THE PEOPLE OF THE STATE OF ILLINOIS, Appellant, v. MICHAEL L. PERRY, Appellee.
No. 101612
THE SUPREME COURT OF ILLINOIS
February 16, 2007
224 Ill. 2d 312
Thomas A. Lilien, Deputy Defender, of the Office of the State Appellate Defender, of Elgin, for appellee.
Chief Justice Thomas and Justices Freeman, Karmeier and Burke concurred in the judgment and opinion.
Justice Fitzgerald dissented, with opinion, joined by Justice Kilbride.
OPINION
After a jury trial in the circuit court of Du Page County, defendant Michael L. Perry was convicted of theft by deception (
BACKGROUND
Defendant, along with his wife and children, occupied a suite at the Embassy Suites hotel in Lombard, Illinois, from January through April 2000. The testimony at trial revealed that after staying at the hotel for several weeks, defendant sought to negotiate a reduced rate for the
The hotel manager drafted a document headed “RATE AGREEMENT February 2000-December 30, 2000.” The agreement provided for a rate of $130 per night for a two-room suite, with a minimum stay of 100 nights “on an annual basis.” Both parties signed the agreement. Several days thereafter, the hotel controller sent a letter to defendant at the address he had provided for Prolific, confirming that billing statements would be sent to the corporate address and that the hotel‘s “net terms are 30 days from each statement date.”
After four bills sent to the business address went unpaid, the hotel‘s controller slid a letter under defendant‘s hotel room door. The letter noted that payment was more than 60 days past due and that the balance on the account was over $12,000. Defendant did not respond to the letter.
Eventually, it was revealed that the person defendant identified as the contact person for Prolific was not actually connected with the company. The hotel was also unable to contact the company using the e-mail address provided by defendant. Bills and letters that had been sent to the business address were returned to the hotel by the post office in a single envelope marked “Address Unknown.” When the trade references were eventually contacted, one reported that defendant did not have a valid account. Another reported that defendant was not in good standing and owed it money.
At various times, defendant explained to members of the hotel staff that he was having problems with the post office, that he had submitted the bill to his accountant for payment, that payment would be made by May 9,
On the afternoon of May 12, 2000, the hotel contacted the Lombard police department. An officer responded and, along with several members of the hotel staff, went to defendant‘s room to speak to him. He was not present, so they left a message with his wife. Defendant did not respond to the message.
During the night shift on May 13, 2000, defendant and his family vacated the hotel room without checking out or settling the bill. Although defendant paid a small portion of his bill by credit card during the early part of his stay, the unpaid balance for the room, restaurant, laundry services, telephone, and other charges exceeded $15,000. An attempt by the hotel to charge some of these expenses to the credit card in the name of Bryan Green, which defendant had provided earlier, was unsuccessful because the individual named on the credit card disputed the charges.
A Du Page County grand jury returned an indictment charging defendant with theft by deception “of property exceeding $10,000 and not exceeding $100,000 in value.”
After a jury trial, defendant was convicted of the theft and sentenced accordingly.
ANALYSIS
Part C of the Criminal Code of 1961 codifies the law of offenses against property. Article 15 therein defines various statutory terms used elsewhere in part C, including the term “property.” Article 16 defines theft and
“(a) A person commits theft when he knowingly:
***
(2) Obtains by deception control over property of the owner;
***
*** and
(A) Intends to deprive the owner permanently of the use or benefit of the property[.]”
720 ILCS 5/16-1(a)(2)(A) (West 2000).
Depending on the value of the stolen property and other facts, the crime of theft may be punished as a Class A misdemeanor, a Class 4, 3, 2, or 1 felony, or a Class X felony.
“Property” is defined in section 15-1 as follows:
“‘[P]roperty’ means anything of value. Property includes real estate, money, commercial instruments, admission or transportation tickets, written instruments representing or embodying rights concerning anything of value, labor, or services, or otherwise of value to the owner; things growing on, affixed to, or found on land, or part of or affixed to any building; electricity, gas and water; telecommunications services; birds, animals and fish, which ordinarily are kept in a state of confinement; food and drink; samples, cultures, microorganisms, specimens, records, recordings, documents, blueprints, drawings, maps, and whole or partial copies, descriptions, photographs, computer programs or data, prototypes or models thereof, or any other articles, materials, devices, substances and whole or partial copies, descriptions, photographs, prototypes, or models thereof which constitute, represent,
evidence, reflect or record a secret scientific, technical, merchandising, production or management information, design, process, procedure, formula, invention, or improvement.” 720 ILCS 5/15-1 (West 2000).
Relying on People v. Davis, 203 Ill. App. 3d 838 (1990), the appellate court concluded that the occupancy of a hotel room is not “property” as that term is defined in section 15-1. As a result, the stolen property consisted only of food and other incidentals obtained by defendant, valued at over $300, but less than $10,000, and punishable as a Class 3 felony.
The Davis defendants were indicted for theft of property after it was alleged that they instructed city employees to engage in political activities such as the collection of absentee ballots during time that they were being paid by the City of East St. Louis to work on a public works project. Davis, 203 Ill. App. 3d at 841. The trial court dismissed the indictments on the basis that the labor of an employee is not the property of the employer and, thus, diversion of the employee‘s labor is not a theft. Davis, 203 Ill. App. 3d at 841-42.
The appellate court affirmed the dismissal of the indictments for several reasons. The court noted that “[a]t common law, only tangible personal property could be the subject of larceny” (Davis, 203 Ill. App. 3d at 844), and that section 15-1 was intended to add to this definition “things not embraced by larceny under common law.” The court concluded that the statutory definition of property in section 15-1 includes only tangible personal property that was subject to larceny at common law, indicated by the phrase “anything of value,” and those other items specifically enumerated in the following sentence. Further, the court stated that section 15-1 “only lists items which may be physically possessed and carried away.” Davis, 203 Ill. App. 3d at 845.
In addition, the Davis court relied on the canon of
In the present case, the appellate court noted that except for the subsequent addition of the term “telecommunications services,” section 15-1 is identical to the statute at issue in Davis. 361 Ill. App. 3d at 712. The appellate court concluded that the Davis court “implicitly recognized that the word ‘includes’ as used in section 15-1 was ambiguous” because the Davis court noted that this word “has more than one reasonable meaning” and thereafter resolved the ambiguity by employing the rule that a statute in derogation of the common law must be strictly construed. 361 Ill. App. 3d at 712. The appellate court then found that “this resolution of the ambiguity was the proper one because it limits the expansion of the common-law definition.” 361 Ill. App. 3d at 713.
Further, the appellate court reasoned that the “structure of section 15-1 also supports this conclusion.” The legislature could have used two sentences instead of one, but instead of saying that property is “anything of value including” a list of examples, the legislature chose to use a separate sentence beginning with the phrase “[p]roperty includes.” This structure, the appellate court concluded, “was intended to convey that the items specifically enumerated were in addition to, not part of, the general class.” 361 Ill. App. 3d at 713. The appellate court also observed that the legislature has not amended the statute subsequent to Davis, so it may be presumed that it has “acquiesced in the court‘s interpretation of legislative intent.” 361 Ill. App. 3d at 714.
Before this court, the State argues that the right to occupy a hotel room is property as that term is defined in section 15-1 of the Criminal Code because the leasehold interest created by renting a hotel room is a chattel, which falls under the common law definition of property that has been incorporated into section 15-1. The State also argues that the term “includes” in section 15-1 was not intended to limit the scope of the statutory definition to the enumerated items but, rather, to illustrate the types of property that the legislature intended to include in an expanded definition of property.
The principles guiding our analysis are well established. Our primary objective is to ascertain and give effect to legislative intent, the surest and most reliable indicator of which is the statutory language itself, given its plain and ordinary meaning. Illinois Graphics Co. v. Nickum, 159 Ill. 2d 469, 479 (1994). In determining the plain meaning of statutory terms, we consider the statute in its entirety, keeping in mind the subject it addresses and the apparent intent of the legislature in enacting it. People v. Davis, 199 Ill. 2d 130, 135 (2002). Where the language of the statute is clear and unambiguous, we must apply it as written, without resort to extrinsic aids to statutory construction. People v. Collins, 214 Ill. 2d 206, 214 (2005).
If the language is ambiguous, making construction of the language necessary, we construe the statute so that no part of it is rendered meaningless or superfluous. People v. Jones, 214 Ill. 2d 187, 193 (2005). We do not depart from the plain language of the statute by reading into it exceptions, limitations, or conditions that conflict
In the present case, we are called upon to review the appellate court‘s construction of sections 15-1 and 16-1 of the Criminal Code (
Whether the Occupancy of a Hotel Room Is “Property”
At common law, the crime of larceny was “the felonious stealing, taking and carrying, leading, riding or driving away the personal goods of another *** with the felonious intent to deprive the owner of his property.” People v. Pastel, 306 Ill. 565, 568 (1923). Under this traditional definition of larceny, the occupancy of a hotel room clearly could not have been the subject of the crime.
Eventually, the common law crimes were codified by statute. As the State correctly notes, for at least 50 years prior to the adoption of the Criminal Code of 1961, some items that would not have been subject to the crime of larceny at common law were nevertheless property subject to statutory theft. For example, in Moline Water Power Co. v. Cox, 252 Ill. 348 (1911), this court held that waterpower created by a waterfall was property under the theft statute at the time. This court explained:
“[Water] [p]ower is not a chattel. It is not a tangible entity. It manifests itself only by its results. But it is property, and is bought and sold in the market as freely as the products of the farm. At common law it could not be the subject of larceny, which must be of goods and chattels, but it is now protected by statute to the same extent as other forms of property, and the unauthorized connection of any gas, water or electric current with a motor or other appliance is
a misdemeanor, punishable by law. (Crim. Code, par. 117.) The use of a fall of water artificially impounded is that taking of that which has been produced by the combination of artificial means and natural forces, and partakes of the nature of a profit à prendre. It is, in fact, an interest in the aggregate of rights constituting the water power, which is real estate.” Moline Water Power, 252 Ill. at 357.
Similarly, in People v. Menagas, 367 Ill. 330, 336 (1937), this court held that the defendant was properly charged with larceny of electrical energy because larceny under the Criminal Code (Ill. Rev. Stat. 1935, ch. 38, par. 380) had wider application than at common law. The larceny statute then said, “‘Larceny shall embrace every theft which deprives another of his money or other personal property, or those means or muniments by which the right and title to property, real or personal, may be ascertained.‘” Menagas, 367 Ill. at 336, quoting Ill. Rev. Stat. 1935, ch. 38, par. 380.
Our Criminal Code underwent revision in 1961 and the section dealing with crimes against property was entirely reorganized.
“‘Formerly, in Illinois, there were some seventy-four separate sections which dealt in one form or another with the obtaining of property of another with the intent to permanently deprive such other or the true owner of the property or its beneficial use. All lawyers and judges are too familiar with the highly technical differences between larceny, larceny by trick, embezzlement, false pretenses, confidence game, and the many variations to require detailed comment. Suffice to say that, with the exception of robbery, burglary, arson, and criminal damage and trespass to property, which are covered respectively in Articles 18, 19, 20 and 21, the Committee intended to codify the entire range of offenses against property into Articles 16 and 17, and to abolish completely the labels and highly technical distinctions which had developed through centuries of case law and statutory amendments.‘” People v. McCarty, 94 Ill. 2d 28, 34 (1983), quoting Ill. Ann. Stat., ch. 38, art. 16, Committee Comments-1961, at 18 (Smith-Hurd 1977).
The Davis court and the appellate court in the present case seem to have conflated these two inquiries. Section 15-1 does not define the term “property” only as that term is used in section 16-1. It defines the term “property” as it is “used in this Part C.”
The first sentence of section 15-1 states that the word “property” as it is used in part C “means anything of value.” The appellate court, relying on Davis, limited the meaning of “anything” to items of tangible personal property. Because part C encompasses much more than the crime of theft, we must examine the definition of property in section 15-1 without regard to what types of property might or might not have been subject to larceny at common law. See Concrete Materials Corp. v. Gordon, 395 Ill. 203, 207-08 (1946) (common law definitions must yield to definitions of employee, employer, and employment contained in the Unemployment Compensation Act); see also 34 Ill. L. & Prac. Statutes § 51
The plain meaning of the first sentence of section 15-1 is that “property,” when that term is used in any provision of part C of the Criminal Code, does indeed include any thing of value.
We note that the Davis court inaccurately stated that section 15-1 “only lists items which may be physically possessed and carried away.” Davis, 203 Ill. App. 3d at 845, citing People v. Zakarian, 121 Ill. App. 3d 968, 972-73 (1984). Zakarian, in turn, relied on cases that predated the adoption of the Criminal Code of 1961. According to the Zakarian court, the test of whether property is embraced by the theft statute “is not whether the property is corporeal or incorporeal or tangible or intangible. Rather, it is whether the property is capable of being taken and carried away by someone other than the owner.” Zakarian, 121 Ill. App. 3d at 972-73 (citing Menagas, 367 Ill. 330, and Woods v. People, 222 Ill. 293 (1906)).
The legislature‘s inclusion, in 1961, of real estate and electricity and, in 1994, of telecommunications services in the statutory definition of property encompassed by the theft statute did away with this ancient rule. Real estate cannot be taken and carried away, yet it is “property” under section 15-1. Similarly, electricity and telecommunications services can be stolen but cannot be taken and carried away. See Menagas, 367 Ill. at 336-38 (describing the test for whether an item is personal property as whether it may “be taken and carried away,” “transported from place to place,” and “bought and sold
The phrase “anything of value” is unambiguous. Clearly, the legislature intended to expand the definition of property to include not only items of tangible personal property but also other things of value such as real estate, electricity, and telecommunications services. The hospitality industry provides lodging to the public for profit. The market for hotel and motel rooms is vast. The use of a hotel room does have value. See Moline Water Power, 252 Ill. at 357 (stating that waterpower is property because it “is bought and sold in the market as freely as the products of the farm“). We conclude that the use of a hotel room is a thing of value as that phrase is used in the first sentence of section 15-1.
The appellate court, however, construed the word “includes” in the second sentence of section 15-1 to limit the types of “things” that come within the definition of property. The State argues that the weight of authority favors interpreting “includes” as a term of enlargement or illustration. Defendant argues that the appellate court properly construed the term as one of limitation.
Article 2 of the Criminal Code of 1961 contains “General Definitions.” Section 2-10, which was not cited to this court by either party, states:
“‘Includes’ or ‘including’ means comprehending among other particulars, without limiting the generality of the foregoing word or phrase.”
720 ILCS 5/2-10 (West 2000).
Although there have been no cases interpreting or applying this definition, its meaning is unmistakable. Either of these words, when followed by a listing of items, means that the preceding general term encompasses the listed items, but the list is not exhaustive. The preceding general term is to be construed as a general description of the listed items and other similar items.
Based on this statutory definition, we conclude that
In light of this statutory definition, we reject the appellate court‘s suggestion that the term “includes” in section 15-1 is ambiguous because the words “but is not limited to” are not present. 361 Ill. App. 3d at 712, citing Davis, 203 Ill. App. 3d at 846 (“Although the word ‘include’ does not by itself necessarily limit general language, cases which support a broad or enlarging interpretation for the term ‘include’ do so in order to give effect to a legislative intent to provide as large an access as possible to the general term. [Citation.] The word ‘include’ is sometimes used to add to the general class a species which does not naturally belong to it. [Citation.] In this case, the items listed after ‘includes’ should be considered an enumeration excluding all other things not in the specific category“). The appellate court concluded that because the word “includes” is sometimes used to expand a general term and is sometimes used to enumerate specific items to be added to the general term, it is ambiguous. The court noted that if the legislature had intended for the items following the word “includes” to be merely illustrative of items of property, “it could have written ‘property is anything of value including.‘” Based on the lack of such language and the fact that the “includes” language is in a separate sentence from the “anything of value” language, the court concluded that the second sentence “was intended to convey that the items specifically enumerated were in addition to, not part of, the general class.” 361 Ill. App. 3d at 713.
We conclude, however, that even in the absence of the phrase “but is not limited to,” the plain, ordinary, and popularly understood meaning of the term “includes” does not support the appellate court‘s conclusion. In determining the plain meaning of a statutory term, it is entirely appropriate to look to the dictionary for a definition. See, e.g., People v. Brooks, 221 Ill. 2d 381, 390-91 (2006) (using dictionaries to provide the definition of the word “docket“); People v. Hari, 218 Ill. 2d 275, 292-93 (2006) (using dictionaries to provide the definition of the word “involuntary“); U.S. Bank National Ass‘n v. Clark, 216 Ill. 2d 334, 347 (2005) (using dictionaries to provide the definition of the word “compensation“).
According to Black‘s Law Dictionary, “include” means:
“To contain as a part of something. The participle including typically indicates a partial list <the plaintiff asserted five tort claims, including slander and libel>. But some drafters use phrases such as including without limitation and including but not limited to—which mean the same thing.” (Emphases in original.) Black‘s Law Dictionary 777-78 (8th ed. 2004).
The law dictionary refers the reader to the term “namely,” which means:
“By name or particular mention; that is to say <the
plaintiff asserted two claims, namely wrongful termination and slander>. The term indicates what is to be included by name. By contrast, including implies a partial list and indicates that something is not listed.” (Emphasis in original.) Black‘s Law Dictionary 1049 (8th ed. 2004).
Similarly, the editor of Black‘s Law Dictionary observes in another work that:
“[I]ncluding is sometimes misused for namely. But it should not be used to introduce an exhaustive list, for it implies that the list is only partial. In the words of one federal court, ‘It is hornbook law that the use of the word including indicates that the specified list ... is illustrative, not exclusive.’ Puerto Rico Maritime Shipping Auth. v. I.C.C., 645 F.2d 1102, 1112 n.26 (D.C. Cir. 1981).” (Emphases in original.) B. Garner, A Dictionary of Modern Legal Usage 431 (1995).
Given the statutory definition of “includes” in section 2-10 and the plain and ordinary meaning of the word, the absence of additional verbiage such as “but not limited to” does not render section 15-1 ambiguous. In this section, the word “includes” is used to introduce a list of things of value that illustrate the meaning of the general term “property.”
Defendant notes that the legislature has not changed the definition of property in the wake of Zakarian and Davis and argues that, if these cases had improperly construed section 15-1, the legislature would have acted to correct the error. He cites no authority for this proposition. This court has stated that “‘[w]here the legislature chooses not to amend a statute after a judicial construction, it will be presumed that it has acquiesced in the court‘s statement of the legislative intent.‘” Zimmerman v. Village of Skokie, 183 Ill. 2d 30, 50 (1998), quoting Miller v. Lockett, 98 Ill. 2d 478, 483 (1983). This presumption, however, is merely a jurisprudential principle; it is not a rule of law. The fact the legislature has not amended the definition of property in the years since Zakarian (1984) and Davis (1990) were decided is
We note, further, that Zakarian and Davis have not been extensively relied upon by Illinois courts. The appellate court‘s decision in the present case is the only published Illinois decision to cite Davis for its discussion of the meaning of “property” in the theft statute. Davis, in turn, is the only published Illinois decision to cite Zakarian for this purpose. Our decision in the present case necessarily overrules Zakarian, 121 Ill. App. 3d 968, and Davis, 203 Ill. App. 3d 838, with respect to the definition of the term “property” in the theft statute. The Davis court‘s conclusion that the labor of an employee does not belong to the employer is unaffected. Davis, 203 Ill. App. 3d at 841-42.
Because we hold that the use of a hotel room is a thing of value and is, thus, within the statutory definition of property in
We respond briefly to the appellate court‘s application of the canon of construction that a statute in derogation of the common law must be strictly construed. Davis, 203 Ill. App. 3d at 846. “The rule in Illinois is that statutes in derogation of the common law are to be strictly construed in favor of persons sought to be subjected to their operation.” Barthel v. Illinois Central Gulf R.R. Co., 74 Ill. 2d 213, 220 (1978). Thus, in Barthel, this court declined to construe the Public Utility Act to abrogate the common law defense of contributory negligence because it did not plainly appear to be the intent of the legislature to do so. Barthel, 74 Ill. 2d at 221.
In the present case, the statutory terms “property”
Similarly, the rule of lenity need not be employed. Under this canon of statutory construction, “penal statutes, where ambiguous, should be construed to afford lenity to the accused.” People v. Hicks, 164 Ill. 2d 218, 222 (1995). In such a circumstance, the penal statute must be strictly construed in favor of the accused, with nothing taken by intendment or implication beyond the obvious or literal meaning of the statute. People v. Laubscher, 183 Ill. 2d 330, 337 (1998). Because
The Requirement of Permanent Deprivation of Property
Having concluded that
In addition to defining “property,” section 15 defines other terms used in
The parties do not dispute that the hotel is the owner of the property, the meaning of the term “deception,” or that defendant obtained control over the hotel room during the period of his occupancy. The question is whether, when the property at issue is the use of a hotel room, it is possible to permanently deprive the owner of its use or benefit. If not, defendant cannot be convicted under
“Permanent Deprivation,” as used in part C of the Criminal Code, means to:
“(a) Defeat all recovery of the property by the owner; or
(b) Deprive the owner permanently of the beneficial use of the property; or
(c) Retain the property with intent to restore it to the owner only if the owner purchases or leases it back, or pays a reward or other compensation for its return; or
(d) Sell, give, pledge, or otherwise transfer any interest in the property or subject it to the claim of a person other than the owner.”720 ILCS 5/15-3 (West 2000).
In the present case, only (a) or (b) are potentially applicable.
The State cites People v. Collins, 106 Ill. 2d 237, 261 (1985), in support of its argument that a rational trier of fact could have found that defendant intended to permanently deprive the hotel of the use or benefit of a leasehold interest. Because the trier of fact may deduce
Defendant‘s position is that under
“took over temporary use of a suite for a three-month period. ... They did not obtain permanent control over what the hotel owned, ... but rather they made use of hotel property, which was available for hire for about $130 per night. The hotel was thereby precluded from making the room available to any other lodger for each night in that period. But the hotel did not permanently lose possession of the suite or its rights thereto.” (Emphases added.)
We agree with defendant that the question presented—whether the one who uses deception to obtain control of a hotel room for three months has permanently deprived the owner of the beneficial use of the property—is one of law. However, defendant is mistaken when he suggests that the statute requires permanent control by the defendant or permanent loss of possession by the owner.
The property at issue here is the use of a hotel room. The hotel‘s complement of rooms can be analogized to a store‘s inventory of goods. The hotel has a finite number of rooms, which it can rent to members of the public 365 nights each year. One night in one room is a thing of value. When this thing of value is taken by deception,
Defendant acknowledges that even though the hotel “was deprived of the rental value it should have received for the room on each of the nights” that he and his family occupied the suite, the record does not provide a basis to conclude that the suite would have been rented to another guest who would have paid at least $130 per night. He cites no authority for the proposition that in addition to proving that the value of the property involved exceeded $10,000 (
It is well-settled law that the value of stolen property is the fair cash market value at the time and place of the theft. See, e.g., People v. Josephine, 165 Ill. App. 3d 762, 764 (1987); People v. Moore, 109 Ill. App. 3d 874, 877 (1982); People v. Brown, 36 Ill. App. 3d 416 (1976). The rate of $130 per night negotiated by defendant was a discounted rate. The record supports a finding that the value of the stolen property exceeded $10,000.
Theft Versus Use of Property
Defendant also argues that he cannot be prosecuted under
“A person commits theft when he obtains the temporary use of property, labor or services of another which are available only for hire, by means of threat or deception or know-
ing that such use is without the consent of the person providing the property, labor or services.” 720 ILCS 5/16-3 (West 2000).
Violation of this section is punishable as a Class A misdemeanor.
The question of law which we must answer is whether the two offenses are mutually exclusive, or whether under the facts of this case, the State properly charged defendant under Each offense requires proof of one or more elements not required of the other. To convict a defendant of Nevertheless, defendant argues that the use of deception to obtain the temporary use of property that is available only for hire, such as a hotel suite, may be prosecuted only under “This section codifies the ‘temporary use’ aspect of sections 300 (now ch. 71, § 31) (hotels), 404b (customers list), 438 (commercial vehicle) and 439 (motor vehicle) of Ill. Rev. Stat. 1959, ch. 38.” Ill. Ann. Stat., ch. 38, par. 16-3, Committee Comments—1961, at 218 (Smith-Hurd 1977) (Revised in 1970 by Charles H. Bowman). The “section[ ] 300” referenced above was the first section of “An Act to define and punish frauds upon hotel, inn, boarding and eating-house keepers.” The act was approved in 1889. That section provided: “[A]ny person who shall obtain food, lodging or other accommodation at any hotel, inn, boarding or eating house, with intent to defraud the owner or keeper thereof, shall be deemed guilty of a misdemeanor, and upon conviction, shall be punished by a fine not exceeding one hundred dollars or imprisoned in the county jail not exceeding thirty days.” See Ill. Rev. Stat. 1933, ch. 38, par. 300. Defendant also points to the provisions of the Innkeeper Protection Act, which, although contained in the Code of Civil Procedure, parallels the language of “Any person who, with intent to defraud, shall obtain lodging, food, money, property or other accommodations at a hotel, inn, boarding house or lodging house without paying therefor shall be guilty of a Class A misdemeanor. In case of a second conviction of the offense described, the punishment shall be that provided for a Class 4 felony.” The Innkeeper Protection Act was in effect in Illinois as early as 1889 (1889 Ill. Laws 167). It was amended as recently as 1972 (Pub. Act 77-2529, § 1, eff. January 1, 1973). The State responds that sections ” ‘Because of the special characteristics of the stolen commodity, and the practical problems of knowledge and intent involved, the theft of lost or mislaid property, and of labor, services or the use of property, are dealt with separately in sections 16-2 and 16-3. However it should be noted that these offenses are also Theft. Thus, the State argues, if it can prove the elements of a We conclude, for several reasons, that the State has the better argument. First, although the Innkeeper Protection Act and the forerunners of Second, the prosecutor has broad discretion in determining whether to charge an individual with a criminal offense and the nature of the offense to be charged. Lyons v. Ryan, 201 Ill. 2d 529, 539 (2002). Both this court and the United States Supreme Court have held that the prosecutor has the discretion to decide which of two offenses to charge where two different statutes prohibit the same criminal conduct but prescribe different punishments. People v. McCollough, 57 Ill. 2d 440, 443-44 (1974) (same set of facts may constitute separate offenses under different statutes); United States v. Batchelder, 442 U.S. 114, 123-24 (1979) (“when an act violates Where, as here, proof of theft under Third, the structure of We note that under In a portion of the appellate court opinion unpub- We note that defendant filed pro se posttrial motions raising claims of ineffective assistance of counsel and, after dismissing both the privately retained attorney who represented him at trial and the public defender appointed to represent him in posttrial proceedings, represented himself at the hearing on the matter. On more than one occasion, the trial court warned defendant of the risk of procedural default. Thus, any failure to preserve a specific claim of ineffective assistance in a posttrial motion must be attributed to defendant himself, not to counsel. See People v. Enoch, 122 Ill. 2d 176, 186 (1988) (to preserve an issue for appellate review, a defendant must both make a contemporaneous objection and raise the matter in a posttrial motion). His failure to preserve an issue in one of his posttrial motions is not corrected by the efforts of the appellate defender to raise the issue before the appellate court or in a brief to this court. As we observe below, some of the issues raised in defendant‘s brief are arguably procedurally defaulted. We, nevertheless, choose to address those issues because the State has not argued default. With this background in mind, we turn to defendant‘s allegations of ineffective assistance of counsel. To prevail on a claim of ineffective assistance of counsel, a defendant must show both that: (1) counsel‘s representation was so deficient as to fall below an objective standard of reasonableness under prevailing professional norms, and (2) the deficient performance so prejudiced defendant as to deny him a fair trial. Strickland v. Washington, 466 U.S. 668, 687-88 (1984). To establish deficient performance, the In one of his posttrial motions, defendant stated: “The Court erred in allowing hearsay testimony in.” The motion asserted that the State‘s Attorney made a hearsay statement regarding statements of the Lombard police officer who investigated the hotel‘s complaint, but it does not quote the alleged hearsay statement or describe when or under what circumstances the statement was made by the officer or referred to by the prosecutor. No other specific instances of hearsay testimony were identified. During his cross-examination of attorney Wolfe, defendant did not question him about his decisions regarding objections to any alleged hearsay statements. Defendant did not make any argument on this issue to the trial court during the posttrial proceedings. With the assistance of the appellate defender, defendant now argues that defense counsel failed to object to certain hearsay statements in the testimony of the hotel‘s general manager and assistant general manager and that he compounded the error by eliciting further details of These claims could be deemed procedurally defaulted by defendant because he failed to raise them in his posttrial motion and in his argument to the trial court during the hearing that was held for the purpose of considering his claim of ineffective assistance of counsel. The State overlooks default and argues that these statements were not hearsay because they were not offered for the truth of the matters asserted. The State was not attempting to prove that defendant owed money to one of his trade references, or that he did not have a valid account with the other. The State was not trying to prove that the purported contact person was not affiliated with Prolific, or that the address provided by the defendant was inaccurate. Rather, each of these statements was offered as evidence of defendant‘s intent to deceive. The State further asserts that even if these statements were hearsay, defense counsel‘s decision not to object was a matter of trial strategy. The appellate court reasoned that the out-of-court statements would not serve as evidence of intent to deceive unless they were true. The appellate court thus Defendant responds that “the record provides no indication that the State was prepared” to offer the testimony of a postal official, representatives of the purported trade references, or the individual who denied being defendant‘s business associate. Thus, he claims, it cannot have been a matter of trial strategy to forgo objecting to the hearsay testimony. This court has noted on several occasions that decisions regarding “what matters to object to and when to object” are matters of trial strategy. People v. Pecoraro, 175 Ill. 2d 294, 327 (1997); People v. Graham, 206 Ill. 2d 465, 478-79 (2003). We have also made it clear that a reviewing court will be highly deferential to trial counsel on matters of trial strategy, making every effort to evaluate counsel‘s performance from his perspective at the time, rather than through the lens of hindsight. People v. Madej, 177 Ill. 2d 116, 157 (1997). Thus, in Graham, this court rejected a claim of ineffective assistance of counsel based on counsel‘s failure to object to the admission of a witness’ prior consistent statement to bolster his trial testimony. We noted that counsel‘s decision not to object was a “strategic choice” that did not fall below an objective standard of reasonableness. Graham, 206 Ill. 2d at 478-79. In People v. Evans, 209 Ill. 2d 194, 220-21 (2004), the assistant State‘s Attorney read portions of the defendant‘s court-reported statement to the jury. In his statement, the defendant mentioned having been involved in “other incidents.” He argued on appeal that the mention We agree with the appellate court that it is entirely likely counsel chose to let these statements pass rather than object and run the risk of the declarants themselves being called to testify. If these individuals had been put on the stand, they may have offered even more damaging evidence. In fact, the transcript of the posttrial hearing testimony of defense counsel clearly demonstrates that he declined to call several of the witnesses defendant wished to call because they would have given testimony damaging to the defense. People v. Patterson, 217 Ill. 2d 407, 442 (2005) (whether to call a particular witness is a matter of trial strategy and such decisions generally will not support a claim of ineffective assistance of counsel). In addition, we reject defendant‘s argument that the record must reflect that the State was “prepared to present” these other potential witnesses because he offers no authority for this proposition. We conclude, therefore, that defendant has not demonstrated that defense counsel‘s decision not to object to these statements constitutes deficient performance under the objective test of Strickland. Defendant‘s pro se posttrial motions cited several cases addressing the issue of improper comment by prosecutors, but did not apply these cases to the facts of his own case. The motions contained conclusory state- Before this court, defendant argues that he was “unfairly disparaged” by the prosecutor, who also “portrayed the State‘s evidence as being stronger than was actually the case,” and that defense counsel‘s failure to object constituted deficient performance. He identifies four such statements. First, the prosecutor stated that defendant had no income or real prospect for income at the time he registered as a guest at the hotel. Second, the prosecutor stated that defendant left the hotel in the middle of the night without settling his bill and was never seen again. Third, at the beginning of his rebuttal, the prosecutor called defendant a “conman,” a “fraud,” and a “fake.” Finally, the prosecutor concluded her rebuttal with the statement: “Don‘t let Michael Perry deceive you.” Defendant objects to the statements regarding his financial status and his nighttime departure from the hotel on the basis that they lack evidentiary support. Defendant asserts that defense counsel should have objected to the first statement because there had been no Although the specific statements to which defendant is now objecting are not precisely the same statements that he mentioned in his posttrial motions, we conclude that he has adequately preserved this issue and, as a result, our analysis will be guided by the Strickland factors. The appellate court concluded that the statements were not improper, so the lack of an objection by defense counsel was not deficient performance. In general, prosecutors have wide latitude in the content of their closing arguments. Evans, 209 Ill. 2d at 225. The prosecutor may comment during closing argument on the evidence and on any fair and reasonable inference the evidence may yield, even if the suggested inference reflects negatively on the defendant. People v. Nicholas, 218 Ill. 2d 104, 121 (2005). Reviewing courts will consider the closing argument as a whole, rather than focusing on selected phrases or remarks. Evans, 209 Ill. 2d at 225. A reviewing court will find reversible error only if the defendant demonstrates that the improper remarks were so prejudicial that real justice was denied or that the verdict resulted from the error. Johnson, 218 Ill. 2d at 141. Thus, in order to meet the prejudice prong of the Strickland test, defendant must make the same showing—that real justice was denied or that the verdict resulted from counsel‘s failure to object. During his closing argument, defense counsel repeatedly referred to defendant as a “businessman” who, during his stay at the hotel, was working on a real estate deal. Counsel summarized the testimony describing the details of the deal and why the deal collapsed, leaving defendant unable to pay his hotel bill. Counsel called the jury‘s attention to evidence of defendant‘s having notified the hotel as early as May 7 that he intended to check out on May 13, which, he argued, countered the suggestion that defendant left the hotel surreptitiously during the night. Our review of the record reveals that there was sufficient evidentiary support for the prosecutor‘s characterization of defendant‘s business prospects and the circumstances under which he left the hotel. Defense counsel‘s decision to address these comments by counterargument rather than by objection was, thus, a matter of sound trial strategy. Given the trial court‘s admonition to the jury and defense counsel‘s counterargument, we conclude that the lack of objection to these statements was not deficient performance by defense counsel. In Johnson, the prosecutor described the defendant, who was accused of a brutal murder, as an “animal” who “butchered” four persons. This court observed that calling a defendant an “animal” is improper “even where that characterization is based on the evidence” (Johnson, 119 Ill. 2d at 139), because the term is inflammatory and prejudicial. Nevertheless, this court did not find reversible error. The trial court had specifically instructed the jury to disregard any statements made during closing arguments that were not based on the evidence. In addition, the remark was “isolated” and “not dwelled upon further by the prosecutor.” Johnson, 119 Ill. 2d at 140. Defendant also attacks the prosecutor‘s “name-calling” on the grounds that it suggested to the jury that he had engaged in deceptive behavior in the past. He argues that it is improper for the State to suggest that a defendant has engaged in similar conduct on other occasions, relying on this court‘s decision in People v. Whitlow, 89 Ill. 2d 322 (1982). In Whitlow, the prosecutor made references to background of one of the defendants in violation of an order in limine, including a comment that ” ‘[m]aybe this time he will get caught.’ ” Whitlow, 89 Ill. 2d at 340. The prosecutor also asked the jury the rhetorical question, ” ‘How many other corporations was he using? How many other shareholders? How much more money was he taking ***?’ ” Whitlow, 89 Ill. 2d at 340. Based on the cumulative effect of these and other comments, this court found reversible error. Whitlow, 89 Ill. 2d at 343. In the present case, the prosecutor described defendant as a “conman,” “fraud,” and “fake” only in the opening sentence of her rebuttal. This was an isolated remark that introduced the argument that the evidence showed defendant had deliberately deceived the hotel. See Nicholas, 218 Ill. 2d at 122 (prosecutor‘s calling defendant “pure evil” merely prefaced his argument that the facts proved defendant guilty; these facts included defendant‘s getting a gun, hunting his mother in the street, shooting her four times, hiding the gun, going back to bed, and displaying little concern about her death). In addition, as in Johnson, the jury was properly instructed to disregard any statement made during closing argument that was not supported by the evidence. The prosecutor did not suggest to the jury that defendant had a history of engaging in theft or fraud. Describing a defendant who is charged with theft by deception as a con man, fraud, or fake is similar to describing a defendant who is charged with murder as a killer or a murderer. The label does not necessarily imply a pattern of similar behavior. We, therefore, conclude that defendant would not have been entitled to a new trial based on the prosecutor‘s comment and that, therefore, counsel‘s failure to object cannot have caused the type of prejudice necessary under Strickland. The last comment that defendant challenges was made by the prosecutor at the close of her rebuttal argument. She said: “Don‘t let Michael Perry deceive you. Find him guilty of theft by deception.” Defendant characterizes this comment as a suggestion to the jury that he or his counsel was attempting to deceive, trick, or confuse the jury to obtain an acquittal. He cites People v. Emerson, 97 Ill. 2d 487 (1983), in which a new trial was granted in a capital murder case on the basis of multiple instances of prosecutorial misconduct. In Emerson, this court found reversible error where, among other things, the prosecutor suggested that defense counsel laid down a smokescreen ” ‘composed of lies and misrepresentations and innuendoes,’ ” and that he, like all defense attorneys, tried to “dirty up the victim.” Emerson, 97 Ill. 2d at 497. The statement in the present case, even if improper, is readily distinguishable from the pattern of inflammatory and prejudicial statements that resulted in a new trial for the defendants in Emerson. In any event, defendant confines his argument on the issue of prosecutorial comments to the first prong of the Strickland test. He argues that “by failing to object when the prosecutor disparaged Mr. Perry before the jury, trial counsel failed to provide proper representation,” but he makes no colorable argument that there is a reasonable probability that, but for counsel‘s alleged error, the result of the proceeding would have been different. We conclude that, with respect to each of the asserted instances of improper comment by the prosecutor, counsel‘s performance was either not deficient or, even if deficient, did not result in prejudice to defendant that would require a new trial. The jury was initially instructed on the meaning of the phrase “permanent deprivation” according to Illinois Pattern Jury Instruction, Criminal, No. 13.33B (4th ed. 2000), which is virtually identical to the statutory definition of the term ( Defendant‘s pro se motion alleged that the trial court “erred in rendering a definition of the meaning of ‘permanently deprive’ in response to a jury question.” Defendant did not claim that defense counsel was ineffective with regard to the court‘s response to the jury question. This issue could be deemed procedurally defaulted for failure to preserve it in a posttrial motion. Defendant now argues that defense counsel was “responsible for and complicit in” the trial court‘s giving a “meaningless incomplete response” to the jury‘s question. We conclude that defendant cannot prevail on this claim because, even if the trial court‘s written response to this jury question introduced error, the error is attributable to the trial court, not to ineffective assistance by defense counsel. Similarly, even if the response that defense counsel agreed to would have been improper, his agreement to the court‘s proposed answer cannot have prejudiced defendant because that answer was never given to the jury. In his pro se posttrial motions, defendant claimed that defense counsel “failed to develop a coherent theory of defense.” In support of this claim, defendant listed numerous questions that he thought should have been put to various witnesses. He named several individuals who, in his opinion, should have been subpoenaed to The appellate court resolved this issue by noting that defendant “failed to show that any mitigating evidence was indeed available” and, thus, he had “no evidence to support his claim” that counsel failed to investigate or present favorable evidence.” Although the trial court and the appellate court both found these claims to lack merit, he has properly preserved these issues for review under Strickland. Before this court, defendant claims that the dispute between himself and the hotel was entirely a civil matter involving breach of contract and an unpaid debt. Defendant argues further that defense counsel was ineffective for failing to present available evidence that would have bolstered his theory of the case and countered the State‘s evidence against him. The “available evidence” that defendant refers to is a brochure from HG Global Workplaces, which describes “flexible turn-key officing solutions” available at the address defendant provided to the hotel for his company, Prolific Development Corpora The State responds that defense counsel‘s decisions regarding what documentary evidence to subpoena and which witnesses to present are matters of trial strategy and that these decisions ultimately rest with defense counsel, citing People v. West, 187 Ill. 2d 418, 432 (1999) (decisions concerning which witnesses to call and what evidence to present are matters of trial strategy and are generally immune from claims of ineffective assistance of counsel). The trial court heard the lengthy testimony of defense counsel at the posttrial hearing and clearly found his testimony to be credible. Defense counsel testified that he based his decision on what witnesses to call on whether the defense “would get nothing but positive response from those witnesses, relative to the theory of our defense.” He stated that his conversations with several of the witnesses suggested by defendant revealed that “it would not have been beneficial to [defendant] to subpoena certain witnesses on that list.” He concluded that the risk of having those witnesses testify about their dealings with defendant “outweighed the probative value.” Based on our review of the trial transcript and of the transcript of the hearing on defendant‘s posttrial motions, we conclude that he has failed to meet his burden of demonstrating that defense counsel‘s decisions regarding witnesses and documentary evidence were not within the realm of trial strategy. People v. Enis, 194 Ill. 2d 361, 378 (2000). Further, even if defense counsel makes a mistake in trial strategy or tactics or an error in judgment, this will not render representation constitutionally defective. West, 187 Ill. 2d at 432-33. Only if counsel‘s trial strategy is so unsound that he entirely fails to conduct meaningful adversarial testing of the State‘s case will ineffective as Defendant briefly alludes to People v. Vera, 277 Ill. App. 3d 130, 141 (1995), for the proposition that the errors made by defense counsel should be “viewed cumulatively” to determine whether a defendant is entitled to a new trial as a result. We have rejected defendant‘s claims of ineffective assistance of counsel, concluding that counsel‘s performance was not deficient or, even if deficient, did not result in prejudice under Strickland. Because we have rejected every claim of error, cumulative-error analysis is not necessary. In sum, we hold that the occupancy of a hotel room is “property” within the meaning of We further hold that defendant is not entitled to a new trial on the basis of ineffective assistance of counsel. The judgment of the appellate court is reversed and the judgment of the circuit court is affirmed. Appellate court judgment reversed; circuit court judgment affirmed. I respectfully dissent because I believe the legislature was careful to exclude the mere “use” of property from the definition of “property” in I further disagree with several points in the majority‘s reasoning. In support of its holding, the majority states, “The phrase ‘anything of value’ is unambiguous. Clearly, the legislature intended to expand the definition of property to include not only items of tangible personal property but also other things of value such as real estate, electricity, and telecommunications services. The hospitality industry provides lodging to the public for profit. The market for hotel and motel rooms is vast. The use of a hotel room does have value. See Moline Water Power, 252 Ill. at 357 [1911] (stating that waterpower is property because it ‘is bought and sold in the market as freely as the products of the farm‘). We conclude that the use of a hotel room is a thing of value as that phrase is used in the first sentence of I first disagree that the phrase “anything of value” unambiguously supports the majority‘s holding. I believe my interpretation above at least renders the phrase The majority further emphasizes that it is a night of occupancy that was the “use” of the room which was permanently lost, explaining, “The property at issue here is the use of a hotel room. The hotel‘s complement of rooms can be analogized to a store‘s inventory of goods. The hotel has a finite number of rooms, which it can rent to members of the public 365 nights a year. One night in one room is a thing of value. When this thing of value is taken by deception, the owner has permanently lost the benefit of one night‘s income. We, therefore, hold that each night of occupancy that is obtained by deception permanently deprives the owner of the beneficial use of the hotel room within the meaning of By continuing to equate the mere “use” of a hotel room with a “store‘s inventory of goods” the majority continues to ignore the distinction between rental, in which the owner allows another temporarily to possess a thing, and the sale of a thing, where ownership of the thing itself changes hands. The leap of logic in the majority‘s analogy is that a store is not in the habit of renting its inventory of goods for temporary use. Because the failure to recognize this distinction, I believe the majority has made an unwarranted expansion of Moreover, it is unclear that the Embassy Suites would have otherwise obtained the money for the night‘s lodging used by defendant. The majority cites no specific evidence that defendant denied the hotel the opportunity The majority‘s expansive interpretation is problematic for several other reasons. First, tenants and landlords could potentially apply the court‘s reasoning concerning “use” to criminalize breaches of leases. Commentators have criticized similar approaches because of “the possibility of theft prosecutions in cases of holdover or eviction in a landlord-tenant relationship” and the “problem *** of distinguishing between theft and criminal trespass.” Model Penal Code § 223.2, Comment, at 173-74 (1980). Commentators also state that obstacles to theft prosecution in these situations makes sense, for “the immobility and virtual indestructibility of real estate makes unlawful occupancy of land a relatively minor harm for which civil remedies supplemented by mild criminal sanctions for trespass should be adequate.” Model Penal Code § 223.2, Comment, at 172 (1980). Furthermore, “Relations between a landlord and a tenant are so minutely regulated and constitute such a delicate socio-political problem that it would be wrong to introduce the possibility of a theft prosecution for unauthorized occupancy by a tenant or improper eviction by a landlord.” Model Penal Code § 223.2, Comment, at 172 (1980). These criticisms may explain the lack of even one prior appellate court decision which has found that the mere “use” of property for a period of time constitutes “property” under My research has revealed only one case that has, albeit implicitly, supported my interpretation over the majority holding. In People v. Mattingly, 106 Ill. App. 2d 74 (1969), a tenant signed a lease and paid a security deposit to the landlord. Upon arriving on the first day of his tenancy, the tenant found that other persons were already occupying the premises. The landlord was subsequently convicted of theft by deception of the security deposit. In reversing the conviction, the court found that the failure of the landlord to deliver possession would not terminate the lease and the tenant would have the right to gain possession from the occupants by suit in forcible detainer. Accordingly, the landlord had a right to control the security deposit until the termination of the lease. The fact that others occupied the premises when the tenant was to take possession did not entitle the tenant to demand a portion of the security deposit which he had paid. Thus, the landlord‘s refusal to return that portion of the security deposit did not constitute theft by deception. Therefore, the court reversed the landlord‘s conviction. Significantly, the Mattingly court focused only on the money that remained in the hands of the landlord as being the “property” subject to theft, rather than focusing The first situation is the typical failure of a landlord to provide habitable rental property, even for a short period of time. For instance, a landlord may lack the money or desire to sufficiently winterize the building. Nevertheless, the landlord accepts rent from various tenants in the building, knowing full well that the facilities to provide the building‘s heat and hot water are inadequate. But he decides to wait until the facilities actually break down in the dead of winter before he fixes the problem. Consequently, the landlord has denied the tenants the benefit of their bargain. The tenants have lost their contractual right to “use” of the apartment, and also the opportunity to rent another apartment before the onset of winter. Some tenants may even have lost sub-rental income. Under normal circumstances, the landlord would be subject to civil remedies such as a suit by the municipality seeking an injunction to repair the property, and for fines for ordinance violations, or a tenant‘s suit directly against the landlord for whatever value that the property has been diminished. Following the majority‘s reasoning, however, the landlord has committed a theft because he consciously deprived the tenants of their rightful “use” of the property to which the tenants were entitled under the lease. Depending on the number of apartments in the building, the number of Perhaps clearer is a typical “self-help” eviction. A tenant has not paid rent for three months. Instead of initiating a proceeding for forcible entry and detainer, the landlord deliberately changes the locks on the tenant‘s apartment, permanently barring the tenant from the property. Because the tenant still retains the right to the “use” of the property for the remainder of the lease, a landlord would be guilty of theft of the tenant‘s right to “use” the property under the lease. The third case is one of a holdover tenant. The family‘s breadwinner has lost his job and is unable to pay rent. The family knows that it is unlikely or unwilling to pay the arrears on the rent and holds out in the apartment until the landlord institutes civil proceedings for forcible entry and detainer. The family avoids the landlord and deprives the landlord of his ability to rent the property to another tenant. Under all normal circumstances, the legislature has given the tenant the benefit of civil legal processes of forcible entry and detainer, which begins with a five-day notice, service of process, and, eventually, a day in court. Thus, the tenant has the legal right to “use” the premises until a court finds that the landlord has the right of possession. This opinion theoretically entitles the landlord to submit a complaint for prosecution upon the tenants for a felony offense punishable by six years in prison in lieu of or in addition to the normal course of civil proceedings. I do not know what the deleterious effects of this additional remedy may be, but I believe that it is best considered by the legislature. “[U]nder the common law (including the common law of Illinois ***), a breach of contract is not considered wrongful activity in the sense that a tort or a crime is wrongful. When we delve for reasons, we encounter Holmes‘s argument that practically speaking the duty created by a contract is just to perform or pay damages, for only if damages are inadequate relief in the particular circumstances of the case will specific performance be ordered. In other words, and subject to the qualification just mentioned, the entire practical effect of signing a contract is that by doing so one obtains an option to break it. The damages one must pay for breaking the contract are simply the price if the option is exercised. See Oliver Wendell Holmes, Jr., The Common Law 300-02 (1881); Holmes, ‘The Path of the Law,’ 10 Harv. L. Rev. 457, 462 (1897). Why such lenity? Perhaps because breach of contract is a form of strict liability. Many breaches are involuntary and so inapt occasions for punishment. Even deliberate breaches are not necessarily culpable, as they may enable an improvement in efficiency ***. *** The option of which Holmes spoke was the option not to perform because performance was impossible or because some more valuable use of the resources required for performance arose after the contract was signed.” Zapata Hermanos Sucesores, S.A. v. Hearthside Baking Co., 313 F.3d 385, 389-90 (7th Cir. 2002). Here, the hotel seeks criminal punishment because of the inability, at least initially, to screen out defendant as a customer and thereafter to be made whole through adequate contractual remedies. Further, defendant‘s theft of the “use” of the hotel property could also simply be characterized as a breach of his duty to pay under the Lastly, the legislature has already addressed the concerns in other statutes. In these provisions, the legislature has specifically outlawed the act of unlawfully using a hotel by employing words such as “use,” “lodging,” or “accommodations.” The legislature has prohibited defendant‘s behavior in JUSTICE KILBRIDE joins in this dissent. (No. 101979.—WILLIE B. HADLEY, Appellee, v. THE ILLINOIS DEPARTMENT OF CORRECTIONS, Appellant. Opinion filed February 16, 2007.)
All other forms of theft are included in section 16-1 except the special deceptive practices proscribed by Article 17.’ ” McCarty, 94 Ill. 2d at 34, quoting Ill. Ann. Stat., ch. 38, art. 16, Committee Comments—1961, at 18 (Smith-Hurd 1977).Defendant‘s Request for Cross-relief
Hearsay Statements
Prosecutor‘s Closing Argument
Trial Court‘s Answer to Jury Question
Defense Theory of the Case
Cumulative Error
CONCLUSION
