EUGENE HICKERSON, APPELLANT, v. UNITED STATES, APPELLEE.
No. 17-CO-1443
District of Columbia Court of Appeals
January 5, 2023
Argued February 25, 2021
Notice: This opinion is subject to formal revision before publication in the Atlantic and Maryland Reporters. Users are requested to notify the Clerk of the Court of any formal errors so that corrections may be made before the bound volumes go to press.
Appeal from the Superior Court of the District of Columbia (1976-FEL-096839)
(Hon. Thomas J. Motley and Hon. Maribeth Raffinan, Trial Judges)
Patricia Cresta-Savage for appellant.
Ethan L. Carroll, Assistant United States Attorney, with whom Timothy J. Shea, Acting United States Attorney at the time of filing, and Elizabeth Trosman, John P. Mannarino, and Daniel Friedman, Assistant United States Attorneys, were on the brief, for appellee.
Before EASTERLY and DEAHL, Associate Judges, and WASHINGTON, Senior Judge.
Opinion of the court by Associate Judge DEAHL.
Concurring opinion by Associate Judge EASTERLY at page
DEAHL, Associate Judge: This appeal concerns an ex post facto challenge to sex offender registration requirements. Eugene Hickerson pled guilty to one count of sodomy, a sex offense, in 1977. He was eighteen years old at the time, and he perpetrated his offense against a ten-year-old child. The record does not indicate precisely how long Hickerson was imprisoned or how long any term of parole was, but it is clear that by 1983 he had been released without conditions. More than three decades later, in 2016, Hickerson was for the first time ordered to register as a sex offender under the District of Columbia‘s Sex Offender Registration Act of 1999 (SORA),
Hickerson was required to register at that point because he pled guilty to a misdemeanor count of simple possession of heroin. He received a probationary sentence that brought him within one of SORA‘s definitions of a “[s]ex offender,” which includes one who “[c]ommitted a registration offense at any time and is in custody or under supervision on or after July 11, 2000” (the date SORA went into effect).
Hickerson now appeals. He makes two arguments challenging the Superior Court‘s determination that he must register as a sex offender. First, he contends
I.
In 1977, when he was eighteen years old, Hickerson pled guilty to one count of sodomy. Most of the records relating to that conviction have been lost, though the government asserts (and Hickerson does not deny) that the victim was a ten-year-old boy.1 Following his guilty plea, Hickerson was sentenced to an indeterminate period of imprisonment under the FYCA. The record does not indicate precisely how long Hickerson was imprisoned, but those sentenced under the FYCA had to “be discharged unconditionally on or before six years from the date of [] conviction.”
In 2000, the District enacted SORA.2 SORA requires the District to maintain a registry of sex offenders who “live, reside, work or attend school in the District of Columbia.” In re W.M., 851 A.2d 431, 436 (D.C. 2004). To accomplish this, SORA imposes a battery of reporting requirements on sex offenders, including providing the Court Services and Offender Supervision Agency, or CSOSA, with a current photograph, various identifying characteristics, and any current or expected residential, work, or school addresses within the District. Id. (citing
SORA defines a “sex offender” as anyone who:
(A) Committed a registration offense on or after July 11, 2000;
(B) Committed a registration offense at any time and is in custody or under supervision on or after July 11, 2000;
(C) Was required to register under the law of the District of Columbia on the day before July 11, 2000; or
(D) Committed a registration offense at any time in another jurisdiction and, within the registration period, enters the District of Columbia to live, reside, work or attend school.
But then, in 2016, Hickerson pled guilty to misdemeanor possession of heroin. He received a suspended sentence of thirty days’ incarceration and one year of probation.4 Several weeks later, CSOSA notified Hickerson that, because he was now “under supervision” for his misdemeanor drug possession conviction, SORA required him to register as a sex offender, based on his 1977 sodomy conviction, for the remainder of his life. See
II.
Hickerson makes two arguments on appeal. First, he argues that his sodomy conviction was set aside under the FYCA and so cannot serve as a registration offense under SORA. See
A.
We begin with Hickerson‘s statutory argument: that his 1977 conviction cannot serve as a registration offense under SORA because it was set aside under the FYCA. Because it is not entirely clear whether Hickerson‘s sodomy conviction was in fact set aside, the parties grapple in their briefs about who bore the burden of proof on that factual question. The trial court reasoned that it was Hickerson‘s burden to prove his conviction was set aside, as the government now maintains. But Hickerson makes a powerful argument that the government should bear the burden because it has superior access to the pertinent records that could demonstrate whether or not his conviction was set
Hickerson‘s contrary argument relies on
Section 22-4001(3) enumerates only three exceptions to SORA‘s definition of a registration offense: convictions that are (1) reversed, (2) vacated, or (3) pardoned on the ground of innocence. That list does not include convictions that are set aside or expunged, and we will not read additional exceptions into statutory language that does not encompass them. “When [a legislature] provides exceptions in a statute, it does not follow that courts have authority to create others. The proper inference . . . is that [the legislature] considered the issue of exceptions and, in the end, limited the statute to the ones set forth.” Facebook, Inc. v. Wint, 199 A.3d 625, 632 (D.C. 2019) (quoting United States v. Johnson, 529 U.S. 53, 58 (2000)). Moreover, the Council‘s choice to limit the excluded categories to convictions that are reversed, vacated, or pardoned on the ground of innocence suggests an intention to exclude from SORA‘s ambit only convictions that were ill-gotten, and not those that were simply removed from one‘s record for independent policy reasons. See Doe v. Webster, 606 F.2d 1226, 1234 (D.C. Cir. 1979) (explaining that the FYCA‘s set-aside provision was “intended to give youthful ex-offenders a fresh start, free from the stain of a criminal conviction“).
The legislative history bolsters that conclusion. See Clement v. D.C. Dep‘t of Emp. Servs., 126 A.3d 1137, 1139-40 (D.C. 2015) (“[E]ven where statutory language has a superficial clarity, a detailed consideration of other factors, such as the specific context in which that language is used and the broader context of the statute as a whole, when viewed in light of the statute‘s legislative history, may reveal ambiguities that this court must resolve.” (quoting Mazanderan v. D.C. Dep‘t of Pub. Works, 94 A.3d 770, 774 (D.C. 2014))). The same year the Council enacted SORA, it also enacted the Sentencing Reform Amendment Act of 2000, which explicitly stated that convictions set aside under the FYCA‘s successor statute “may be used” for purposes of determining sex offender status.5 See
Hickerson counters that we should read
A set-aside, unlike the reversal or vacatur of a conviction, “does not alter the fact of conviction.” Lindsay, 520 A.2d at 1063; see also Solomon v. United States, 120 A.3d 618, 621 (D.C. 2015) (“The [] set-aside did not in any sense ‘forgive’ [the defendant‘s] past conduct. It was not a pardon.“). To illustrate, even with an FYCA set-aside, the conviction records remain available to “law enforcement personnel and court officials” and in “situations where access . . . might be legitimate and important in the interests of justice.” Lindsay, 520 A.2d at 1063. Also, a conviction that was set aside under the FYCA may be considered by a judge during sentencing for a subsequent offense. Barnes v. United States, 529 A.2d 284, 288-89 (D.C. 1987); cf. Wade v. United States, 173 A.3d 87, 95 (D.C. 2017) (Youth Rehabilitation Act is likewise “properly understood to authorize the use of set-aside convictions in determining the appropriate sentence to be imposed in the event a defendant is subsequently found guilty of an additional crime“).
Hickerson further argues that treating an FYCA set-aside as the equivalent of a vacated conviction is consistent with the purpose of the FYCA, which was “to give youthful ex-offenders a fresh start, free from the stain of a criminal conviction.” Webster, 606 F.2d at 1234. Perhaps so, but such an inference would be inconsistent with the plain text of SORA, and the legislature that passed the latter statute was free to revisit, revise, and limit the degree to which an FYCA set-aside would in fact provide sex offenders with a clean slate.
In sum, because set-aside sex-offense convictions remain within SORA‘s definition of a registration offense, SORA required Hickerson to register as a sex offender following his 2016 conviction, even assuming his earlier conviction was set aside.
B.
We now turn to the question of whether the statute as applied to Hickerson violates the constitutional prohibition on ex post facto punishments. This is not the first time we have considered whether SORA‘s registration and notification provisions amount to unconstitutional ex post facto punishment. Because we believe that In re W.M. directs the outcome here, we first summarize its analysis, and then apply it to Hickerson‘s case.
1.
“Retroactive application of a law that inflicts greater punishment than did the law that was in effect when the crime
In Smith, the Supreme Court applied that test to Alaska‘s Sex Offender Registration Act. It concluded that sex offender registration was “a civil regulatory scheme” and not an ex post facto punishment, even when applied to those who had both committed their offenses and completed their terms of imprisonment before the Act‘s passage. Smith, 538 U.S. at 91, 105-06.
In In re W.M., we applied Smith to the District‘s SORA and reached the same conclusion. 851 A.2d at 446. We first found that the Council intended SORA not as punishment, but as a “regulatory measure[] adopted for public safety purposes.” Id. at 441. We then determined that SORA‘s registration and notification provisions were not so punitive in purpose or effect as to provide the “clearest proof” necessary to override that intent. Id. at 443.
To structure that second inquiry, we followed the Court‘s example in Smith and focused on the following five factors:
(1) whether the sanction involves an affirmative disability or restraint; (2) whether it has historically been regarded as a punishment; [3] whether its operation will promote the traditional aims of punishment—retribution and deterrence; [4] whether an alternative purpose to which it may rationally be connected is assignable for it; and [5] whether it appears excessive in relation to the alternative purpose assigned.
In re W.M., at 443 n.12 (listing the factors set out in Kennedy v. Mendoza-Martinez, 372 U.S. 144, 168-69 (1963)).8 Quoting largely from Smith, we first determined that SORA does not involve a “significant affirmative disability or restraint” because it “imposes no physical restraint, nor does it restrain activities sex offenders may pursue,” and because any “lasting and painful impact on the convicted sex offender” is a consequence that flows “not from the Act‘s registration and dissemination provisions, but from the fact of conviction, already a matter of public record.” Id. at 444 & n.15 (quotation marks omitted). Second, we determined that “registration and public notification have not been regarded historically or traditionally as punishment” and “in particular any analogy to early colonial shaming punishments . . . would be misleading, for the purpose and the principal effect of notification are to inform the public for its own safety, not to humiliate the offender.” Id. at 444 (quotation marks omitted). Third, we ascribed little weight to the fact that SORA promotes “one of the traditional aims of punishment,” deterrence, because “any number of governmental programs might deter crime without imposing punishment.” Id. at 445. Instead, we emphasized the fourth factor, stating that “[i]t is more important that the scheme undeniably has a rational connection to a legitimate, non-punitive purpose of public safety, by alerting the public to the risk of sex offenders in their community.” Id. at 445 (quotation marks omitted).
Turning to the fifth and final factor, we considered two separate grounds on which SORA might be deemed “excessive in relation to its valid purpose.” Id. First, we considered whether SORA is excessive because its registration requirements “apply to all sex offenders without regard to their future dangerousness.” See id. We determined that SORA is not excessive on that ground because:
[T]he excessiveness inquiry is not an exercise in determining whether the legislature has made the best choice possible to address the problem it seeks to remedy. The question is whether the regulatory means chosen are reasonable in light of the nonpunitive objective. Thus, a state reasonably could conclude that a conviction for a sex offense provides evidence of substantial risk of recidivism that is sufficient without more to justify a regulatory response.
Id. (internal citations and quotation marks omitted). Second, we considered whether SORA is excessive because its notification provisions “place[] no limits on the number of persons who have access to the information disseminated to the public about offenders.” Id. We determined that SORA is not excessive on that ground for three reasons: (1) “[a]n individual [member of the public] must seek access to the information“; (2) the registry “warns visitors against using the information [contained] to commit criminal acts“; and (3) maintenance of an internet database is reasonable “given the general mobility of our population.” Id. at 446.
Accordingly, we held in In re W.M. that—notwithstanding “cogen[t]” objections to SORA‘s effects on “former offenders who have rehabilitated themselves“—SORA was not sufficiently punitive in purpose or effect to override the legislature‘s intent to enact a regulatory scheme. Id. at 443. Therefore, we concluded that SORA did not impose unconstitutional ex post
2.
Because the parties have not briefed or discussed this point—Arthur was decided after the argument in this case—we will entertain the same possibility, without expressing an opinion on the point. Assuming that In re W.M. does not foreclose all as-applied ex-post facto challenges to SORA, but may permit one brought on a behalf of a sufficiently broad class of registrants, we nonetheless reject Hickerson‘s challenge for three reasons.11
a. Smith and In re W.M. rejected challenges by litigants in this same class.
First, the Supreme Court confronted this exact scenario of a registrant who had completed the entirety of his sentence and parole prior to the enactment of a sex offender registration statute in Smith, and we confronted this same scenario as well in In re W.M., yet both precedents concluded there was no ex post facto violation. In Smith, respondents John Doe I and John Doe II had been released from detention in 1990, four years before Alaska enacted its version of
Similarly, it appears that this court confronted Hickerson‘s precise situation in In re W.M. and found no ex post facto violation. In re W.M. involved eight consolidated cases. 851 A.2d at 434, 439. One of the appellants, K.M., “was convicted of rape in South Carolina in 1969[,] . . . paroled in 1984 after serving fifteen years in prison,” and had “successfully completed parole” with “no subsequent convictions.” Id. at 439. While neither our opinion nor the underlying briefing is crystal clear on the point, it is exceedingly likely that K.M. had completed his parole prior to
attached no significance to when his parole expired. We noted only that K.M. had “successfully completed parole,” id., but the timing of his parole‘s termination was clearly of no moment as we did not see fit to specify when it had ended. The fact that neither Smith nor In re W.M. attached any significance to the fact that a registrant had been unconditionally released prior to the enactment of legislation requiring them to register as sex offenders compels us to follow suit.
b. The burdens of registration do not fall more heavily on Hickerson‘s class.
Second, we disagree with Hickerson‘s argument that he and others who had completed the terms of their sentences prior to
Consider an offender who (1) had committed precisely the same offense as Hickerson at precisely the same time in 1977, (2) had remained under some limited degree of supervision until a day after
Hickerson offers little reason to think that the effects of registration are particularly severe as to those, like him, who had completed their sentences before
We are sympathetic to Hickerson‘s contention that
c. Hickerson has not substantiated his assertion of a broad class.
The third, more technical, defect with Hickerson‘s claim is that he does not substantiate the existence of a “broad class.” He asserts that there are “countless” others and “many affected people” in his same circumstances, though acknowledges that it “is unknown to Mr. Hickerson‘s defense team just how many self-described ‘former’ sex offenders there are” in his same position. Hickerson speculates that “it is a fair bet that there are thousands of potential people” who completed their sentences and any probationary term before
Hickerson has not been able to identify any others who have found themselves in his situation despite
III.
We affirm the Superior Court‘s order.
So ordered.
EASTERLY, Associate Judge, concurring: I join in the majority opinion‘s analysis of Mr. Hickerson‘s
Mr. Hickerson makes an indeterminate ex post facto claim in his briefs to this court. There are indications that he is seeking to raise a facial challenge to the
The majority opinion discerns a group-based ex post facto claim on behalf of those who “had completed the entirety of [their] sentence[s] and parole prior to the enactment” of
Moreover, I have reservations about aspects of the majority opinion‘s legal analysis in rejecting this group-based, as-applied ex post facto claim. First, I question the majority opinion‘s reliance on Smith v. Doe, 538 U.S. 84 (2003), and In re W.M. to reach its conclusion. The majority opinion acknowledges that both Smith and In re W.M. “attached no significance to” the potentially heightened burden placed on people who were no longer under any form of judicial supervision when
Second, I question whether we should use this case to cast doubt on this court‘s determination in Arthur (a decision that the parties did not discuss in their briefs because it had not yet issued) that a substantiated group-based, as-applied ex post facto challenge to
A more precise description of the holding of Seling is that the Supreme Court “rejected the argument that a statute can be declared punitive ‘as applied’ to a particular person when the highest State court hasalready definitively construed the statute as civil.” . . . That is precisely the situation presented here; that is, this court, the highest court of the District of Columbia, has already definitively construed
SORA as civil. Accordingly, we may not re-evaluateSORA ‘s civil nature by reference to the effect that it has on appellant as “a single individual.” Seling, 531 U.S. at 262, 121 S. Ct. 727.
Id. at 141-42 (emphasis added).16 “[W]ith this background,” the court in Arthur “proceed[ed] to consider appellant‘s” facial and as-applied ex post facto arguments. Id. The concession that the majority opinion highlights, which the government only “seemed” to make about the possibility that “an as-applied ex post facto challenge might lie if the punitive effects are alleged to burden a broad class of sex-offenders,” was referenced paragraphs later in the careful analysis of those arguments, id. at 144, and hardly framed the discussion in Arthur; rather, the court rejected this general concession as an adequate support for the appellant‘s cognizable group-based as-applied ex post facto challenge. Id. at 144-45 (concluding that “appellant has not put before us the ‘clearest proof’ of punitive effects that would be required to afford him relief on his ex post facto claim” (quoting Seling, 531 U.S. at 261)).
For these reasons, I depart from the majority opinion‘s ex post facto analysis but concur in the judgment.
