¶ 1. Dеfendant was charged, convicted, and sentenced on two counts of boating while intoxicated, 28 V.S.A. § 3323, death resulting (BWI/Fatal), id. § 3317(f), after the boat he was operating on July 4, 2002 capsized, resulting in the deaths of two children. On appeal from his conviction and sentence, defendant claims the trial court erred by: (1) finding jurisdiction in Vermont beyond a reasonable doubt; (2) denying defendant adequate voir dire during jury selection; (3) excluding defendant’s evidence of the accident’s reenactment; (4) excluding evidence that the boat’s manufacturer modified the design to correct safety defects in the boat that capsized; (5) instructing the jury incorrectly on the element of causation; (6) calling attention to defendant’s failure to testify; (7) ruling that defendant’s seven-year-old felony conviction was admissible for impeachment purposes; and (8) allowing him to be convicted and sentenced for more than one offense arising from a single incident, in violation of 23 V.S.A. § 3323(e). We affirm defendant’s conviction on a single count of BWI/Fatal, reverse defendant’s second conviction, and remand for resentencing.
¶ 2. Following is a brief summary of the facts and evidence at trial. Additional facts are included in the relevant discussions of particular issues. On the night of the capsize, defendant took a group of friends and neighbors onto Lake Champlain in his brother-in-law’s boat to watсh a fireworks display at Basin Harbor. He drove the boat to a point on the lake near Diamond Island, where he met a friend operating another boat with a group of people aboard. They tied the two boats together to watch the fireworks. After the display, they untied the boats, and defendant turned and accelerated to head back. There was a dispute at trial as to how fast defendant accelerated the boat and
¶ 3. The boat at issue was on loan to defendant, and defendant used it six times prior to the accident. Known by its brand name as a MacGregor 26X, the boat was a hybrid sailboat and motorboat. Unlike most sailboats, it lacked a conventional weighted keel protruding from its bottom as ballast to keep it upright. On this model, the stability usually provided by a keel came instead from a ballast tank built into the hull, which could be filled with up to 1400 pounds of water when needed. The boat was designed so that the ballast tank should be filled when operated as a sailboat and normally emptied when operated as a powerboat, except when carrying more than four people aboard — in which case, the manufacturer warned in the manual, the ballast tank should always be filled. The manual also warned not to overload the boat, and recommended a limit of six adults so as not to compromise the boat’s stability. The manual further warned that when operated without the ballast filled, passengers should stay off the cabin top and foredeck to avoid instability.
¶ 4. On the evening of the capsize, defendant was operating the MacGregor 26X as a powerboat with eleven people on board — eight adults and three children. One adult was seated on the foredeck and another was standing atop the cabin. The ballast tank was empty. Defendant had never seen the owner’s manual. Although the manufacturer typically puts decals on the boat warning about the number of passengers, their location and when to fill the ballast tank, the warnings were missing on this particular boat. Both the State and defense experts agreed that had the ballast tank been filled, the capsize would not have happened.
¶ 5. The manner in which defendant operated the boat just before the capsize was a central dispute at trial. The State’s witnesses generally described a more dramatic acceleration and turn than was recalled by defense witnesses. One State’s witness, a passenger on the boat to which defendant’s boat had been tied during the fireworks display, testified thаt defendant “gunned” the motor, that she could tell from the white water coming out of the back of the boat that defendant “had almost put it on full throttle,” and that defendant turned sharply to the left. She stated that she had “never seen a boat turn so sharply at the same time
¶ 6. Also disputed was whether the boat’s instability should have been apparent to defendant. One defense witness described the boat as “tippy,” while others, including a State’s witness, recalled no problem with the boat’s handling. At trial, the State’s expert opined that defendant failed to recognize a tippy boat, perhaps as a result of alcohol-impaired judgment, although this expert also agreed that he would not ordinarily expect his own twenty-one-foot ski boat with eleven people aboard to capsize in calm water. Defendant’s expert opined that the boat would have appeared normal and that, absent any warning to the contrary, there was no reason to suspect the- MacGregor 26X had any potentially unsafe characteristics. At the same time, defendant’s expert acknowledged that this boat, without ballast, did not have a lot of stability and would be “very tender” with more than four people aboard, and that its inherent instability could have been obvious to an experienced operator.
I. Jurisdiction
¶ 7. We begin with defendant’s contention that the trial court erred in ruling that the capsize occurred within the jurisdiction of Vermont. The State and defendant stipulated that the State would have the burden to prove beyond a reasonable doubt that the boat was in Vermont waters at the time of the capsize. The parties also jointly requested the court to hear the evidence and decide the jurisdictional issue in a proceeding separate from the jury trial, and defendant waived his right to a jury trial on that issue. After a two-day bench trial, the court concluded that the State had established beyond a reasonable doubt that the boat capsized within Vermont’s boundaries. On appeal, defendant contends that the evidence was insufficient to sustain the State’s burden of proof. Additionally, defendant argues that the trial court’s findings demonstrate that it unconstitutionally shifted the burden of proof to him on the question of jurisdiction.
¶ 9. We briefly summarize the State’s evidence. Five members of a rescue group arrived on the scene to assist within roughly thirty minutes of the capsize. All had extensive boating experience and familiarity with the Diamond Island area of Lake Champlain where the capsize occurred. Each rescuer was able to recollect his route to the boat, and each identified the location of the capsized boat as somewhere just north of Diamond Island. Three of the rescuers accompanied the State’s witness, Dean Georgе, on the lake sometime after the capsize incident, and each physically located a spot on the water where they recalled the boat was positioned when they arrived on the scene.
¶ 11. Although there was no direct evidence of the precise GPS location of the boat at the moment it capsized, we conclude that the State’s evidence was sufficient for the court to infer beyond a reasonable doubt that the boat was in Vermont waters at the time of the capsize. Defendant argues that the court improperly discounted the uncontested evidence from his expert, a professor of oceanography and limnology — the study of lakes — at Middlebury College, of an ever-present, regularly alternating current in Lake Champlain. It was defendant’s theory at trial that the current was moving south the night of the capsize because there was testimony from officers assigned to watch the boat that it had drifted some four miles south within five or six hours after the capsize. Defendant’s expert testified that there are currents in the lake that alternate every four to five days from north to south, with brief periods of stagnation. Defendant argues that because of the uncontested existence of ongoing currents in the lake, the court could not determine beyond a reasonable doubt, without speculation or conjecture, that the boat was in Vermont waters at the time of the capsize.
¶ 12. Essentially, defendant asks this Court to weigh the evidence presented by the defense against the evidence presented by the State. It is not our role, however, to act as a fact-finder in
¶ 13. We disagree with defendant’s contention that the court unconstitutionally shifted the burden of proof to him to establish where the boat was at the time of capsize. The trial court’s findings of fact and conclusions of law contain no such burden shifting. In its conclusion, the court expressly stated that “the State has established beyond a reasonable doubt that the boat capsized within the boundaries of the State of Vermont.” The court concluded the boat was in Vermont waters at the time of capsize solely from the State’s evidence, and that defendant’s “drift” theory did not create reasonable doubt. Defendant focuses on the trial court’s statement that “[tjhere is insufficient evidence to tie [the defense expert’s] general information about lake currents to the particular time and place at issue here.” This statement, however, was in the context of the court’s explanation of why it did not credit defendant’s evidence over the State’s evidence. The court concluded that defendant’s theory that the boat could have drifted from New York waters into Vermont waters after the boat capsized was speculation, as opposed to evidence, and particularly noted that the defense expert offered no evidence at all of the currents on the lake at the time and place at issue in this case. Also, the court noted that all the witnesses, other than one of the rescuers who testified that the boat moved north during the time he was on the scene, testified that the lake was flat calm and windless and that they were not aware of the boat’s moving at all at the time of the capsize. As the trial court stated, “[t]he court is not required to elevate ‘potential explanations ... to the status of a reasonable doubt.’ ” (quoting State v. Murray-Miller,
¶ 14. Defendant next claims he was denied the right to adequate voir dire because the trial court did not allow him to question potential jurors individually about their exposure to pretrial publicity. Defendant argues that the court’s procedure denied him the voir dire necessary to exercise his statutory peremptory challenges under 12 V.S.A. § 1941 and, accordingly, denied him his constitutional right to a fair trial. We review a challenge to a court’s voir dire procedures for abuse of discretion. State v. Bernier,
¶ 15. The record indicates the following. The trial court scheduled a one-day hearing for jury selection. Potential jurors were given a questionnaire that morning, which asked, in part, if they had heard or read about the accident and if they had expressed or formed any opinions about the case. Based on the questionnaires, defendant challenged forty-two of the seventy-five jurors for cause, of which challenges the court granted twenty. The court denied the others, stating that further inquiry would be necessary to make a final decision. The court decided to have the attorneys conduct general voir dire, and then hear requests for individual questioning of those jurors to whom defendant objected. At the conclusion of the general questioning, the attorneys met with the judge in chambers, where defendant requested individual voir dire for each juror who indicated exрosure to publicity about the case. The judge determined, however, that given the lateness in the day, individual voir dire would not be workable. Instead, the judge decided to ask the remaining group if anything they had heard would affect their views and whether they could put such information aside and rely only on the evidence in the case. None of the potential jurors indicated a problem with putting outside information aside.
¶ 16. We find no abuse of discretion in the trial court’s decision not to permit individual voir dire. The record demonstrates that the court considered defendant’s request for each juror targeted for individual voir dire. In each case, except for one juror dismissed for cause, the court determined that individual voir dire was not warranted either because the questionnaire responses indicated only exposure to media reports, rather than formation of opinions, or because other responses from these potential jurors during general voir dire adequately demonstrated that no opinions had been formed.
III. Evidence of Accident Reenactment
¶ 18. Defendant complains that the trial court’s exclusion of his expert witness’s reconstruction of the accident, including a videotape of the reenactment, was error. As explained, defendant’s primary defense at trial was that the boat did not capsize because of how it was operated, but because of its peculiar and inherent instability at the time of the capsize. Defendant argues that the trial court erred in first ruling on a pretrial motion that evidence of the reconstruction was not expert testimony subject to review under the standards of Daubert v. Merrell Dow Pharmaceuticals, Inc.,
¶ 19. We briefly recount the procedural context of this issue. Before trial, the State filed a motion in limine to exclude the defense expert from presenting evidence of his accident reconstruction, including a videotape depicting a near capsize, arguing that the testimony would not meet the requisite standards for
¶20. In its pretrial ruling issued four days after the hearing and two days before opening statements, the court noted that the State only challenged the admissibility of the reenactment, not the expert’s testimony concerning the instability of the boat. The court agreed with the State that there was no published methodology to support the reenactment as science, and concluded that the testimony on the reenactment was “not expert testimony аt all,” explaining that it was an experiment anyone could have performed. The court then considered if the evidence should be permitted under V.R.E. 401, 402, and 403. Reasoning that a key issue in the case was whether the capsize resulted from defendant’s intoxication, the court found the evidence relevant to the extent defendant could offer a different reason for the capsize. The court concluded that the relevance of the reenactment outweighed the possible prejudice or confusion to the jury. Finally, the court cautioned that it was not ruling in advance on the admissibility of specific information.
¶ 21. At trial, prior to the appearance of defendant’s expert, the State renewed its motion to exclude the expert’s reenactment testimony, arguing that as a “fact witness,” the witness could not opine based on inadmissible hearsay about the necessary evidence of weight, positions, and speed, and therefore there was no foundation from which the jury could understand the relevance of the reenactment. In response, defendant renewed his request that his witness be able to testify as an expert on the reenactment. The court decided to allow the witness to testify about his opinion regarding the boat’s design and instability, and then hear a further proffer about the reenactment, in camera, before ruling on the renewed motions.
¶ 22. The expert then testified about his experience as a boat designer and naval architect, including his experience analyzing stability and performance. He explained that he studied the characteristics of the MacGregor 26X, spoke to people who were on board the night it capsized, including defendant, and operated the boat as part of his analysis. He outlined the general stability
¶ 28. The jury then heard defendant’s expert testify as to bis understanding of how the boat was operated from the time it was untied from the friend’s boat until it capsized. He described where he was told the passengers were located, how he understood defendant operated the boat that night, pulling away from the other boat, accelerating, turning left and immediately capsizing. He stated there was no recorded speed, but from people’s comments, he understood the boat to be going somewhere between five and eight knots (approximately six to nine miles per hour).
¶ 24. The court then excused the jury and heard further testimony about the expert’s reenactment. The expert described loading the boat with substitute weights for passengers, with the same two adults positioned on the foredeck and cabintop as they were on the night in question. The expert described that when operating the boat at modest speeds without turning, it appeared to be stable, but application of “moderate” throttle while turning the wheel resulted in an immediate capsize. To simulate the other passengers, the expert placed garbage cans of water in locations according to descriptions by others. Concerning their weight, the expert explained that the known and established weights of the two adults atop the cabin and foredeck were critical to stability, but that the unknown or еstimated weights of persons below and in the rear of the cabin were less significant. The expert agreed that it was important to know the weights of all the passengers, opining that a 10% discrepancy would not have affected the outcome, but a 20% disparity could have made a difference. The expert acknowledged further that he did not know how much
¶ 25. After this voir dire, the court denied defendant’s renewed motion that the witness be allowed to testify as an expert on the reenactment, and concluded that the witness could not testify as a nonexpert fact witness about what he did and directly observed during the reenactment. Relying on several out-of-state cases, the court concluded that the relevant legal inquiry for admissibility of reenactment evidence generally is whether the reenactment was conducted under conditions substantially similar to those existing at the time of the event in question, otherwise the evidence would be excluded as irrelevant and likely to mislead the jury. See Loevsky v. Carter,
¶ 26. Defendant argues that the trial court misapplied the Daubert standards for expert witnesses, adopted by this Court in State v. Streich,
¶ 27. We have not specifically addressed the issue of pretriаl reenactments before, but we agree with the trial court that the correct inquiry is whether the experiment was conducted under substantially similar conditions.
¶ 29. Defendant concedes that some conditions could not be exactly recreated in the experiment, but contends that the similarity was substantial enough to warrant admission. We conclude that the court acted within its discretion in concluding that the probative value of the reenactment evidence was outweighed by its potential for unfair prejudice and likelihood to confuse and
¶ 30. On the other hand, introduction of the reenactment evidence — requiring extensive witness voir dire to determine facts, such as passenger weights, speed, rate of acceleration and degree of turning — would have diverted the jury’s attention from the facts of the case to the facts of the reenactment. While the similarity of the reenactment to the accident could be no more resolved than the disputed facts underlying the criminal charge, the video could reasonably be expected to leave a dramatic and vivid impression on the jury quite exceeding the certainty of its foundation. As another court observed, evidence of out-of-court experiments “should be received with caution, and only be admitted when it is obvious to the court, from the nature of the experiments, that the jury will bе enlightened, rather than confused.” Hisler v. State,
¶ 31. On a final note, we address defendant’s argument that he was entitled to rely on the court’s pretrial ruling that the evidence could be presented. The trial court expressly stated in the ruling that “the court is in no way ruling in advance on the admissibility of specific details of the testimony.” The court did not rule that the evidence would be unconditionally admissible. Any reliance defendant formed that he would be able to show the videotape, in light of the court’s caution that his expert might not be able to testify to the underlying facts shown on the videotape, was misplaced. Defendant could not have reasonably expected the videotape evidence to be admitted absent necessary foundational testimony.
IV. Evidence of Design Modifications
¶ 32. Defendant claims error in the trial court’s decision to exclude evidence of remedial measures taken by the boat manufacturer to improve the vessel’s stability. The State moved in limine to exclude evidence of the manufacturer’s introduction of a new model, the MacGregor 26M, which included some permanent ballast added in the hull and a buoyant mast. The State argued that such evidence would not be probative as to either the stability of the 26X model used by defendant or the effect of defendant’s operation, and would cause jury confusion and be unduly prejudicial. Defendant responded that the manufacturer’s modifications were relied upon by his expert to support his opinion that the 26X was unstable, and should therefore be admissible as a basis for the expert’s conclusion. The court granted the State’s motion, concluding that defendant was offering the evidence to place blame for the accident on the manufacturer and that such evidence was inadmissible under “[t]he principle of V.R.E. 407,” which bars evidence of subsequent remedial measures offered to prove design defect or third-party fault. We agree with defendant that Rule 407 does not control, but conclude nonetheless that the error was harmless because the evidence was otherwise properly excluded. See Fuller v. City of Rutland,
¶ 33. Whether the trial court actually applied Rule 407, or merely its principles by analogy, we write to make clear that the rule’s exclusion of evidence of subsequent remedial measures is inapplicable to the actions of persons not parties to a case. Rule 407 bars the admission of subsequent remedial measures to prove negligence, culpable conduct, product defect or need for warning, and could literally apply to a situation in which a criminal defendant seeks to show that a design defect was the cause of an accident underlying the alleged offense. The purpose of the rule, however, is to further the public policy of “encouraging potential defendants to take safety precautions without fear that this will be used as evidence against them.” 2 Weinstein’s Federal Evidence § 407.03[1] (2d ed. 2006). Accordingly, courts hold that Rule 407 generally does not bar evidence of remedial measures taken by a nondefendant on the theory that the policy goal is not furthered by such exclusion. Diehl v. Blaw-Knox,
¶ 34. The trial court’s exclusion of the proffered redesign of the boat was nevertheless justified by the potential for undue prejudice and confusion relative to the low probative value of the evidence. The evidence of remedial measures was that the new model 26M added 300 pounds of permanent ballast “to enhance the stability” and a sealed, foam-filled mast as a “powerful buoyancy chamber if the boat is knocked down.” Defendant proffered these design changes as a basis for his expert’s opinion that the boat was unstable as originally built, when loaded as it was and unballasted, and also as a basis to cross-examine the State’s expert who was expected to testify as to the boat’s stability.
¶ 35. The evidence was unnecessary to either purpose, and was more ambiguous or confusing than relevant. Based on his initial
¶ 36. In fact, most if not all of the defense expert’s opinions about the boat’s instability, without ballast, being aggravated by the number, weight and placement of the passengers preceding the fatal capsize, were confirmed by the manufacturer’s literature. Although the State’s expert opined that failure to operate the boat as it was intended caused the capsize, this expert agreed that stability was diminished by the number of passengers combined with the failure to fill the ballast tank. Instability being undisputed by both experts, there was no need to bolster one, or confront the other, with evidence of subsequent remedial measures.
¶ 37. It is not apparent that the evidence proposed — of a little added ballast and a buoyant mast — is relevant as “remedial measures.” No evidence reflects that either modification would have made аny difference in the events underlying this case. Defendant offered nothing to suggest that adding 300 pounds of permanent hull weight remedied any instability found by defendant’s expert from the lack of 1400 pounds of ballast,
V. Jury Instructions on Causation
¶ 38. Defendant claims that the court improperly charged the jury on causation. Defendant requested that the jury be instructed that it could find defendant guilty only if it found beyond a reasonable doubt that his intoxication was the sole cause of the children’s death and that defendant must be found not guilty if the instability of the boat “caused in part the accident.” Defendant argued at trial that his proposed statement of the law was consistent with this Court’s application of “direct causation.” State v. Yudichak,
¶ 39. We review the jury instructions in their entirety to determine if they “sufficiently guided the jury” and did not
¶ 40. Defendant’s first claim is that the trial court’s instruction failed to incorporate a direct causation standard. Defendant acknowledges that Yudichak’s seeming declaration of direct causation to the exclusion of all other contributing factors may be overstated, and we conclude that it is. The defendant in Yudichak argued that his DUI did not cause the accident, but that he was forced off the road by another driver’s negligence, and the trial court’s jury instructions allowed him to be convicted despite this “intervening cause.”
¶ 41. Next, defendant argues that the jury instruction was erroneous for failing to require a nexus between intoxicated
¶ 42. On appeal, defendant claims that a general objection to the court’s instruction sufficiently preserved the issue for appeal. We find otherwise. None of defendant’s objections related to the link between defendant’s intoxication and the accident, and furthermore we find no general statement of objection to the charge. We have explained that “failure to object to an instruction after it is given to the jury is considered a waiver of any error even if the substance of the objection is made known before the jury charge.” State v. Wheelock, 158 Vt. 302, 306,
VI. Defendant’s Right Not to Testify
¶ 43. Defendant next argues that the court committed reversible error by instructing the jury regarding defendant’s exercise of his right not to testify, after defendant requested that such an instruction not be given. Defendant concedes that under Lakeside v. Oregon,
¶44. After the court presented the parties with a draft of proposed instructions, including a warning that defendant’s right to silence was not to be held against him, defendant requested that the court remove any mention of defendant’s failure to testify. The court agreed, but the section was mistakenly left in the copy that was read to the jury. In the course of reading the full instructions to the jury, the court began the section by saying, ‘You may have observed that the defendant did not testify in this case.” The instruction was then interrupted and a bench conference ensued. Defendant, believing that the harm sought to be avoided was already done, requested that the court add further language to stress that declining to testify cannot weigh against the defendant. The instruction, as read to the jury, was:
You may have observed that the defendant did not testify in this case.
A defendant has a constitutional right not to testify. The fact that he did not testify in this case must not be held against him. His decision not to testify raises no presumption of guilt and you must not draw any unfavorable inferences from it. You still must presume him innocent unless and until he is proven guilty beyond a reasonable doubt.
Defendant does not argue legal error in the instruction, only that the court erred in giving the instruction at all.
¶ 45. The instruction did not violate Vermont’s constitutional proteсtion that an accused shall not “be compelled to give evidence against oneself,” Vt. Const. Ch. I, Art. 10, under our long-settled understanding of that clause. The substance of Article 10 dates from Vermont’s first constitution of 1777. See State v.
¶ 46. Having concluded that a cautionary instruction read to the jury over objection of the defendant is not a constitutional violation, we consider whether the instruction violated defendant’s rights under 13 V.S.A. § 6601. Section 6601 рrovides that “the failure of [the defendant] to testify shall not be a matter of comment to the jury by either the court or the prosecutor and shall not be considered by the jury as evidence against him.” Given a literal interpretation, § 6601 would always prohibit the court from making any comment about a defendant’s failure to testify, even to instruct the jury not to consider a defendant’s failure to testify. We long ago read § 6601 as prohibiting only comments that would invite negative inference and allowing instruction that the jury should make no inference. In State v. Goyet, this Court held that it was not a violation of the
How is the jury to know that such failure [to testify] shall not be considered as evidence against the respondent unless the court tells it so in the language of the statute? Was it the intention of the Legislature, that a jury should be allowed, in its deliberations to speculate about it? Undoubtedly, the members of the jury, or some of them would do so and such failure would be a matter of discussion in the jury room. We do not think that the Legislature had that intention and thus, without any instruction from the court, leave the matter open for the jury with no guide as to the law.
VII. Admissibility of Prior Stolen Property Conviction
¶ 47. Defendant next argues that the trial court erred by ruling pretrial that a seven-year-old federal felony conviction for knowingly transporting stolen property would be admissible for im
¶ 48. The trial court has discretion in deciding whether to allow the use of prior convictions to impeach a testifying defendant. State v. Emerson,
¶ 49. The trial court individually addressed each Gardner factor in its four-page decision on defendant’s objection to the State’s notice of intent to impeach by prior conviction. Admission of the prior conviction for impeachment purposes was well within the court’s discretion as justified by its weighing of the Gardner factors. Since the prior conviction was a completely distinct offense, and fairly remote, from the pending BWI/Fatal charge, there appeared little or no risk that the jury would unfairly infer that defendant was either a person prone to BWI or an inherently bad character. Defendant contends that his seven-year-old felony conviction for knowingly transporting stolen property has no greater bearing on his credibility than the four-year-old burglary conviction in Ashley, which was deemed of “limited probative value.” Ashley,
¶ 50. Here, the trial court conducted the required analysis. Why a burglary conviction was perceived as having limited probative value was unexplained in Ashley, but burglary’s elements of trespass with intent to commit various other crimes, including violence or damage to property, are not limited to acts of dishonesty. See 13 V.S.A. § 1201(a). In contrast, and as noted by the trial court, defendant’s conviction for knowingly transporting stolen property specifically requires conscious dishonesty. See 18 U.S.C. § 2314 (prohibiting interstate transport of goods by person “knowing the same to have been stolen, converted or taken by fraud” and prohibiting several other acts if done with fraudulent
¶ 51. Defendant’s focus on the twelve-year age of the offense, rather than the seven-year age of the conviction, is misplaced. Impeachment on the basis of felony criminal conduct is premised upon actual conviction. V.R.E. 609(a)(2). Although cases may refer to the age of the “crimes” at issue, see Gardner,
VIII. Multiple Charges
¶ 52. Finally, defendant argues that the trial court erred in allowing him to be charged, convicted, and sentenced for two separate offenses of boating while intoxicated in violation of 23 V.S.A. § 3323 arising out of the same incident — one for each child’s death. Defendant argues that while the penalty provision in § 3317(f) provides for a penalty of not more than five years “[i]f the death of any person results from the violation of [§ 3323],” § 3323(е) explains that “[a] person may not be convicted of more than one offense under this section arising out of the same incident.”
¶ 53. Defendant argued below, as he does here, that the plain meaning of § 3323(e) dictates that a person may be convicted of
(a) A person shall not operate, attempt to operate or be in actual physical control of a vessel on the waters of this state while:
(1) there is 0.08 percent or more by weight of alcohol in his or her blood, as shown by analysis of his or her breath or blood; or
(2) under the influence of intoxicating liquor; or
(3) under the influence of any other drug or under the combined influence of alcohol and any other drug to a degree which renders the person incapable of operating safely.
¶ 54. The trial court concluded both interpretations were reasonable under the plain language of the statute, but ultimately agreed with the State’s construction. The court rеached its conclusion by comparing Vermont’s DUI statute with the subsequently enacted BWI statute, which tracks the language of the DUI statute. See 23 V.S.A. § 1201(a), (e); 23 V.S.A. § 3323(a), (e). The court examined the history of amendments to the DUI statute and concluded that the Legislature’s addition of § 1201(e) at the same time it amended § 1201(a) to include subsections (a)(l)-(3), see 1973, No. 79, § 1, reflected a legislative concern with preventing multiple convictions based on the different ways the State could prove the operator was impaired.
¶ 56. Just as the statute prohibiting grossly negligent operation defines the prohibited act “solely by reference to the standard of care required of drivers,” with enhanced sentence provisions depending on the consequences, LaBounty,
¶ 57. The trial court sentenced defendant to four to five years on each count, suspending all but three yeаrs to serve on each count, with the sentences to run consecutively. As in LaBounty, we recognize here that the trial court sentenced defendant on the first count based on harm to only one victim. See id. ¶ 10; see also State v. Simpson,
Conviction on one count of boating while intoxicated, death resulting, is affirmed, the second conviction is reversed, and the case is remanded for resentencing.
Notes
The court discounted the testimony of the two other rescuers because neither could offer a precise location of the boat and one had a personal relationship with the family of the victims.
Mr. George testified that the Coast Guard location was .12 miles east of the New York/Vermont border, and the pinpoint location of one of the rescuers was .15 miles east of the New York line. Although Mir. George did not specifically testify about the distance from the border to the positions identified by the two other rescuers, he took readings from both those rescuers and plotted аnd identified all the recorded GPS locations on a map submitted into evidence. The map reflects the locations identified by the two other witnesses as east of the Coast Guard position and close to first rescuer’s recollected position.
We have applied this standard to other evidentiary situations in which proffered evidence sought to demonsfrate a point by re-creation or analogy. See Mobbs v. Cent. Vt. Ry.,
Defendant’s expert actually intimated to the contrary in his testimony, testifying that, without ballast, the boat was a “very very light boat,” ranging in weight from “2400 pounds” to “somewhere in the neighborhood of 2500 pounds,” a 100-pound difference, and that omitting up to 10% of an estimated 1400 pounds of passenger weight, while testing stability, another 140 pound difference, would make no diffеrence in the result of his reenactment.
“ ‘Relevant evidence’ means evidence having any tendency to make the existence of any fact that is of consequence to the determination of the action more probable or less probable than it would be without the evidence.” V.R.E. 401.
In Lakeside, the United States Supreme Court observed that it may be unwise for a trial judge to give the cautionary jury instruction when a defendant objects to it, but nevertheless held that “the giving of such an instruction over the defendant’s objection does not violate the privilege against compulsory self-incrimination guaranteed by the Fifth and Fourteenth Amendments.” 435 U.S. at
The right to testify was extended to criminal defendants in Vermont by Public Act No. 40, § 1, 1866 (predecessor to 13 V.S.A. § 6601).
Baker's ruling is no longer controlling in light of Griffin v. California,
The statute then codified as 1947 V.S. § 2412, as amended by 1955, No. 98, is the current 13 V.S.A. § 6601.
Although defendant was apparently found guilty of four counts of violating 18 U.S.C. §§ 2, 2314 (liable as a principal for transporting property knowing it was stolen), the State proffered, and the court considered, these offenses as a single conviction.
The trial court concluded that the conviction was not for a crime involving untruthfulness or falsification. That holding is not challenged on appeal.
Prior to the 1973 amendment, § 1201(a) stated: “A person may not operate, attempt to operate, or be in actual physical control of any vehicle while under the influence of intoxicating liquor,” 1969, No. 267 (Adj. Sess.), § 1, and the statutory scheme at that time also included a specific penalty provision, § 1210, if any death resulted from a violation of § 1201, 1969, No. 267 (Adj. Sess.), § 10.
The statute at issue in LaBounty was 23 V.S.A. § 1091(b), which provides that “[a] person who operates a motor vehicle on a public highway in a grossly negligent manner shall be guilty of grossly negligent operation,” id. § 1091(b)(1), and also provides a specific enhanced penalty if serious bodily injury or death of any person results from the violation, id. § 1091(b)(3).
While it has no impact on our holding here, it is noteworthy that the penalty subsection for boating while intoxicated with death resulting specifically states that it “shall not be construed to limit or restrict prosecutions for manslaughter,” 23 V.S.A. § 3317(f), a crime defined with reference to the victim, see State v. Poirier,
