and seriousness of the intervening offenses; whether the
    conviction involved a crime of dishonesty or fraud; how remote the conviction
    is in time; and the seriousness of the crime. N.J.R.E. 609(b)(2).
    "Remoteness cannot ordinarily be determined by the passage of time
    alone," since "[a] jury has the right to weigh whether one who repeatedly refuses
    to comply with society's rules is more likely to ignore the oath requiring veracity
    on the witness stand . . . ." 
    Sands, 76 N.J. at 144-45
    . A court therefore must
    conduct a balancing test to determine whether the conviction's relevance with
    respect to credibility outweighs any prejudice to the defendant. 
    Id. at 144.
    Regardless, if an older conviction is deemed admissible for impeachment
    purposes it must be "sanitized" in accordance with N.J.R.E. 609(a)(2).
    Here, the prosecutor stated that he intended to use Stevenson's criminal
    history for impeachment purposes if Stevenson testified. On April 22, 2015, he
    A-0073-15T1
    33
    provided the court with a copy of Stevenson's criminal history, which included
    a 2007 conviction of aggravated manslaughter and four 1996 convictions of
    conspiracy, possession of CDS, and two counts of possession of CDS with intent
    to distribute.
    The judge held a hearing on the admissibility of all of Stevenson's
    convictions for impeachment purposes. The prosecutor agreed that all of the
    charges should be "sanitized" and said that he would mention only the
    indictment numbers, degrees of the charges, dates of the convictions, and
    sentences. He argued that the 1996 convictions were not unduly remote in time
    because Stevenson committed manslaughter related to the 2007 conviction very
    soon after he completed his sentence for those earlier crimes. He also noted that
    Stevenson began the criminal activity that was the subject of the current trial
    less than a year after completing his 2007 sentence.
    The judge found that all of the convictions would be admissible against
    Stevenson if he testified, concluding that they were "in no way remote" because
    he had "scarcely had a year out of custody [on] any of these matters when he did
    not get in trouble again." The judge asked counsel whether Stevenson would
    "proceed[] forward or rest[]," and she said he planned to rest.
    A-0073-15T1
    34
    We see no abuse of discretion. The 2007 conviction was admissible under
    N.J.R.E. 609 because it involved a charge different from any that he currently
    faced. The judge also properly balanced the remoteness of the 1996 convictions
    against the possible prejudice to Stevenson. The court's finding that Stevenson's
    intervening 2007 conviction and the fact that he had not spent more than a year
    out of custody without committing any offenses since 1996 was in keeping with
    N.J.R.E. 609(b) and Sands. Further, the State agreed to present only a sanitized
    version of Stevenson's history, in accordance with N.J.R.E. 609(a)(2).
    The right of a criminal defendant to testify on his or her own behalf is
    essential to due process and may only be waived knowingly and voluntarily.
    State v. Ball, 
    381 N.J. Super. 545
    , 556 (App. Div. 2005). The courts have
    recognized that it is "the better practice for the court to determine on the record
    whether a defendant wishes to testify or to waive that right." State v. Lopez,
    
    417 N.J. Super. 34
    , 39 (App. Div. 2010).
    However, "when a defendant is represented by counsel, the court need not
    engage in a voir dire on the record" to establish a waiver. 
    Ball, 381 N.J. Super. at 556
    . It is the responsibility of defense counsel, not the trial court, to advise
    the defendant on whether to testify. State v. Savage, 
    120 N.J. 594
    , 630 (1990).
    To ensure that counsel meets this obligation, it may be the "better practice" for
    A-0073-15T1
    35
    a court to inquire whether counsel has advised a defendant of the right to testify.
    
    Id. at 631.
    Ultimately, the decision whether to testify is "an important strategical
    choice, made by defendant in consultation with counsel." 
    Ibid. During a charge
    conference on April 30, 2015, the judge noted that
    because Stevenson did not testify, there would be no mention of his prior
    convictions in any instruction on entrapment. On May 6, 2015, defense counsel
    verified with the judge that he would give an instruction to the jury not to make
    a negative inference about Stevenson's decision not to take the stand. The judge
    asked Stevenson whether he knew he had a right to testify and whether counsel
    had discussed the decision not to do so with him. Stevenson replied that he "was
    going to testify" and "wanted to," but that the judge had "pushed [him] away
    from" doing so by ruling that the prosecutor could present his criminal record.
    He said that the court "made that decision for [him]." The judge found that
    Stevenson spoke to his attorney and decided not to testify based on the ruling as
    to his prior convictions.
    Counsel represented Stevenson, who freely made the strategic choice not
    to testify to avoid the presentation of his criminal history to the jury. The judge
    properly relied on defense counsel's statement that the defense would rest
    without his taking the stand. Thus, there was no error.
    A-0073-15T1
    36
    In a pro se supplemental brief, Stevenson argues that the court erred by
    failing to acquit him on the weapons-related charges on grounds of due process
    entrapment. He asserts that Deaney initiated the gun sales and that therefore
    police "created the crime[s]" and "controlled and directed" their commission.
    Stevenson states that the police had no prior evidence that he was involved with
    possessing or selling illegal guns. As a result, he argues that the trial court erred
    by not addressing the question whether he was subjected to due process
    entrapment.
    A defense of entrapment can arise "whenever a defendant introduces
    evidence of the government's involvement in the crime through initiation,
    solicitation, or active participation." State v. Johnson, 
    127 N.J. 458
    , 464 (1992).
    "Subjective" entrapment involves the defendant's predisposition to commit the
    charged crime, while "objective" entrapment concerns the wrongfulness of the
    government's actions.      
    Ibid. N.J.S.A. 2C:2-12 sets
    forth the elements a
    defendant must prove to the jury by a preponderance of the evidence in order to
    establish the affirmative defense of entrapment.         This "statutory defense"
    requires a showing of both wrongful inducement by the State and a lack of
    predisposition. 
    Johnson, 127 N.J. at 468-69
    .
    A-0073-15T1
    37
    However, a defendant may raise an entrapment defense "based on
    standards of due process" even where all of the requirements of N.J.S.A. 2C:2-
    12 are not met. 
    Id. at 469.
    This "due process entrapment," which is an issue of
    law to be resolved by the court, "concentrates exclusively on government
    conduct and the extent of the government's involvement in commission of the
    crime." 
    Florez, 134 N.J. at 584
    . The "essence" of this defense is that the
    government has engaged in "egregious or blatant" wrongful conduct that has
    induced and increased crime rather than detecting or deterring it. 
    Johnson, 127 N.J. at 470-71
    .
    The defendant has the burden to present evidence in support of a due
    process entrapment defense, but once he has done so, the State has the burden
    to show that entrapment has not occurred by clear and convincing evidence.
    
    Florez, 134 N.J. at 590
    . This is because in cases of due process entrapment, the
    State has allegedly "created the situation that is under scrutiny" and has "far
    more control over the evidence relevant to proving or disproving" that
    entrapment occurred. 
    Ibid. Police "should ordinarily
    have a reasonable suspicion that the targeted
    defendant would be likely to engage in the commission of the crime
    A-0073-15T1
    38
    contemplated." 
    Id. at 587.
    Factors relevant to the analysis of due process
    entrapment include:
    (1) whether the government or the defendant was
    primarily responsible for creating and planning the
    crime, (2) whether the government or the defendant
    primarily controlled and directed the commission of the
    crime, (3) whether objectively viewed the methods used
    by the government to involve the defendant in the
    commission of the crime were unreasonable, and (4)
    whether the government had a legitimate law
    enforcement purpose in bringing about the crime.
    
    [Johnson, 127 N.J. at 474
    .]
    Further, the court may consider whether law enforcement engaged in tactics like
    "heavy-handed pressure; repetitive and persistent solicitation, or threats or other
    forms of coercion; the use of false and deceitful appeals to such humanitarian
    instincts as sympathy, friendship, and personal need; [or] the promise of
    exorbitant gain . . . ." 
    Id. at 478.
    Ultimately, the standard is "whether the police
    involvement in bringing about the crime was patently wrongful." 
    Id. at 482.
    Cases where due process entrapment has been found have involved deep
    and widespread engagement by law enforcement in creating, planning, and
    carrying out the crime. See, e.g., 
    Florez, 134 N.J. at 585-89
    (requiring retrial
    where police, on uncorroborated information from CIs, organized a "reverse
    sting" and sold cocaine to the defendants); State v. Grubb, 
    319 N.J. Super. 407
    ,
    A-0073-15T1
    39
    410-11 (App. Div. 1999) (reversing conviction where police arrested defendant
    after receiving information from unsupervised CI who organized prescription
    drug sales).
    By contrast, in 
    Johnson, 127 N.J. at 461
    , the Court found no due process
    entrapment where law enforcement developed a "plan" to give the defendant, a
    known buyer and user of cocaine, "the opportunity to steal drugs from a drug
    dealer and to sell those drugs." This action was based on another CI's account
    that the defendant once said he would commit such a crime if he had the chance.
    
    Ibid. Although the informant
    "presented and explained the scheme" to the
    defendant, the defendant thereafter "actively engaged in the discussions and
    refinement of the plan" and added key details. 
    Id. at 462.
    Here, Deaney testified that during a phone conversation with Stevenson,
    Stevenson commented that he had some "explosive" heroin. The detective
    admitted that he raised the subject of buying a handgun based on his
    misunderstanding of the word "explosive" to mean that Stevenson had weapons
    to sell. Camilleri testified that, to his knowledge, Stevenson did not have any
    guns to sell. Stevenson requested a charge on statutory entrapment, and the
    court gave one. However, Stevenson did not raise due process entrapment
    before the judge.
    A-0073-15T1
    40
    We conclude that the situation in this case is more akin to that in Johnson.
    Although Deaney may have brought up the subject of firearms, Stevenson
    immediately confirmed that he could facilitate an illegal gun sale and engaged
    in all of the planning and execution of the crime. Stevenson contacted Castro
    and arranged the meeting where Castro sold the first gun to Deaney. After that,
    the State had reasonable suspicion that Stevenson was involved in weapons
    trafficking, and Deaney's inquiry whether he could buy more guns was not
    "heavy handed pressure." Stevenson readily agreed to organize another sale,
    and police had no involvement with Stevenson's arrangement with Taylor for
    the second gun transaction. Thus, the State's actions in its investigation did not
    rise to the level of "egregious wrongful conduct" necessary for a finding of due
    process entrapment.
    Finally, Stevenson argues that his sentence is excessive. He asserts that
    the court's aggregate sentence of fifty years in prison was inappropriate, and that
    the trial judge improperly tried to "make up for" the acquittal of the first-degree
    leader of a trafficking network charge. He also argues that the trial judge should
    not have found aggravating factor five because "[t]he claimed organized
    criminal activity was already part and parcel of the offenses charged against
    defendant and heard at trial."     Stevenson contends that the judge erred in
    A-0073-15T1
    41
    imposing consecutive sentences, because all of his crimes were part of a "single,
    though lengthy, period of aberrant behavior."
    "Appellate review of sentencing decisions is relatively narrow and is
    governed by an abuse of discretion standard." State v. Blackmon, 
    202 N.J. 283
    ,
    297 (2010). A trial judge enjoys "considerable discretion in sentencing." State
    v. Blann, 
    429 N.J. Super. 220
    , 226 (App. Div. 2013), rev'd on other grounds,
    
    217 N.J. 517
    (2014).      An appellate court first must review whether the
    sentencing court followed the applicable sentencing guidelines. State v. Natale,
    
    184 N.J. 458
    , 489 (2005). The Code of Criminal Justice sets forth ranges within
    which a defendant may be sentenced for each degree of crime. State v. Case,
    
    220 N.J. 49
    , 63 (2014).
    Here, the judge merged most of the ninety-one counts, leaving eight for
    sentencing.2 N.J.S.A. 2C:44-3 grants a sentencing court discretion to impose an
    2
    The judge imposed a sentence of twenty years in prison with a ten-year period
    of parole ineligibility on count three; ten years with a five-year period of parole
    ineligibility on count four, second-degree conspiracy to distribute CDS; ten
    years with a five-year period of parole ineligibility on count eighty-three,
    second-degree distribution of CDS; five years with a two and a half-year period
    of parole ineligibility on count 102, third-degree distribution of CDS; five years
    on count 124, second-degree unlawful possession of an assault firearm; five
    years with a forty-two-month period of parole ineligibility on count 126, second-
    degree unlawful sale of an assault firearm; eighteen months on count 132,
    fourth-degree possession of a prohibited weapon – large capacity magazine; and
    A-0073-15T1
    42
    extended term if he is a "persistent offender"; Stevenson met the criteria due to
    his prior drug-related convictions. N.J.S.A. 2C:43-7(a)(3) provides that for
    second-degree crimes, the court may impose an extended term between ten and
    twenty years. As a result, the twenty-year term imposed on Stevenson under
    count three was proper. The remaining sentences also fell within the appropriate
    sentencing ranges under N.J.S.A. 2C:43-6: between five and ten years for the
    second-degree charges, between three and five years for the third-degree charge,
    and eighteen months for the fourth-degree charges.          Indeed, Stevenson's
    sentences on the second-degree weapons charges were at the bottom of the
    range.
    A reviewing judge next must ensure that any aggravating factors found by
    the trial judge under N.J.S.A. 2C:44-1 are based upon sufficient credible
    evidence in the record. State v. Miller, 
    205 N.J. 109
    , 127 (2011). If the factors
    found by the trial judge are so grounded, the sentence must be affirmed even if
    the reviewing court would have reached another result. State v. O'Donnell, 
    117 N.J. 210
    , 215 (1989). A judge "must qualitatively assess" the factors it finds,
    and assign each an "appropriate weight." 
    Case, 220 N.J. at 65
    . An appellate
    eighteen months on count 134, fourth-degree unlawful sale of a large capacity
    magazine.
    A-0073-15T1
    43
    court may remand for resentencing where the trial judge fails to provide a
    qualitative analysis of the relevant factors, or if the trial judge "considers an
    aggravating factor that is inappropriate to a particular defendant or to the offense
    at issue." State v. Fuentes, 
    217 N.J. 57
    , 70 (2014).
    Under N.J.S.A. 2C:44-1(a)(5), one aggravating factor exists when "[t]here
    is a substantial likelihood that the defendant is involved in organized criminal
    activity." In finding this factor, the court here stated that "the proofs in this case
    clearly indicated [Stevenson] was involved clearly in organized criminal
    activity." The court based this finding on the fact that this was "not some street
    corner seller of drugs a bag at a time" and that Stevenson's crimes involved
    "wholesale lots of heroin."
    We see no error in the judge's application of aggravating factor five. He
    did not "double count" any element of a crime of which Stevenson was
    convicted. Although he was charged as the leader of a criminal enterprise, the
    jury acquitted him of that offense, and none of the remaining charges involved
    an element of organization. See State v. Pych, 
    213 N.J. Super. 446
    , 460-61
    (App. Div. 1986) (upholding application of factor five where defendant was
    convicted of conspiracy to promote gambling, since involvement in organized
    crime was not an element of either conspiracy or the underlying offense).
    A-0073-15T1
    44
    N.J.S.A. 2C:44-5(a) provides that when multiple sentences are imposed
    on a defendant for more than one offense, these sentences "shall run
    concurrently or consecutively as the court determines at the time of sentence
    . . . ." The statute states that there "shall be no overall outer limit on the
    cumulation of consecutive sentences for multiple offenses." 
    Ibid. In State v.
    Yarbough, 
    100 N.J. 627
    (1985), our Supreme Court set forth guidelines for
    deciding whether consecutive sentences are appropriate. It held that certain
    criteria must be considered "when sentence is pronounced on one occasion on
    an offender who has engaged in a pattern of behavior constituting a series of
    separate offenses or committed multiple offenses in separate, unrelated
    episodes." 
    Id. at 644.
    The first five criteria are as follows:
    (1) there can be no free crimes in a system for which
    the punishment shall fit the crime;
    (2) the reasons for imposing either a consecutive or
    concurrent sentence should be separately stated in the
    sentencing decision;
    (3) some reasons to be considered by the sentencing
    court should include facts relating to the crimes,
    including whether or not:
    (a) the crimes and their objectives were
    predominately independent of each other;
    A-0073-15T1
    45
    (b) the crimes involved separate acts of violence
    or threats of violence;
    (c) the crimes were committed at different times
    or separate places, rather than being committed so
    closely in time and place as to indicate a single period
    of aberrant behavior;
    (d) any of the crimes involved multiple victims;
    (e) the convictions for which the sentences are to
    be imposed are numerous;
    (4) there should be no double counting of aggravating
    factors;
    (5) successive terms for the same offense should not
    ordinarily be equal to the punishment for the first
    offense[.]
    [Id. at 643-44.]
    If a sentencing court properly evaluates the Yarbough factors, the court's
    decision will not usually be disturbed on appeal. 
    Miller, 205 N.J. at 129
    .
    However, remand may be needed if a court does not explain why consecutive
    sentences are warranted and there is no way to deduce or discern the court's
    reasoning on appeal. 
    Id. at 129-30.
    See also State v. Miller, 
    108 N.J. 112
    , 122
    (1987) (remanding for resentencing where the trial court did not provide "a
    separate statement of reasons" to impose consecutive sentences).
    A-0073-15T1
    46
    Here, the judge found that "every count that [Stevenson would] be
    sentenced on represent[ed] a complete separate and distinct criminal offense."
    The judge stated that there was "a pattern of criminal behavior . . . that went on
    for a significant period of time" and that Stevenson was responsible for "a good
    portion" of the heroin distribution in Monmouth County. He also said that as to
    the gun sales, these were "separate and distinct transactions, and under
    Yarbough there are no free crimes." However, the court did not analyze the
    Yarbough factors, particularly factor three, before imposing consecutive
    sentences on counts three, four, and eighty-three, and sentences on counts 102,
    124, 126, 132, and 134 that were to run concurrent to each other and to count
    eighty-three, but to run consecutive to counts three and four. We therefore
    remand for resentencing, with a direction to the judge to consider whether the
    Yarbough factors support the imposition of consecutive sentences and to provide
    a more detailed analysis of those factors.
    II.
    On appeal, Taylor makes the following arguments:
    POINT I
    THE TRIAL COURT VIOLATED DEFENDANT'S
    RIGHT TO SELF-REPRESENTATION WHEN IT
    DENIED THE DEFENDANT'S MOTION TO
    PROCEED PRO SE.
    A-0073-15T1
    47
    POINT II
    OPINION TESTIMONY BY INVESTIGATING
    OFFICERS    ABOUT  THE   MEANING   OF
    INTERCEPTED     COMMUNICATIONS    AND
    WHETHER     OBSERVATIONS  CONSTITUTED
    NARCOTICS       TRANSACTIONS      WAS
    INADMISSIBLE AND IMPROPERLY INVADED
    THE PROVINCE OF THE JURY, THEREBY
    DEPRIVING DEFENDANT OF HIS RIGHT TO A
    FAIR TRIAL.
    A. The Testimony at Issue.
    B. Testimony About The Meaning Of
    Coded    Language     And    Intercepted
    Conversations Was Not The Proper Subject
    of Lay Opinion.
    C. Opinion Testimony About The
    Witnesses' Beliefs That They Observed
    Defendant With Heroin or Observed
    Individuals      Conduct     Narcotics
    Transactions      Was       Completely
    Inadmissible.
    POINT III
    THE TRIAL COURT ERRED IN DENYING
    DEFENDANT'S MOTION FOR A NEW TRIAL ON
    THE    BASIS THAT    THE   COURT   HAD
    IMPROPERLY CHASTISED DEFENSE COUNSEL
    IN THE PRESENCE OF THE JURY FOR
    OBJECTING DURING THE STATE'S SUMMATION.
    POINT IV
    DEFENDANT'S SENTENCE IS MANIFESTLY
    EXCESSIVE AND MUST BE REDUCED.
    A-0073-15T1
    48
    Taylor argues that the court violated his right to represent himself at trial.
    He contends that the trial judge did not engage in the required colloquy to
    determine whether he was knowingly and voluntarily waiving his right to
    counsel, and that this error requires a new trial. The State agrees that the court
    erred and that a new trial is necessary.
    "[A] defendant has a constitutionally protected right to represent himself
    in a criminal trial." Faretta v. California, 
    422 U.S. 806
    , 816 (1975). However,
    because a waiver of the right to counsel constitutes a relinquishment of "many
    of the traditional benefits associated with" that right, it must be made
    "knowingly and intelligently." 
    Id. at 835.
    When a criminal defendant requests
    to proceed pro se, the judge must "engage in a searching inquiry" with him to
    determine whether he understands the implications of the waiver.           State v.
    Crisafi, 
    128 N.J. 499
    , 510 (1992).
    In Crisafi, the Court held that a trial judge must inform defendants of "the
    nature of the charges against them, the statutory defenses to those charges, and
    the possible range of punishment." 
    Id. at 511.
    The judge should also tell
    defendants of "the technical problems they may encounter in acting as their own
    counsel and of the risks they take if their defense is unsuccessful." 
    Id. at 511-
    12. Defendants should be cautioned that they must conduct their defense in
    A-0073-15T1
    49
    accordance with the relevant rules of procedure and evidence, that "a lack of
    knowledge of law may impair their ability to defend themselves," and that in
    general it may be unwise not to accept counsel's assistance. 
    Id. at 512.
    In State v. Reddish, 
    181 N.J. 553
    , 594 (2004), the Court expanded the
    inquiry to include areas such as
    whether defendant will experience difficulty in
    separating his roles as defendant and counsel; whether
    defendant understands that he not only has the right not
    to testify, but also the right not to incriminate himself
    in any manner; whether he understands that he could
    make comments as counsel from which the jury might
    infer that he had knowledge of incriminating evidence
    (and the difficulty in avoiding such comments); and
    whether he fully understands that if he crosses the line
    separating counsel from witness, he may forfeit his
    right to remain silent and subject himself to cross-
    examination by the State.
    In ascertaining whether a defendant's "knowingness" is "real or feigned," a court
    should ask "appropriate open-ended questions that will require [the] defendant
    to describe in his own words his understanding of the challenges that he will
    face . . . ." 
    Id. at 594-95.
    Ultimately, the focus "must be on the defendant's actual understanding of
    the waiver of counsel." 
    Crisafi, 128 N.J. at 512
    . All reasonable presumptions
    against waiver should be indulged. State v. Gallagher, 
    274 N.J. Super. 285
    , 295
    (App. Div. 1994). However, a defendant should not be deprived of the right of
    A-0073-15T1
    50
    self-representation based solely on "the complexity of the proceedings or the
    magnitude of the consequences" he faces. State v. Russo, 
    243 N.J. Super. 383
    ,
    401 (App. Div. 1990). Additionally, the goal of the court's colloquy with a
    defendant is not to explore whether he possesses any particular "technical legal
    knowledge," State v. King, 
    210 N.J. 2
    , 19 (2012), and a defendant need not
    demonstrate "the skill and experience of a lawyer" before a knowing and
    voluntary waiver is found. 
    Reddish, 181 N.J. at 595
    . Finally, if the appropriate
    colloquy is conducted and it is determined that the defendant's waiver of counsel
    is knowing and voluntary, that choice "must be honored" even if the court feels
    it is a "poor" or "unwise" one. 
    Gallagher, 274 N.J. Super. at 296
    ; State v.
    Thomas, 
    362 N.J. Super. 229
    , 242-43 (App. Div. 2003).
    On July 31, 2014, Taylor moved to proceed pro se. The trial judge
    adjourned the matter, explaining that there needed to be a hearing to decide
    whether he was "capable of representing [him]self." The judge "strenuously
    suggest[ed]" that Taylor "have a very long conference with [his] attorney and
    rethink [his] position."
    On January 8, 2015, the court held the hearing on Taylor's motion, and
    began by stating that Taylor was one of three remaining defendants in the matter
    who did not "cut their losses and . . . move[] on with their lives" by accepting a
    A-0073-15T1
    51
    plea deal. The court then informed Taylor that, at trial, he would face up to 103
    years' imprisonment if convicted and given maximum sentences. Taylor stated
    that he nevertheless wanted to proceed pro se, because he believed the charges
    against him to be "false" and felt his counsel was "not representing [him] to [his]
    satisfaction."
    The judge asked Taylor to name the charges against him, while saying that
    if he wanted to "get rid of [his] attorney" he would need to "be smarter than" the
    attorney. The judge also questioned whether Taylor had been "listening to the
    brain trust over in the jail" and if that was why he had made his motion. Taylor
    knew that he was charged with racketeering and possession of CDS, but he did
    not know the rest of his charges "off hand." When the judge asked what defenses
    were available, Taylor replied that he was "not guilty of the charges" and that
    he knew "the burden of proof [was] on the prosecution" to establish his guilt.
    Next, the judge informed Taylor that if he proceeded pro se, his attorney
    would remain available as standby counsel but could not offer legal advice. The
    judge opined that his "sense" of the matter was that eventually Taylor would
    want "to get [counsel] to do his lifting for him." Taylor said, "I will defend
    myself," but asked whether counsel's answering of legal questions could be
    considered giving legal advice.
    A-0073-15T1
    52
    The judge said that Taylor was "clearly not listening," and had "failed to
    grasp the legal concept of cutting [his] losses and getting on with [his] life." He
    further said that Taylor would "be the first one yelling like crazy if [he got]
    convicted in this matter . . . and [went] to jail for the rest of [his] life." Taylor
    stated, "I'm fully aware of it and I'm willing to take my responsibility. I don't
    have any problem with that." At that point, the judge said that "based on
    [Taylor's] responses and what his anticipation of standby counsel would be," it
    was "clear" that Taylor was "not capable of representing himself." As a result,
    the motion to proceed pro se was denied.
    The judge did not engage in the full, searching colloquy described in
    Faretta, Crisafi, and Reddish to determine whether Taylor's waiver of counsel
    would be knowing and voluntary. The court acted appropriately by cautioning
    Taylor about the sentence he faced at trial and asking whether he understood the
    charges. But the judge's statement that Taylor needed to be "smarter than" his
    attorney was not the proper standard. While he may have been correct that
    dispensing with counsel would not be the best choice for Taylor, it was
    erroneous to base his decision on that view, particularly where Taylor appeared
    otherwise "literate, competent, and understanding" and indicated his willingness
    to take responsibility for his decision. 
    Faretta, 422 U.S. at 835
    .
    A-0073-15T1
    53
    "The right [of self-representation] is either respected or denied; its
    deprivation cannot be harmless." 
    King, 210 N.J. at 22
    (alteration in original)
    (quoting McKaskle v. Wiggins, 
    465 U.S. 168
    , 177 n.8 (1984)). As a result,
    although Taylor "may have been represented by a skilled attorney, the evidence
    against him may have been substantial, and the verdict may find strong support
    in the record; that matters not." 
    Ibid. Affirmed in part,
    reversed in part, and remanded for further proceedings
    consistent with this opinion. We do not retain jurisdiction.
    A-0073-15T1
    54