People v. PenrodPeople v. Penrod
delivered the opinion of the court:
Jоhn Scott Penrod (defendant) was convicted by a jury of residential burglary, a Class 1 felony, and theft under $300, a Class 4 felony by reason of his prior burglary conviction. Defendant was sentenced to concurrent prison terms of 12 years on the residential burglary conviction and three years on the theft conviction. On appeal, defendant contends that he was denied his right to a speedy trial, that he was denied the effective assistance of counsel, and that the State failed to prove guilt beyond a reasonable doubt.
A detailed procedural history of this сase follows. Those facts pertinent to a resolution of the remaining issues will be provided during a discussion of those points. On December 17, 1996, defendant was initially arrested and taken into custody on a warrant unrelated to this case. Later that day, defendant was charged with a residential burglary that occurred on December 17, 1996, and another burglary that occurred on December 7, 1996. At the time of his arrest, defendant was serving a period of mandatory supervised release under the supervision of the Illinois Department of Corrections for a prior felony offense.
On December 19, 1996, defendant appeared in court and was advised of the charges against him. During this appearance, the court appointed James Henson, an attorney from the public defender’s office, to represent defendant. The court also set a bond and scheduled an arraignment and a preliminary hearing for January 8, 1997. On December 23, 1996, the grand jury indicted defendant on the residential burglary offense, thus obviating the need for a preliminary hearing. Following defendant’s arraignment on January 8, 1997, the court set a final pretrial conferеnce for February 26, 1997, and a jury trial for March 11, 1997.
On February 20, 1997, the Illinois Department of Corrections issued a parole-violation warrant based primarily on the new burglary charges, and defendant was returned to one of its corrections facilities.
On February 25, 1997, the State filed a motion to continue the jury trial because it
On March 25, 1997, attorney Henson informed the court that he was representing one of the witnesses whom the State identified in its March 11, 1997, disclosure and therefore had a conflict of interest. The court permitted Mr. Henson to withdraw and appointed another public defender, Jerry Crisel, to represent defendant. The court continued the trial to April 22, 1997, and set a pretrial conference for March 27, 1997, two days later. On the State’s motion, the court released defendant from bond on the pending burglary and theft charges. Defendant remained in the custody of the Illinois Department of Corrections pending a hearing on the alleged violations of his mandatory supervised release.
On April 17, 1997, defendant filed a motion to dismiss the residential burglary and burglary charges, claiming that his right to a speedy trial had been violated because he had been in custody for more than 120 days and had not been brought to trial within that time. After a hearing on April 21, 1997, the court denied the motion to dismiss. Following the residential burglary and theft convictions, the State dismissed the remаining burglary charge.
In his first point, defendant argues that the trial court erred in failing to dismiss the charges because the State failed to try him within the time limits prescribed in section 103 — 5(a) of the Code of Criminal Procedure of 1963 (
We note that the prosecution and the defense agree that dеfendant was taken into custody on December 17, 1996. Defendant concedes that he never made a demand for a speedy trial. Instead, he contends that
Although the subject matter of the intrastate detainers statute is the same as that of the speedy trial act, namely, a defendant’s right to a speedy trial, the application of each statute depends upon the classification of the defendant. The intrastate detainers statute and the speedy trial act establish different time periods and demand requirements for differently situated defendants. People v. Staten,
In contrast, subsection (b) of the spеedy trial act requires a defendant who is on bail or released on his own recognizance to serve the State with a formal written demand for a speedy trial, before the clock begins to tick.
The intrastate detainers statute (
In enacting this provision, the legislature acknowledged that a person committed to an institution, facility, or program of the Department of Corrections retained a right to a speedy trial on untried charges, but it recognized that the person’s loss of liberty was not based solely upon untried charges but, rather, was based upon a prior conviction. Staten,
Though both the speedy trial act and the intrastate detainers statutе deal with the accused’s right to a speedy trial, the intrastate detainers statute is a particular enactment that only applies to persons committed to the custody of the Department of Corrections. Under principles of statutory construction, statutes relating to the same subject matter must be construed together so that effect may be given to all the provisions of each statute if it can be done by a fair and reasonable construction. People v. Gardner,
We now turn to defendant’s argument that
The record indicates that defendant was serving a period of mandatory supervised release at the timе of his arrest on the burglary charges. Section 3 — 14—2(a) of the Unified Code of Corrections provides that the Department of Corrections “shall retain custody of all persons placed on parole or mandatory supervised release *** and shall supervise such persons during their parole or release period in accord with the conditions set by the Prisoner Review Board.”
Therefore, defendant was committed to the continuous custody and under the supervision of the Illinois Department of Corrections during the entire period of his mandatory supervised release program and subsequent thereto when he was recommitted to one of its faсilities pending a parole-revocation hearing. See
In his second point, defendant claims that the State failed to prove his guilt beyond a reasonable doubt. Defendant argues that the evidence in this case consisted primarily of an accomplice’s testimony, that the accomplice testified with an expectation of leniency, and that his testimony was improbable, unsupported by corroborating evidence, and inherently suspicious.
A criminal conviction will not be set aside on review unless the evidence is so improbable or unsatisfactory that there remains a reasonable doubt about the defendant’s guilt. People v. McLaurin,
Because the testimony of an accomplice has inherent weaknesses, it should be viewed with suspicion and subject to careful scrutiny. People v. Williams,
This standard of review applies whether the evidence is direct or circumstantial. People v. Watt,
The following facts are not in dispute. On December 17, 1996, detectives from the sheriffs departmеnt went to a home, known as a crack house, to arrest defendant on an outstanding warrant, unrelated to the residential burglary. The officers arrived about 2:15 p.m., found defendant hiding in a shower, and placed him under arrest. At the time of defendant’s arrest, these officers had no knowledge of the residential burglary. The burglary was not reported until about 2:30 p.m. that day. After defendant was placed under arrest, the officers found costume jewelry in his pocket. The officers also noted a red can containing other pieces of jewelry in a room near the shоwer, but they did not seize it at that time. After the officers learned about the residential burglary, they returned to the crack house with a warrant and seized the jewelry and a bag containing two weapons and a holster. All of these items were later identified as property taken from the victim’s home during the burglary.
During the trial, the State called a number of witnesses who stayed at the crack house. One of those witnesses, Charles Tate, was an alleged “accomplice.” A summary of pertinent portions of Mr. Tate’s testimony follows. Mr. Tate told the jury that he “hooked up” with defendant about 7 a.m. on the morning of December 17, 1996. Tate admitted that he started drinking early on the morning of December 17, 1996, and that he had been “partying” and using crack cocaine the night before. According to Tate, defendant asked him for a ride out to the country that morning, but he initially declined because he did not have enough gas. After defendant came up with $2 or $3 for gas, Tate agreed to drive defendant to a residence south of Mt. Vernon. When they arrived, defendant went to the front door and knocked. No one answered. Defendant then went to some French doors and slid open a screen. He told Tate that they were at home. Defendant instructed Tate to go down the road and then come back and pick him up. Tate complied.
When Tate returned, defendant was in the driveway. Tate noticed that defendant’s coat was bulkier, as though he had something under it, that defendant was clenching his midsection, and that defendant was sweating even though it was a cold day. During the ride back, defendant asked Tate to stop at another house. Prior to arriving there, defendant put a .25-caliber automatic pistol in Tаte’s right-hand coat pocket. Tate testified that it was then he realized that defendant “had robbed this house.” Tate stated that he never got out of his car and never went into the house. Tate admitted to the jury that he was testifying with the expectation that he was going to get a reduced charge and no jail time. The pistol that defendant gave Tate was identified as one taken from the victim’s home during the burglary.
In this case, the resolution of defendant’s guilt or innocence turned on the credibility of thе State’s witnesses, defendant’s credibility, and the weight to be given that testimony. It was the jury’s charge to determine issues of credibility, to weigh the testimony, and to resolve any conflicts in the evidence. Collins,
During direct examination, Mr. Tate admitted his abuse of drugs and alcohol. Mr. Tate told the jury that he was testifying with the expectation of leniency. Tate testified that, after he gave his statement, the police indicated they would try to get “a lesser charge” for him. The court instructed the jury that the testimony of an accomplice is subject to suspicion and should be considerеd with caution.
The testimony of defendant conflicted with the testimony of the accomplice. The jury had the opportunity to view each witness and to assess the demeanor and credibility of each witness. The jury was fully apprised of the infirmities in Mr. Tate’s testimony. The jury chose to believe the accomplice. After reviewing the record, we cannot say that the jury’s conclusion was unreasonable or that the evidence was so improbable that it created a reasonable doubt about defendant’s guilt. After viewing the evidence in a light most favorable to the prosecution, we conclude that there is sufficient evidence to support the jury’s verdict.
In his final point, defendant claims that his constitutional right to the effective assistance of counsel was violated because his attorney committed a number of unprofessional errors.
Claims of ineffective assistance of counsel are evaluated under a two-pronged test established in Strickland v. Washington,
In evaluating counsel’s performance, a dеfendant must overcome a strong presumption that the challenged action might be considered sound trial strategy. Strickland,
The court need not determine whether counsеl’s performance was deficient before examining the prejudice suffered by the defendant as a result of the alleged deficiencies. If it is easier to dispose of an ineffectiveness claim on the ground of lack of sufficient prejudice, that course should be followed. Strickland,
Defendant first claims that his counsel was ineffective because he did not communicate with defendant while preparing for the trial. During the ineffective-assistance hearing, defendant’s trial counsel admitted that he neither called nor traveled to the state prisоn to meet with defendant while defendant was incarcerated there. Counsel testified that he spoke with defendant on a couple of occasions before the trial and that it was his recollection that the meetings were longer than five minutes. The record supports counsel’s recollection. According to the March 25, 1997, report of proceedings, after permitting defendant’s first attorney to withdraw, the court set a pretrial conference for the express purpose of providing defendant an opportunity to meet with his new counsel. The March 27, 1997, report of proceedings indicates that defendant and his counsel were given that opportunity following a brief pretrial conference.
In addition, defendant has not shown how further pretrial communication would have altered the outcome of this case. See People v. Davis,
Defendant next claims that his counsel was ineffective because he failed to interview and subpoena an alibi witness, Jerry Hill. We first note that defendant has presented no evidence of what Mr. Hill would have testified to had he been called. Mr. Hill was not called and did not appear as a witness during the ineffective-assistance hearing. Defendant did not submit an affidavit from Mr. Hill setting forth what information Mr. Hill could provide. Without testimony or an affidavit, this court cannot determine whether the proposed witness could have provided any information or testimony favorable to defendant. See People v. Johnson,
Further, the decision of whether to call a witness is a tactical and strategic decision, and defense counsel is given wide latitude in making those decisions. People v. Flores,
Defendant also claims that counsel was ineffective in failing to present an opening statement. A defense attorney’s decision to make or waive an opening statement on behalf of a defendant is a question of judgment in strategy or tactics that will not in and of itself demоnstrate the ineffective assistance of counsel. Davis,
Although an opening statement is ordinarily important in order to provide the jury with a clear understanding of the theory of the case or to explain complex issues (Davis,
During the ineffective-assistance hearing, counsel testified that his decisions to reserve the opening statement until the close of the State’s case and then to waive opening statement were matters of trial strategy. He explained that sometimes there are uncertainties as to how the evidence will develop. In this case, he recognized that several State witnesses were unsavory crack addicts who could not be relied upon to appear for the trial or to testify consistently with statements previously given. Counsel stated that in his judgment it would be proper for the defense to “wait and see” how the evidence developed. Counsel also stated that he had some concerns about consistency in his own client’s testimony and that he wanted to avoid any potential for conflict between his client’s testimony and his opening statement. Counsel expressed concern that the jury would note any variance between his opening statement and defendant’s testimony and hold it against defendant.
Considering the nature of this case and the unpredictable character of the witnesses, counsel decided that it was unwise to present an opening statement that might box him into one particular theory. See Flores,
Finally, defendant claims that counsel was ineffective in agreeing to a stipulation regarding forensic testing. Two screwdrivers, which were seized by the police from the room adjacent to where defendant was arrested, were sent for tеsting. The stipulation stated that the screwdrivers were examined by a forensic scientist employed by the Illinois State Police who specializes in the comparison of tool marks. The stipulation also stated that, if the expert was called, he would testify that “the screwdrivers could not be excluded as a possible source” for damage marks found at the point of entry but that they were not a “match.” The stipulation also provided that there were no latent prints suitable for comparison on a bag which was recovered at the crack housе and which
Counsel may have considered such a stipulation preferable to the possibility of having lengthy and detailed testimony from the State’s expert, which may have highlighted this evidence and made it appear more important than it was. See People v. Puente,
Further, the fact that the screwdrivers may have been used in the burglary is not particularly damaging to the defense, given defendant’s theory that he did not commit the burglary and that he was found in possession of stolen jewelry because he had purchased those items from Tate earlier that day. We note that the police found not only the screwdrivers but also other proceeds of the burglary in the room adjacent to the area where they arrested defendant, that this room was accessible to a number of people, including Tate, and that there were no usable prints on any of the items recovered. Defendant has not shown that this stipulation harmed his theory of the case. See Quest,
In our view, counsel’s decision to stipulate to this evidence was a matter of trial strategy. Further, defendant has not demonstrated that the outcome of the proceeding would have been different had his attorney rejected the stipulation.
Accordingly, the judgment of the trial court is affirmed.,
Affirmed.
CHAPMAN and WELCH, JJ, concur.