State of Tennessee v. John Matthew Cabe ( 2018 )


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  •                                                                                          12/03/2018
    IN THE COURT OF CRIMINAL APPEALS OF TENNESSEE
    AT NASHVILLE
    September 18, 2018 Session
    STATE OF TENNESSEE v. JOHN MATTHEW CABE
    Appeal from the Circuit Court for Marshall County
    No. 2017-CR-19 Forest A. Durard, Jr., Judge
    ___________________________________
    No. M2017-02340-CCA-R3-CD
    ___________________________________
    Defendant, John Matthew Cabe, was indicted for tampering with evidence after selling an
    item, which was the subject of a theft investigation, from his pawnshop. After a jury
    trial, Defendant was convicted of attempted tampering with evidence. On appeal,
    Defendant contends that he was improperly charged with tampering with evidence
    because the Pawnbrokers Act of 1988 is a specific statute which governs his conduct as a
    pawnbroker, and he argues that the evidence was insufficient to support his conviction for
    attempted tampering with evidence. After a thorough review of the record and the
    applicable statutes, we conclude that the Pawnbrokers Act of 1988 specifically governs
    the actions of a pawnbroker in his or her official capacity, thereby precluding prosecution
    for tampering with evidence. Accordingly, the judgment of the trial court is reversed and
    vacated.
    Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Circuit Court Reversed and
    Vacated
    TIMOTHY L. EASTER, J., delivered the opinion of the court, in which JOHN EVERETT
    WILLIAMS, P.J., and J. ROSS DYER, J., joined.
    Brandon E. White (on appeal) and Lee Brooks (at trial), Columbia, Tennessee, for the
    appellant, John Matthew Cabe.
    Herbert H. Slatery III, Attorney General and Reporter; M. Todd Ridley, Assistant
    Attorney General; Robert J. Carter, District Attorney General; and William Bottoms and
    Drew Wright, Assistant District Attorneys General, for the appellee, State of Tennessee.
    OPINION
    Brittany Pullin took some items from Michael Jones during a tumultuous time in
    their relationship. Among the items taken was a gold chain necklace. According to Mr.
    Jones, Ms. Pullin needed some money to keep from going to jail. One day, Ms. Pullin
    called Mr. Jones and told him that she was leaving. When Mr. Jones arrived at home, he
    noticed some of his personal belongings were missing. However, it took some time
    before he realized that his gold chain necklace was missing. Later, Mr. Jones became
    aware that Ms. Pullin had received money for his necklace when Ms. Pullin took Mr.
    Jones out to eat, and Ms. Pullin paid with the money. Mr. Jones also knew that Ms.
    Pullin had paid some fines with the money.
    Suspecting that Ms. Pullin may have pawned the items, Mr. Jones called Cabe’s
    Gun and Pawn to inquire. Defendant, the owner of Cabe’s Gun and Pawn, spoke with
    Mr. Jones and informed him that on March 29, 2016, Michelle Edwards, Ms. Pullin’s
    mother, had in fact sold a gold chain necklace to him. Mr. Jones informed Defendant that
    the necklace had been stolen and that he would be filing charges against Ms. Pullin. Mr.
    Jones told Defendant not to get rid of the necklace, and Defendant responded, “Don’t tell
    me how to run my business.” At some point after the phone call, Mr. Jones went to
    Cabe’s Gun and Pawn to talk to Defendant about the necklace. According to Mr. Jones,
    he walked in and Defendant said, “I ain’t got nothing to say.” Defendant told Mr. Jones
    to either get Defendant’s money back or to file the charges. Mr. Jones responded, “I’m
    going to file charges.” However, Mr. Jones never provided written notice to the
    Defendant stating that he believed Defendant possessed property stolen from Mr. Jones.
    The day after Mr. Jones went to Defendant’s pawn shop, Michelle Edwards and
    Ms. Pullin came back into the pawn shop. While they were there, Mr. Jones called. In
    the midst of a three-way conversation about the necklace, Defendant told them that they
    all needed to go file charges because he was not the judge. At some point, Mr. Jones
    filed a report with the Marshall County Sheriff’s Department.
    On April 7, 2016, Detective Drew Binkley’s office received a report of the theft of
    a gold necklace and a watch. The report noted that the necklace had been pawned at
    Cabe’s Gun and Pawn. That same day, Detective Binkley went to the pawnshop and
    spoke with Valeria McCarty, an employee of Cabe’s Gun and Pawn. Detective Binkley
    advised Ms. McCarty that he was there regarding a necklace that had been taken in by the
    pawnshop. Detective Binkley had the pawn ticket for the necklace, which was sent to the
    Sheriff’s office by Gabe’s Gun and Pawn as part of regular pawn procedure. The pawn
    ticket indicated that on March 28, 2016, the pawn shop purchased the necklace from
    Vonda Michelle Edwards, Ms. Pullin’s mother, for the price of $250. Detective Binkley
    stated that he wanted to look at the necklace and inquired as to how it was obtained by
    the business. Ms. McCarty did not know how it was obtained and stated that Defendant
    must have taken it in. Ms. McCarty allowed Detective Binkley to view the necklace and
    called Defendant. While viewing the necklace, Detective Binkley took photographs of it.
    -2-
    At this point, Detective Binkley believed he had found what had been taken from Mr.
    Jones, but he did not take the necklace with him. According to Detective Binkley, he did
    not take it because it was an open investigation, and no determination had been made that
    it was the subject of a theft.
    Detective Binkley spoke with Defendant on Ms. McCarty’s cell phone. According
    to Defendant, the tone of the conversation was light, and Detective Binkley was unsure
    who was telling the truth about the necklace, Mr. Jones or Ms. Pullin. During that
    conversation, Detective Binkley told Defendant that the necklace had been reported
    stolen, that it was the subject of an open investigation, and that Detective Binkley would
    be leaving the necklace at the pawn shop. Detective Binkley advised Defendant not to
    get rid of the necklace because it had been stolen, and Defendant agreed that he would
    not. According to Defendant, he added that he would like Detective Binkley to get back
    with him in the next few days because if nothing was going to be pursued, then
    Defendant needed to sell the necklace. Detective Binkley agreed that he would get back
    with Defendant.
    At a later date, Detective Tony Nichols spoke with Defendant about the necklace
    and told him that the case might be a civil issue and if it were, Defendant might be able to
    keep the necklace. Detective Nichols also told him to hold onto the necklace and not to
    get rid of it until he heard from Detective Binkley. Defendant remembered his
    conversation with Detective Nichols conversation differently. According to Defendant,
    Detective Nichols told him that no charges had been filed regarding the necklace. Other
    than his conversation with Detective Nichols, Defendant had heard nothing regarding the
    necklace between the day that Detective Binkley told him to hold onto the necklace and
    the day that Defendant was arrested. Ms. McCarty recalled Defendant saying that “when
    the time was up on the necklace, he could sell it if he wanted to because it was his
    property then.”
    Sometime between March 28th and May 5th, Defendant sold the necklace to his
    “gold man” (Charles Rogers) because law enforcement “never . . . pick[ed] it up.” In the
    eight years that Defendant had been a pawnbroker, anytime that he has had an item that
    was subject to an investigation it was picked up by law enforcement within two days to a
    week at most. Defendant believed that he could sell the necklace because he never
    received a written hold order, which Defendant understood to be required by law.
    Additionally, he held the necklace for longer than required on a purchased item, and he
    believed no charges had been filed. According to Ms. McCarty, Defendant’s stated
    reason for selling the necklace was because the “21 days were up.” At a separate
    encounter with Defendant, Detective Nichols recalled Defendant stating that he sold the
    necklace because he needed the money.
    -3-
    During his investigation, Detective Binkley spoke with Ms. Pullin and Ms.
    Edwards about the transaction involving the necklace. Subsequently, Detective Binkley
    developed a theory that led to a criminal prosecution of Ms. Pullin for theft. Eventually,
    Ms. Pullin pled guilty to the theft charge.
    On May 5, 2016, Detective Binkley went to Cabe’s Gun and Pawn to retrieve the
    necklace. However, Detective Binkley was unable to retrieve the necklace after speaking
    with Ms. McCarty. Defendant was also present at the pawn shop and spoke with
    Detective Binkley. Defendant told Detective Binkley that the necklace had been sold to
    his “gold man” for scrap and could not be retrieved. Defendant also said that he had been
    given permission to sell the necklace from another detective. Detective Binkley called
    the other detective in the presence of Defendant, and the other detective denied ever
    giving Defendant permission to sell the necklace. Detective Binkley expected to be able
    to retrieve the necklace on May 5th because he had informed Defendant that the necklace
    was subject to an ongoing investigation and Defendant had given his word that he would
    hold on to the property. Detective Binkley admitted that he did not provide Defendant
    with a written document requesting that the necklace be held, nor did he provide
    Defendant with a period of time for which Defendant should hold the necklace.
    Detective Binkley’s understanding of the law was that any item bought by a pawn shop
    had to be held for thirty days. Ultimately, Detective Binkley believed Defendant should
    have held the necklace indefinitely or until Detective Binkley retrieved it from him.
    Defendant was arrested for tampering with evidence and posted bond. Once out of
    jail, Defendant called Charles Rogers to see if the necklace could be retrieved. Mr.
    Rogers still had the necklace in his possession. Defendant traded two guns to Mr. Rogers
    for the necklace. Defendant stated that he did not mean to interfere with the
    investigation. He explained that he retrieved the necklace because law enforcement
    wanted the necklace back. When Detective Binkley learned that Mr. Rogers was the
    person to whom Defendant sold the necklace, Detective Binkley contacted Mr. Rogers
    and was informed that the necklace had been returned. On May 6th, the necklace was
    dropped off at Detective Binkley’s office by Rob Dalton.
    On April 26, 2016, a Marshall County grand jury indicted Defendant for
    tampering with evidence. After hearing the evidence at trial, the jury found Defendant
    guilty of attempted tampering with evidence as a lesser-included offense, a class D felony
    offense. The trial court imposed a suspended sentence of two years and six months and
    placed Defendant on probation. Defendant’s motion for new trial was denied, and this
    timely appeal soon followed.
    Analysis
    -4-
    Defendant argues that the specific provisions of the Tennessee Pawnbrokers Act
    of 1988, Tennessee Code Annotated sections 45-6-201 to -224 (“the Pawnbrokers Act”),
    govern the actions of a pawnbroker in his or her official capacity and, thus, preclude
    prosecution of a pawnbroker acting in his or her official capacity for tampering with
    evidence under the general statutory provisions in Tennessee Code Annotated section 39-
    16-501(a)(1). The State contends that the Pawnbrokers Act is not the exclusive means of
    prosecuting a pawnbroker because it merely sets forth the regulatory regime governing
    pawnbrokers. Because of the Pawnbrokers Act’s stated purpose, specific provisions, and
    enumerated criminal punishments, we agree with the Defendant that the Pawnbrokers Act
    precludes prosecution of a pawnbroker acting within his or her official capacity for
    tampering with evidence.
    Statutory construction is a question of law that we review de novo. State v.
    Gentry, 
    538 S.W.3d 413
    , 420 (Tenn. 2017). Our goal is to give full effect to the
    legislature’s purpose, without exceeding its intended scope. Lee Med., Inc. v. Beecher,
    
    312 S.W.3d 515
    , 526 (Tenn. 2010). “‘In ascertaining the intent of the legislature, this
    Court may look to the language of the statute, its subject matter, the object and reach of
    the statute, the wrong or evil which it seeks to remedy or prevent, and the purpose sought
    to be accomplished in its enactment.’” State v. Edmonson, 
    231 S.W.3d 925
    , 927 (Tenn.
    2007) (quoting State v. Collins, 
    166 S.W.3d 721
    , 726 (Tenn. 2005)). We begin with the
    statute’s language and give the legislature’s chosen words their natural and ordinary
    meaning. 
    Id. In so
    doing, we construe the words of the statute “in the context in which
    they appear in the statute and in light of the statute’s general purpose.” 
    Id. “When a
    statute’s text is clear and unambiguous, the courts need not look beyond
    the statute itself to ascertain its meaning.” Lee Med., 
    Inc., 312 S.W.3d at 527
    . However,
    conflicting statutes may create an ambiguity. See 
    id. Statutes that
    relate to the same
    subject or have a common purpose are construed “in pari materia.” 
    Edmonson, 231 S.W.3d at 927
    . Those statutes must be construed harmoniously, so that they do not
    conflict. State v. Turner, 
    193 S.W.3d 522
    , 526 (Tenn. 2006). Additionally, specific
    statutory language controls over a conflicting general statutory provision. 
    Turner, 193 S.W.3d at 526
    . “[W]here the mind of the legislature has been turned to the details of a
    subject and they have acted upon it, a statute treating the subject in a general manner
    should not be considered as intended to affect the more particular provision.” Arnwine v.
    Union County Bd. of Educ., 
    120 S.W.3d 804
    , 809 (Tenn. 2003) (quoting Woodroof v.
    City of Nashville, 
    192 S.W.2d 1013
    , 1015 (Tenn. 1946)).
    “The rules of statutory construction permit the courts to employ a number of
    presumptions with regard to the legislative process.” Lee Med., 
    Inc., 312 S.W.3d at 527
    .
    This Court may presume that the legislature “used every word deliberately and that each
    word has a specific meaning and purpose,” “did not intend to enact a useless statute,” and
    “did not intend an absurdity.” 
    Id. Additionally, we
    presume that the legislature is
    -5-
    knowledgeable about its prior enactments and knows the state of the law at the time it
    passes legislation. 
    Edmonson, 231 S.W.3d at 927
    . “[W]here the legislature includes
    particular language in one section of the statute but omits it in another section of the same
    act, it is presumed that the legislature acted purposefully in including or excluding that
    particular subject.” 
    Id. (quoting State
    v. Hawk, 
    170 S.W.3d 547
    , 551 (Tenn. 2005)).
    When attempting to resolve a statutory ambiguity, the rules of statutory
    construction permit us to consider, “among other things, public policy, historical facts
    preceding or contemporaneous with the enactment of the statute being construed, and the
    background and purpose of the statute.” Lee Med., 
    Inc., 312 S.W.3d at 527
    (internal
    citations omitted). Additionally, we may consider “[an] earlier version of the statute, the
    caption of the act, the legislative history of the statute, and the entire statutory scheme in
    which the statute appears.” 
    Id. The Legislature
    holds the power to define criminal
    offenses and assess punishments for crimes. 
    Gentry, 538 S.W.3d at 42
    (citing State v.
    Burdin, 
    924 S.W.2d 92
    , 87 (Tenn. 1996)). It is not this Court’s role to substitute our
    policy judgments for those of the legislature. 
    Id. (citing Frazier
    v. State, 
    495 S.W.3d 246
    , 249 (Tenn. 2016)).
    First, we review the provisions within the Pawnbrokers Act at issue in this case
    and the tampering with evidence statute, as they were in April of 2016. To assist local
    governments in the exercise of their police power, the Pawnbroker’s Act provides a
    mechanism by which a law enforcement official may require a pawnbroker to hold an
    item that was determined to be stolen after its purchase. The prerequisites for a law
    enforcement official to issue a hold order are set out as follows:
    When an appropriate law enforcement official has probable cause to believe
    that property in the possession of a pawnbroker is misappropriated or
    stolen, the official may place a written hold order on the property. The
    written hold order shall impose a holding period not to exceed ninety (90)
    days unless extended by court order. The appropriate law enforcement
    official may rescind, in writing, any hold order. An appropriate law
    enforcement official may place only one (1) hold order on the property.
    T.C.A. § 45-6-213(f) (2012) (emphasis added).1 In addition to providing the
    prerequisites for the issuance of a hold order, the Pawnbrokers Act details the contents of
    the hold order by stating:
    A hold order must specify:
    1
    On July 1, 2016, Tennessee Code Annotated section 45-6-213(f) was amended to replace “may
    place a written hold order on the property” with “shall, upon expiration of the ten day period required by
    subdivision (b)(2) place a written hold order on the property.”
    -6-
    (1) The name and address of the pawnbroker;
    (2) The name, title and identification number of the representative of the
    appropriate law enforcement official or the court placing the hold order;
    (3) If applicable, the name and address of the appropriate law enforcement
    official or court to which such representative is attached and the number, if
    any, assigned to the claim regarding the property;
    (4) A complete description of the property to be held, including model
    number and serial number if applicable;
    (5) The name of the person reporting the property to be misappropriated or
    stolen unless otherwise prohibited by law;
    (6) The mailing address of the pawnbroker where the property is held;
    (7) The expiration date of the holding period.
    T.C.A. § 45-6-213(h) (2012). While a hold order is in effect, the pawn broker must
    release the item subject to the hold order, upon request, to the custody of a law
    enforcement official for use in a criminal investigation. T.C.A. § 45-6-213(j)(20) (2012).
    Once a hold order has expired, a pawnbroker must notify the law enforcement agency of
    its expiration and hold the item for an additional ten days after the law enforcement
    agency has received the notice. T.C.A. § 45-6-213(g) (2012). Failure to hold the item
    for the duration of the hold order is a Class A misdemeanor. T.C.A. § 45-6-218(a)
    (2007).
    On the other hand, the tampering with evidence statute, as charged in this case,
    states:
    (a) It is unlawful for any person, knowing that an investigation or official
    proceeding is pending or in progress to:
    (1) Alter, destroy, or conceal any record, document or thing with intent to
    impair its verity, legibility, or availability as evidence in the investigation
    or official proceeding; . . . .
    (b) A violation of this section is a Class C felony.
    T.C.A. § 39-16-503.
    -7-
    The factual situation illustrated by this case presents a conundrum for
    pawnbrokers. What is a pawnbroker to do with an item when a law enforcement official
    has not provided the pawnbroker with a written hold order for the item? Should the
    pawnbroker carry on with his business and sell the item to make a profit, or should he
    hold the item at the risk of suffering a loss? On the other hand, if a pawnbroker were to
    sell the item, would he, or should he, be subject to a felony criminal prosecution? These
    are the very questions that a pawnbroker, such as Defendant, faces when a law
    enforcement official does not issue a hold order pursuant to the Pawnbrokers Act. In that
    scenario, the law appears ambiguous as to what, if any, criminal liability a pawnbroker
    may suffer. The rule of lenity is “rooted in fundamental principles of due process which
    mandate that no individual be forced to speculate, at peril of indictment, whether his
    conduct is prohibited.” Dunn v. United States, 
    442 U.S. 100
    , 112 (1979). Here, at the
    intersection of the Pawnbroker’s Act and the tampering with evidence statute, a
    pawnbroker is forced to speculate about the legality of his conduct. No citizen,
    pawnbroker or otherwise, should be placed in such peril.
    The Pawnbrokers Act specifically provides the means by which a claimant and a
    law enforcement official can retrieve an item from the pawnshop, and it provides
    protection for the pawnbroker that allows him to freely conduct business. It appears clear
    from the detailed instructions in the statute that the legislature contemplated a scenario
    where a law enforcement official would need to investigate a case of a stolen item
    possessed by a pawnshop. In such a scenario, the legislature prescribed that a law
    enforcement official “may” place a “written” hold order on the property and that the
    pawnbroker “shall” provide the property to law enforcement upon request. While the
    version of the Pawnbrokers Act in effect during April of 2016 did not require or place a
    duty on a law enforcement official to issue a hold order upon a finding of probable cause
    that the pawnbroker possessed a stolen item, that version of Pawnbrokers Act did require
    a written hold order before a pawnbroker was required to hold an item for a law
    enforcement official. The specificity of the Pawnbrokers Act is distinguished from the
    general nature of the tampering with evidence statute, which requires no specific action
    by a law enforcement official before a defendant can be prosecuted. Detective Binkley
    was either unaware of the procedures set forth in the Pawnbrokers Act, or he chose not to
    follow them. This oversight by Detective Binkley would have prevented prosecution of
    Defendant for a violation of the Pawnbrokers Act. Compliance with the act may have
    rendered a different result from this Court.
    Regardless, Defendant was prosecuted for tampering with evidence. If a law
    enforcement official can ignore the procedures contained in the Pawnbrokers Act and
    charge a pawnbroker with tampering with evidence, a felony, instead of a violation of the
    Pawnbrokers Act, a misdemeanor, then the provisions of the Pawnbrokers Act that
    require a law enforcement official to issue a written hold order before a pawnbroker may
    be required to hold an item are useless for all practical purposes.
    -8-
    Now, we turn to the stated purpose of the statute at hand. The Pawnbroker’s Act
    sets forth its purpose as follows:
    The making of pawn loans and the acquisitions and disposition of tangible
    personal property by and through pawnshops vitally affects the general
    economy of this state and the public interest and welfare of its citizens. It is
    the policy of this state and the purpose of this part to:
    (1) Ensure a sound system of making loans and acquiring and disposing of
    tangible personal property by and through pawnshops and to prevent
    unlawful property transactions, particularly in stolen property, through
    licensing and regulating pawnbrokers and certain persons employed by or
    in pawnshops;
    (2) Provide for licensing fees, investigation fees, and minimum capital
    requirements of licensees;
    (3) Ensure financial responsibility to the state and the public;
    (4) Ensure compliance with federal and state laws; and
    (5) Assist local governments in the exercise of their police power.
    T.C.A. § 45-6-202. The stated purpose of the Pawnbroker’s Act reveals that the
    legislature contemplated the potential acquisition and disposal of stolen property when
    devising a sound system of regulation for the vital economic activity that occurs at
    pawnshops. Additionally, the legislature was mindful of federal and state laws, like the
    tampering with evidence statute, and the need for local governments to exercise their
    police powers during the formation of the Pawnbroker’s Act. All of this points to the
    legislature turning its mind to the specific inner-workings of a pawnshop, which would
    include a scenario such as the one faced by Defendant, and making laws to govern
    pawnbrokers while acting in their official capacity. Prosecuting a pawnbroker, acting in
    his or her official capacity, in the manner Defendant was forced to defend, has a chilling
    effect on the legislature’s stated view that the pawn industry is vital to the general
    economy.
    The Pawnbrokers Act also provides specific criminal punishments for violations.
    In addition to suffering a suspension or revocation of their pawn license, the Pawnbrokers
    Act provides that “[e]very person, firm or corporation, or agents or employees thereof,
    who knowingly violates any provision of this part, on conviction, commits a Class A
    misdemeanor.” T.C.A. § 45-6-218(a) (2007). We find it noteworthy that the legislature
    -9-
    provided specifically for prosecution under the theft statute, T.C.A. § 39-14-103, for the
    knowing receipt of stolen property by a pawnbroker. T.C.A. § 45-6-218(b) (2007). If
    there was any evidence in the record that Defendant was implicated in a theft, even acting
    in his official capacity as a pawnbroker, our result would almost certainly be different.
    However, the legislature made no such provision for prosecution under the tampering
    with evidence statute for the sale of an item known to be part of a criminal investigation.
    “When the statutory language is silent as to the issue at hand, the ‘objective and spirit
    behind the legislation’ may be determinative.” State v. McNack, 
    356 S.W.3d 906
    , 909
    (Tenn. 2011) (quoting Lipscomb v. Doe, 
    32 S.W.3d 840
    , 845 (Tenn. 2000)). Given the
    purpose of the Pawnbrokers Act and the obvious fact that the legislature contemplated the
    Pawnbrokers Act interacting or overlapping with criminal statutes, we find the lack of a
    provision providing for prosecution under the tampering with evidence statute to indicate
    that the legislature intended the Pawnbrokers Act to govern a scenario such as
    Defendant’s.
    It is the criminal punishment provisions of the Pawnbrokers Act which distinguish
    this case from State v. Gentry, 
    538 S.W.3d 413
    (Tenn. 2017), which the State argues is
    directly applicable. In Gentry, the defendant argued that her squatter’s rights under the
    Uniform Residential Landlord Tenant Act (“URLTA”) precluded her from criminal
    prosecution for theft of real property and that the matter was a civil issue between the
    bank that owned the home and the defendant. 
    Id. at 426.
    Our Supreme Court held that
    even though the bank could have sought civil remedies to evict the defendant, the statute
    did not preclude prosecution of the defendant for theft of real property. 
    Id. Our review
    of URLTA revealed neither contemplation by the legislature that URLTA would interact
    or overlap with other criminal statutes nor a provision in URLTA providing criminal
    punishments for violations. See T.C.A. § 66-28-101 to -521. However, the legislature,
    knowing that the Pawnbrokers Act would interact and overlap with criminal statutes,
    specifically provided criminal punishments for violations of the Pawnbrokers Act.
    T.C.A. § 45-6-218(a). This leads us to the conclusion that the legislature intended the
    Pawnbrokers Act to be the exclusive means of prosecution of pawnbrokers acting within
    their official capacity, absent a specific exception like the Pawnbrokers Act’s provision
    for a theft prosecution when a pawnbroker knowingly received stolen property.
    These aforementioned considerations lead us to the conclusion that the legislature
    did not intend for a pawnbroker, such as Defendant, to be prosecuted for tampering with
    evidence in a scenario where a law enforcement official did not place a written hold order
    on an item that they believe to have been stolen and the pawnbroker sells the item, even if
    the pawnbroker knows that the item is subject to an investigation. The Pawnbrokers Act
    is directed specifically toward controlling the actions of a pawnbroker in his or her
    official capacity. The legislature turned their minds to addressing the various scenarios
    that could occur within a pawnshop when they passed the Pawnbrokers Act, and the
    general provisions of the tampering with evidence statute do not govern Defendant’s
    - 10 -
    actions that were taken in his official capacity as a pawnbroker. Thus, we determine that
    Defendant was improperly charged for tampering with evidence.
    Conclusion
    For the aforementioned reasons, the judgment of the trial court is reversed and
    Defendant’s conviction is vacated.
    ____________________________________
    TIMOTHY L. EASTER, JUDGE
    - 11 -