Appellant, Leonard G. Carter, was convicted on two counts of first degree sexual assault by a jury in the Circuit Court of Cabell County and was sentenced to two concurrent ten- to twenty-year terms in the State Penitentiary. Appellant’s major assignment of error is that the two offenses for which he was convicted involve the same criminal transaction. Therefore, it is argued that the *92 principles of double jeopardy would foreclose punishment for both offenses. 1
Appellant was charged in count one with first degree sexual assault through forcible compulsion by inserting his penis into the mouth of the victim. In count two the appellant was charged with inserting his penis into the anus of the victim, again by forcible compulsion. He contends that these offenses are part of the same occurrence or transaction and that the sexual offense statute does not make these acts separate offenses. W. Va. Code, 61-8B-3(a), defines first degree sexual assault by use of the term “sexual intercourse:”
“(a) A person is guilty of sexual assault in the first degree when:
“(1) He engages in sexual intercourse with another person by forcible compulsion; and
“(ii) He employed a deadly weapon in commission of the crime; ....”
Sexual intercourse is defined in W. Va. Code, 61-8B-l-(7), as any act between unmarried persons involving: “penetration ... of the female sex organ by the male sex organ or ... contact between the sex organs of one person and the mouth or anus of another person.” The use of the word “or,” which is a conjunction, 2 expresses the legislative intent that sexual intercourse can be committed in each of the various alternative ways, with each type of prohibited contact constituting a separate offense. From this, it is apparent that the Legislature chose to broadly define the term “sexual intercourse” so that it would cover a variety of sexual encounters.
*93
We conclude that W. Va. Code, 61-8B-1(7), defining sexual intercourse, when read in conjunction with W. Va. Code, 61-8B-3, defining sexual assault in the first degree, indicates that an act of forcible oral intercourse and an act of forcible anal intercourse are separate and distinct offenses. Most courts which have had occasion to construe similar sexual offense statutes have reached the same conclusion.
Hamill v. Wyoming,
This case is distinguishable from
State v.
Reed, _ W. Va. _,
“Here the sexual contact demonstrated at trial was ancillary to one act of sexual intercourse. We are not confronted with two acts of sexual intercourse, nor are we confronted with an act of sexual intercourse and then an act of sexual contact separated by some period of time.”276 S.E.2d at 320 .
In
State ex rel. Watson v.
Ferguson, _ W. Va. _,
Other courts have adopted much the same approach. In
People v. Perez,
“To accept such a broad, overriding intent and objective to preclude punishment for otherwise clearly separate offenses would violate the statute’s purpose to insure that a defendant’s punishment will be commensurate with his culpability. (See Neal v. State of California, supra,55 Cal.2d at p. 20 ,9 Cal. Rptr. 607 ,357 P.2d 839 .) It would reward the defendant who has the greater criminal ambition with a lesser punishment. (See Seiterle v. Superior Court (1962)57 Cal.2d 397 , 403-406,20 Cal.Rptr. 1 ,369 P.2d 697 [con. & dis. opn. of Schauer, JJ.)
“A defendant who attempts to achieve sexual gratification by committing a number of base criminal acts on his victim is substantially more culpable than a defendant who commits only one such act.”153 Cal. Rptr. at 45 ,591 P.2d at 68 . 3
See also People v. Saars,
We, therefore, conclude that where a defendant commits separate acts of our statutorily defined term “sexual intercourse” in different ways, each act may be prosecuted and punished as a separate offense. 4
*95 The appellant next argues that the trial court committed error in failing to properly qualify the victim and chief prosecution witness, who was thirteen years old at the time of the trial. The record in this case reveals that the appellant requested that the trial court qualify the prosecuting witness to testify before any testimony was elicited. The trial court overruled the motion and permitted the witness to testify without prior qualification.
A reading of the testimony of this witness indicates that the witness was without doubt competent and qualified to testify. In fact, the appellant does not question the competency of the witness to testify, but only that the trial court erred in permitting the testimony without first determining the witness’ competency. Recently, in
State v. Daggett,
_ W. Va. _,
“The question of the competency of a child as a witness in any case is always addressed to the sound discretion of the trial judge, and if it appears that a careful and full examination as to the age, intelligence, capacity and moral accountability has been made by the judge and counsel and the trial judge has concluded that he is competent, the appellate court will not reverse the ruling which permits the evidence to be introduced unless it is apparent that it was flagrantly wrong.”
*96
In
State v. Wilson,
While we do not condone the practice of having the witness testify without an in camera hearing when there is an objection to his competency, we believe in the present case that there was no reversible error. The witness stated that he was in the seventh grade and made B’s and C’s in his courses. He answered the questions addressed to him in an intelligent and understanding fashion so that the trial court could have concluded that he was competent. We also note that his age of thirteen years was close to the age when the presumption against competency disappears. 5
The appellant also contends the court erred in refusing his Instruction No. 2 relating to the propriety of the identification procedures to which appellant was exposed. 6 *97 We find this instruction abstract, incomplete and an incorrect statement of the law. 7 The term “improperly conducted ‘photographic lineup’ ” contains no standard by which the jury can correctly determine the factual issue of identification. Even if the photographic lineup were improper, this would not mean that the identification was totally improper. As we discuss in the next paragraph, even where the out-of-court identification procedures are suspect, they may be cured under the totality of the circumstances.
Appellant alleges the trial court erred in allowing the in-court identification of the appellant by the victim, claiming it should have been suppressed on the ground that the photographic lineup used to identify him was improper. Since t^e victim was the only person who could identify the appellant, the claim is also made that a directed verdict of acquittal should have been entered. The record demonstrated that the assault was committed on April 7, and, on April 8, the victim was shown an array of fifty photographs. The photograph of the appellant was not among the fifty. The victim made no identification. On May 28, the victim was shown six photographs, five of which were contained in the original array of fifty, the sixth was a photograph of the appellant. Without hesitation, the victim made a positive identification of the appellant.
Even though the second photographic array was conducted under less than ideal conditions, we do not believe that the in-court identification of the appellant by the victim should have been suppressed. The law on this point originates in
State v. Casdorph,
“In determining whether an out-of-court identification of a defendant is so tainted as to require suppression of an in-court identification a court must look to the totality of the circumstances and determine whether the identification was reliable, even though the confrontation procedure was suggestive, with due regard given to such factors as the opportunity of the witness to view the criminal at the time of the crime, the witness’ degree of attention, the accuracy of the witness’ prior description of the criminal, the level of certainty demonstrated by the witness at the confrontation, and the length of time between the crime and the confrontation.”
Syllabus Point 4,
State v.
Boyd, _ W. Va. _,
Applying this test, we conclude that the in-court identification should not have been suppressed. The record reveals the following matters regarding the opportunity of the victim to observe his assailant at the time of the crime: the appellant approached the victim from across a city street in Huntington; the two then met and talked briefly on the street, face to face, before the appellant pulled a knife and forced the victim into an alley; the assault then lasted approximately fifteen minutes during which time the appellant and the victim were, of course, in close proximity. These events afforded the victim a succession of opportunities to observe his assailant.
The victim’s degree of attention was good because he described the incidents surrounding the commission of the crimes in detail. His initial description of the appellant as a black male, 5' 6" tall and weighing approximately 145 *99 pounds and around 18 years of age was accurate, since this is the approximate size and age of the appellant. He also described him as having an Afro haircut, wearing a light green toboggan, a green zip-up j acket, green pants and tennis shoes. At the May 28 photographic identification, which occurred fifty-one days after the crime, the victim displayed complete certainty in his identification. All of these factors support the conclusion that the in-court identification had a basis in accuracy independent of the photographic identification. Thus, we conclude the identification was not tainted by the possible suggestiveness of the photographic identification, and was therefore reliable. Consequently, the trial court was correct in admitting the in-court identification testimony and refusing to direct a verdict of acquittal.
The last assignment of error relates to that portion of the testimony of the State’s witness, Officer Black, where, over the appellant’s objection, he testified that at the preliminary hearing, when the victim first saw the appellant, “he jumped up and started crying and got scared when he saw him.” When there is a relevant issue concerning the physical appearance or emotional state of a person, a witness may give his testimony as to such condition. However, in this case, the testimony cannot be said to be offered for the purpose of establishing the victim’s condition, since its main design was to show that the victim recognized the appellant on seeing him at the preliminary hearing. The victim’s agitated conduct, as described by Officer Black, to the jury, is conduct which McCormick and other commentators call an “implied assertion.”
McCormick’s Handbook on the Law of Evidence
§250 (2d ed. 1972).
9
As McCormick,
supra,
notes in his discussion, there is some confusion as to the circumstances under which testimony relative to such assertive conduct should be admitted. The main criteria is its clarity of meaning. Here, the excited nature of the conduct also affords an analogy to the spontaneous declaration exception to the hearsay
*100
rule.
See State v.
Young, _ W. Va. _,
Because the obvious purpose of the officer’s testimony was to establish the victim’s recognition or identification of the appellant, this calls into play another area of law of evidence: the admissibility of a third party’s testimony as to an out-of-court identification made by another party. In
State v.
Boyd, _ W. Va. _,
*101 For the foregoing reasons, we affirm the judgment of the Circuit Court of Cabell County.
Affirmed.
Notes
Article III, § 5, W. Va. Const. (1872), provides that no man shall “be twice put in jeopardy ... for the same offence.”
In Note 8 of
Koppers Co., Inc. v.
Dailey, _ W. Va. _,
We recognize that
Perez
was decided under a California statute which provided that an act which is made punishable in different ways by different statutes may be punished under either provision but in no case under more than one provision. However, it is clear that the California Supreme Court has given the statute a reading parallel to constitutional double jeopardy principles.
See
footnote 1,
Neal v. State,
Appellant argues that the State should have been required to “elect” which of the two offenses it would try to the jury, citing
State v. Koton,
State v. Wilson,
Appellant’s Instruction No. 2 stated
“The Court instructs the jury that if the evidence in this case raises a reasonable doubt in any juror’s mind that the charge made against the defendant, Leonard G. Carter, was based in any part upon an identification of the defendant by Earnest Alan Arthur, which identification was made as the result of an improperly conducted ‘photographic lineup’ and such possibility raises *97 in the mind of the juror only a reasonable doubt as to the guilt of Leonard G. Carter, then the jury cannot find him guilty.”
We have consistently held that: “Instructions in a criminal case which are confusing, misleading, or incorrectly state the law should not be given.” Syllabus Point 3,
State v. Bolling,
The
Neil v. Biggers’
formulations developed from the statements in
United States v. Wade,
F. Cleckley, Handbook on Evidence § 46 (1978); Falknor, “The ‘Hear-Say’ as a ‘See-Do’ Rule,” Evidence of Conduct, 33 Rocky. Mt. L. Rev. 133 (1961).
We recognized in
State v. Boyd, supra,
that third-party testimony relative to an out-of-court identification which was constitutionally infirm under
Moore v. Illinois,
