STATE OF UTAH, Respondent, v. DAVID M. RUSHTON, Petitioner.
No. 20150737
SUPREME COURT OF THE STATE OF UTAH
April 7, 2017
2017 UT 21
This opinion is subject to revision before final publication in the Pacific Reporter
On Certiorari to the Court of Appeals
Third District, Salt Lake
The Honorable Robin W. Reese
No. 111903029
Attorneys:
Sean D. Reyes, Att‘y Gen., Marian Decker, Asst. Att‘y Gen., Salt Lake City, for respondent
Joanna E. Landau, Salt Lake City, for petitioner
JUSTICE HIMONAS authored the opinion of the Court, in which JUSTICE DURHAM and JUSTICE PEARCE joined.
ASSOCIATE CHIEF JUSTICE LEE filed an opinion concurring in the judgment, in which CHIEF JUSTICE DURRANT joined.
INTRODUCTION
¶ 1 This case clarifies the interpretation of the phrase “single criminal objective” in the context of the mandatory joinder statute,
¶ 2 The Petitioner, David Rushton, argues that the State violated the mandatory joinder statute by prosecuting him from 2011 to 2012 for wage crimes after having prosecuted and convicted him in 2009 and 2010 for tax crimes. Interpreting the phrase “single criminal objective” broadly, Mr. Rushton asserts that the conduct underlying both prosecutions was part of a single criminal episode because it was “closely related in time and . . . incident to an attempt or an accomplishment of [the] single criminal objective” of misappropriation of money in his business setting.
¶ 3 We affirm the decision of the court of appeals, albeit along a somewhat different
BACKGROUND
¶ 4 Mr. Rushton started Fooptube LLC, a computer programming and design company in 2005. A few years later, the Utah State Tax Commission began investigating him due to allegations that he had withheld personal and corporate taxes while serving as an owner and officer of Fooptube. On April 14, 2009, the State charged Mr. Rushton with six tax crimes committed between 2005 and 2008.2 Mr. Rushton was arraigned for the tax crimes on December 14, 2009. In June 2010, pursuant to a plea agreement, Mr. Rushton pleaded guilty to counts five and six, and the remaining counts were dismissed.
¶ 5 In May 2009, several former Fooptube employees approached the prosecutor and informed him of the wage claims they had against Mr. Rushton. The State then launched an investigation into these crimes. During that investigation, the investigator was contacted by the Utah Labor Commission, which informed him that Mr. Rushton had failed to pay wages to approximately eighty-four former Fooptube employees between October 2008 and October 2009. By 2011, ninety-five employees had reported unpaid wages for services provided to Fooptube. The claims for unpaid wages totaled $1,170,164.07. The investigator also learned that the United States Department of Labor‘s Employee Benefits Security Administration was investigating allegations that Mr. Rushton had failed to remit Fooptube employees’ contributions to retirement funds in the amount of $107,000.00.
¶ 6 On April 20, 2011, the State filed the wage case against Mr. Rushton, charging him with seven second-degree felonies. The State amended its charges against Mr. Rushton on November 3, 2011, to include thirteen charges of class A misdemeanors as possible alternatives to two of the previously charged felonies.3 Mr. Rushton moved to dismiss the wage case, arguing that under the mandatory joinder statute, his wage crimes and tax crimes were part of a single criminal episode,
¶ 7 The district court concluded that the conduct at issue in the tax case and in the wage case did not constitute a single criminal episode under the mandatory joinder statute. While the district court found that Mr. Rushton‘s conduct at issue in both cases was closely related in time, it concluded that the conduct at issue in the tax case was not committed in furtherance of the same criminal objective as the conduct at issue in the wage case. According to the district court, although the cases are factually similar, they involve different victims, issues, laws, and jury instructions. As a result, the district court held that the conduct did not constitute a single criminal episode.
¶ 8 After the court denied Mr. Rushton‘s motion to dismiss, Mr. Rushton entered a conditional guilty plea to count 3 (amended to a third-degree felony of attempted unlawful dealing with property), count 7, and count 20. Mr. Rushton then appealed the district court‘s decision, and the court of appeals affirmed the district court‘s ruling, holding that Mr. Rushton‘s tax crimes and his wage crimes did not constitute a single criminal episode under the mandatory joinder statute. State v. Rushton, 2015 UT App 170, ¶¶ 5-6, 354 P.3d 223. Mr. Rushton then petitioned for a writ of certiorari asking that we review the court of appeals’ decision against him. We granted the writ and, therefore, exercise jurisdiction under
STANDARDS OF REVIEW
¶ 9 “On certiorari, we review the court of appeals’ decision for correctness, focusing on whether that court correctly reviewed the trial court‘s decision under the appropriate standard of review.” Hansen v. Eyre, 2005 UT 29, ¶ 8, 116 P.3d 290 (internal quotation marks omitted). A trial court‘s denial of a motion to dismiss presents a question of law, which is also reviewed for correctness. See State v. Arave, 2011 UT 84, ¶ 25, 268 P.3d 163.
ANALYSIS
¶ 10 We affirm the court of appeals’ denial of Mr. Rushton‘s motion to dismiss. In so doing, we clarify the interpretation of the phrase “single criminal objective” in the context of the mandatory joinder statute. Under the mandatory joinder statute, the State is prohibited from prosecuting a defendant in separate actions for conduct that “is closely related in time and is incident to an attempt or an accomplishment of a single criminal objective.”
¶ 11 When we tackle questions of statutory construction, our overarching goal is to implement the intent of the legislature. Marion Energy, Inc. v. KFJ Ranch P‘ship, 2011 UT 50, ¶ 14, 267 P.3d 863 (“It is well settled that when faced with a question of statutory interpretation, ‘our primary goal is to evince the true intent and purpose of the Legislature.‘” (citation omitted)). Our first undertaking in this regard is to assess the language and structure of the statute. Id. (“The best evidence of the legislature‘s intent is ‘the plain language of the statute itself.‘” (citation omitted)); In re Reinhart, 2012 UT 82, ¶ 17, 291 P.3d 228 (reviewing a “statute‘s plain language and structure“). “Often, statutory text may not be plain when read in isolation, but may become so in light of its linguistic, structural, and statutory context.” Id. The reverse is equally true: words or phrases may appear unambiguous when read in isolation, but become ambiguous when read in context. This is why
we read the plain language of the statute as a whole, and interpret its provisions in harmony with other statutes in the same chapter and related chapters[,] avoid[ing] any interpretation which renders parts or words in a statute inoperative
or superfluous in order to give effect to every word in the statute.
Monarrez v. Utah Dep‘t of Transp., 2016 UT 10, ¶ 11, 368 P.3d 846 (internal quotation marks omitted). Indeed, “it is a ‘fundamental principle of statutory construction (and, indeed, of language itself) that the meaning of a word cannot be determined in isolation, but must be drawn from the context in which it is used.‘” Reno v. Koray, 515 U.S. 50, 56 (1995) (citation omitted). This is why we look to context when, as here, “both sides offer conceivable constructions of the language in question.” Olsen v. Eagle Mountain City, 2011 UT 10, ¶ 9, 248 P.3d 465.
¶ 12 With this legal backdrop in mind, we turn first to Mr. Rushton‘s argument that the phrase “single criminal objective” is broad enough to encompass an objective as broad as misappropriation of any money he had power over through Fooptube. We conclude that such a broad interpretation of the phrase “single criminal objective” would render the permissive joinder statute inoperative, which would violate our principles of statutory interpretation. Rather, we consider the totality of the circumstances, focusing in particular on the location where the crimes were committed, the nature of the offenses, whether the crimes involved different victims, and whether the defendant had the opportunity to deliberately engage in the next-in-time offense. Based on our analysis of those factors, we determine that Mr. Rushton‘s conduct at issue in the tax case and in the wage case did not have a single criminal objective and thus was not part of a single criminal episode mandating joinder of the charges against him in a single prosecution.
I. MR. RUSHTON‘S INTERPRETATION OF SINGLE CRIMINAL OBJECTIVE
¶ 13 Mr. Rushton argues that under a plain language analysis “single criminal objective” means all conduct that is “connected by a single criminal purpose, goal, or target[] that the defendant‘s conduct is intended to attain.” He further argues that misappropriating “money in the context of Fooptube,” no matter how or from whom, satisfies this definition.
¶ 14 We reject Mr. Rushton‘s claim that his misappropriation qualifies as a single criminal objective for purposes of the mandatory joinder statute. Under our plain language principles of statutory construction, it is necessary to consider both the permissive joinder statute and the mandatory joinder statute when interpreting the phrase “single criminal objective.” We conclude that Mr. Rushton‘s characterization of his behavior as a single criminal objective of misappropriation is too broad and would render the permissive joinder statute inoperative.
¶ 15 As the State correctly points out, when interpreting the phrase “single criminal objective,” we must consider both the permissive joinder statute and the mandatory joinder statute in order to ensure that our interpretation does not render the permissive joinder statute inoperative. See State, in re J.M.S., 2011 UT 75, ¶ 22, 280 P.3d 410 (stating that we interpret statutory provisions “in harmony with other statutes in the same and related chapters” (citation omitted)).
¶ 16 The relevant statutory provisions are as follows: The permissive joinder statute states that offenses “may be charged in the same indictment or information” if the offenses are “based on the same conduct or are otherwise connected together in their commission . . . or alleged to have been part of a common scheme or plan.”
¶ 17 Mr. Rushton‘s characterization of misappropriation as his single criminal objective conflates offenses that are “connected together in their commission” or are “part of a common scheme or plan” with offenses that are “closely related in time” and have a “single criminal objective.”
cannot read the phrase “single criminal objective” under the mandatory joinder statute so broadly without rendering the permissive joinder statute inoperative.
¶ 18 In addition, we reject the following arguments Mr. Rushton makes about the interpretation of statutes, and, in particular, the interpretation of the mandatory joinder statute. First, Mr. Rushton argues that interpreting statutes “in harmony with other statutes in the same chapter and related chapters” is a secondary rule of statutory interpretation, rather than part of a court‘s plain language interpretation. State v. Harker, 2010 UT 56, ¶ 12, 240 P.3d 780 (citation omitted). As a result, he argues, since “the state has not suggested any debate about the plain meaning of the language,” we do not need to rely on “other interpretative tools,” like the so-called secondary rule of interpreting statutes in harmony with related chapters. We strongly disagree with Mr. Rushton on this point. Interpreting a statute “in harmony with other statutes in the same chapter and related chapters” is part of our plain language analysis. See id. (“[W]e read the plain language of [a] statute as a whole and interpret its provisions in harmony with other statutes in the same chapter and related chapters.” (second alteration in original) (citation omitted)). Consequently, reading the “single criminal objective” language under the mandatory joinder statute in harmony with the permissive joinder statute constitutes a plain language interpretation of the mandatory joinder statute.
¶ 20 Finally, we disagree with Mr. Rushton‘s assertion that the legislature wanted us to interpret the mandatory and permissive joinder statutes separately or in isolation from one another. We read the language in
¶ 21 We must interpret the mandatory joinder statute in harmony with the permissive joinder statute. Using a plain language analysis, we determine that Mr. Rushton‘s interpretation of single criminal objective is overly broad and would render the permissive joinder statute inoperative. This result is contrary to our rules of statutory interpretation and thus we reject Mr. Rushton‘s characterization of his single criminal objective.
II. THE CONCURRENCE‘S INTERPRETATION OF THE MANDATORY JOINDER STATUTE
¶ 22 We also disagree with the interpretation of “incident to an attempt or accomplishment of a single criminal objective” proffered by the concurring opinion. The concurrence equates a “single criminal episode” with a single “crime.” Infra ¶ 59. The concurrence accordingly reads this language to cover only conduct that is “directly and immediately relat[ed] to . . . an attempt or accomplishment” of another offense. Infra ¶ 62. The concurrence prefers its interpretation to a totality of the circumstances test for two reasons: (1) because it better respects the “operative language” of the statutory text and (2) because it is more predictable than a test requiring a district court to weigh multiple factors in deciding whether joinder is required. Infra ¶¶ 48-49. We disagree.
¶ 23 First, we do not believe that the concurrence‘s test comports with the plain meaning of the statutory text. See Olsen v. Eagle Mountain City, 2011 UT 10, ¶ 12, 248 P.3d 465 (in interpreting the plain meaning of statutory text “[o]ur task . . . is to determine the meaning of the text given the relevant context of the statute (including, particularly, the structure and language of the statutory scheme)” (citation omitted)). In interpreting statutes, “[w]e presume the Legislature uses each word advisedly.” Meza v. State, 2015 UT 70, ¶ 18, 359 P.3d 592. Thus, we presume that if the legislature had intended the reading that the concurrence prefers, it would have defined a “single criminal episode” as “all conduct which is . . . incident to an attempt or an accomplishment of a single offense“—using a term that it specifically defined in the Utah Criminal Code. Cf.
¶ 24 We are also doubtful that the concurrence‘s proposed test is any more predictable than the totality of the circumstances test that we adopt—indeed, it may well be less predictable. The concurrence would have courts focus on whether one offense was “incident” to another, where “incident” is defined as “dependent on or appertaining to another thing: directly and immediately relating to or involved in something else though not an essential part of it.” Infra ¶ 60 n.6. But consider, for example, how this test would apply to a case where a defendant writes a computer program that in quick succession steals $30,000 from ten separate accounts belonging to ten separate clients of the same bank.
¶ 25 To make the hypothetical even more vivid, imagine that this defendant keeps a diary in which he specifically states that his objective was to steal $30,000 in small enough increments that (in his view) they were less likely to immediately trigger the bank‘s anti-fraud measures and more likely to go undetected.
¶ 26 This should be an easy case. The state should not be allowed to bring serial prosecutions against a bank robber who has written a single computer program to steal from multiple bank accounts, and who admittedly has a single criminal purpose underlying each almost identical crime. (This example is not farfetched, and it can be multiplied. Imagine a hacker who simultaneously acquires unauthorized access to one million computers. The concurrence‘s logic would in theory allow one million trials. We would not.)
¶ 27 But under the concurrence‘s test it is not easy to predict whether each act of theft need be joined in the same trial. On the one hand, each act is a “choate crime” and each is logically independent of the other. This militates in favor of finding that each act need not be joined under the mandatory joinder statute. And the concurrence appears to believe that, under its test, the separate crimes need not be joined. See infra ¶¶ 67-69. But this is not obvious from the language of the concurrence‘s test. Instead, it is arguable that each act of theft was “directly and immediately relat[ed]” to the others (though not “essential” to them); after all, the bank robber admitted as much. Or imagine that the evidence conclusively shows (or the indictment pleads) that the bank robber pursued any of the individual robberies only because he could pursue them all simultaneously (perhaps because if he had not been able to pursue them all he would have decided that the reward was not worth the risk). Under this hypothetical, it seems perfectly possible for a reasonable court to conclude that each robbery was not only “directly and immediately relat[ed]” to the others, but, arguably, even “depend[ent]” on them, too. Infra ¶ 60 n.6. But it is equally possible for a reasonable court applying the concurrence‘s test to conclude that the robberies still were not “incident to” each other.
¶ 28 This is doubly troubling. As we have explained, the bank-robber hypothetical should be an easy case. But the concurrence‘s test is challenged by it. Even worse, its outcome is unpredictable. And this unpredictability is not just going to arise at the periphery; it is a core feature of a test that requires a court to assess the degree to which one offense is “relat[ed]” to another. As a practical matter, we cannot see how
¶ 29 The concurrence also faults our test for yielding “problematic results” in a solicitation case. It offers as an example “a bank robbery preceded by solicitation of an accomplice,” and it suggests that the totality of the circumstances test that we adopt might not require joinder of the solicitation and the bank robbery if, for example, the defendant and accomplice reside in different states. For then “the offenses could be said to arise in a ‘different geographic location[],’ . . . the solicitation offense is ‘substantively different’ in ‘nature’ from bank robbery, . . . and the defendant,” we may imagine, “had ‘the opportunity to make a conscious and knowing decision to engage in the next-in-time offense.‘” Infra ¶ 65.
¶ 30 We are not as troubled by the possibility that the mandatory joinder statute might not require the solicitation to be joined with the bank robbery in this case, although we think that in many cases it will—especially given that, absent significant differences in the evidence that a prosecutor would otherwise introduce, a solicitation will often be similar in nature, and bound up with, the crime being solicited.
¶ 31 Moreover, it is not clear that the concurrence‘s proposed test fares particularly well under this example either. Consider a variant on the concurrence‘s solicitation example. A would-be bank robber draws up plans to rob a bank, which include the assistance of an accomplice. He solicits one of his friends to help him. Then, after further thought, the bank robber decides he will go it alone. He dismisses his friend and replans the bank robbery as a one-man job. Was the solicitation “incident to” the bank robbery under the concurrence‘s test? Not obviously. It is far from clear that the solicitation “directly and immediately relat[ed] to” the bank robbery; after all, the bank robber changed his plans after the solicitation and decided to pursue the bank robbery alone. This is yet another example where the concurrence‘s test fails to live up to its promise of predictability.
¶ 32 A final problem with the concurrence‘s reading is that, in circumstances where it does clearly yield a single outcome, it reaches the wrong result. Consider this example:
Defendant was stopped by a highway patrolman in Beaver County for speeding. He pulled a gun, threatened the patrolman, relieved him of his revolver, locked him in the trunk of the patrol vehicle, shot holes in its two front tires, and left the scene in his own vehicle. He subsequently picked up two hitchhikers, showed them the revolver, and advised them of his having taken it from the patrolman. He further advised them that they need not stay in the car with him.
Defendant proceeded on to the adjoining County of Sevier, stopped to purchase fuel, and shortly thereafter police began following him at which time he informed the hitchhikers they were his hostages and held a gun on them. He was ultimately apprehended at a roadblock, tried and convicted in Sevier County for aggravated kidnapping of the hitchhikers, and was subsequently convicted in Beaver County of this offense of aggravated robbery for the taking of the patrolman‘s revolver.
State v. Ireland, 570 P.2d 1206, 1206 (Utah 1977).
¶ 33 Under the concurrence‘s logic, the aggravated kidnapping was plainly incident to the objective of successfully accomplishing the aggravated robbery and, therefore, the mandatory joinder statute required that the two offenses be joined. Yet we rightly held otherwise. Id. at 1207 (“In this case there was a distinct difference in time [and] location . . . and the criminal objective of robbery was entirely different than that of kidnapping which was totally disconnected in time, place or purpose.“); see State v. Germonto, 868 P.2d 50, 60 (Utah 1993) (“We . . . [take] care to avoid a rigid rule mandating joinder whenever a defendant commits a crime to
¶ 34 As we explain below, we believe there is a place for the concurrence‘s test in the mandatory joinder analysis. But, for the foregoing reasons, we do not believe it should be the exclusive focus.
III. TOTALITY OF THE CIRCUMSTANCES
¶ 35 We have concluded that neither Mr. Rushton‘s nor the concurrence‘s interpretation respects the plain language of the joinder statutes. Mr. Rushton‘s assertion that “single criminal objective” is so broad as to encompass the objective of misappropriation does violence to the statutory scheme by rendering the permissive joinder statute inoperative, and the concurrence‘s contention that a “single criminal objective” is nothing more than a criminal “offense” assumes that the legislature chose to use a term it has not defined to mean a term it specifically defined in the criminal code. We therefore consider the totality of the circumstances, focusing on factors from our case law,9 to determine whether Mr. Rushton‘s conduct at issue in the tax case and in the wage case had a single criminal objective.10 See State v. Selzer, 2013 UT App 3, ¶ 26, 294 P.3d 617 (“Whether or not there is a single criminal objective depends on the specific facts of the case viewed under . . . the totality of the circumstances.” (alteration in original) (internal quotation marks omitted)). In making this determination, we consider, among other things, the location where the crimes were committed, the nature of the offenses (both the similarity in conduct and the extent to which one offense advances the accomplishment of another), whether the crimes involved different victims, and whether the defendant had the opportunity to deliberately engage in the next-in-time offense.11 While
¶ 36 First, we consider “whether the offenses arose in different geographic locations.” United States v. Letterlough, 63 F.3d 332, 335 (4th Cir. 1995).12 Unfortunately, there is insufficient evidence in the record to determine where Mr. Rushton‘s tax crimes and wage crimes occurred. Mr. Rushton‘s conduct may have occurred within the four walls of the business or where the payments were due. Regardless, this factor is not dispositive. Courts in other jurisdictions have found offenses to constitute separate offenses based on the defendant‘s having had time between the offenses and the opportunity to make a conscious, knowing decision to commit each offense, despite the offenses having been committed in the same location. See, e.g., United States v. Thomas, 381 F. App‘x 495, 505-08 (6th Cir. 2010). We agree. So even if we assume that Mr. Rushton committed both his tax crimes and his wage crimes at the same location, that factor is not dispositive. Therefore, we turn to the other factors to make our ultimate decision.
¶ 37 Second, we consider “whether the nature of the offenses was substantively different.” Letterlough, 63 F.3d at 335-36.13 The tax crimes and the wage crimes were plainly different in nature. Each set of offenses involved different financial concepts and bodies of proof. For example, the tax offenses involved issues such as whether Mr. Rushton had improperly “co-mingle[d] funds,” whether he had prepared fraudulent tax returns, and whether he had failed to file his personal income taxes. By contrast, the wage offenses involved whether Mr. Rushton had kept wages and retirement benefits he owed to his employees for himself. Similarly, Mr. Rushton‘s tax crime charges arose out of an investigation by the Utah State Tax Commission, and Mr. Rushton‘s wage crimes were independently under investigation by the Utah Labor Commission and the United States Department of Labor. Moreover, the prosecutor in Mr. Rushton‘s tax case was apparently unaware of the wage crimes until after Mr. Rushton pleaded guilty to the tax offenses. And while there was some overlap in the statutes under which Mr. Rushton was charged in the wage and tax cases, the same statute may cover substantively different kinds of conduct.14 For example, in State v. Gibson, 2009 UT App 108, 208 P.3d 543 and State v. Winward, 907 P.2d 1188 (Utah Ct. App. 1995), the defendants were both charged under
¶ 38 Third, we consider whether each offense involved “different victims.” Letterlough, 63 F.3d at 336.16 Mr. Rushton‘s tax crimes and Mr. Rushton‘s wage crimes clearly involved different victims. The victim of Mr. Rushton‘s tax crimes was the government of the state of Utah, and the victims of Mr. Rushton‘s wage crimes were the former employees of Fooptube. Because the victims in the two cases are completely different, this factor weighs strongly in favor of a finding that Mr. Rushton‘s conduct did not have a single criminal objective.
¶ 39 The final factor we consider is whether Mr. Rushton had “the opportunity to make a conscious and knowing decision to engage in” the next-in-time offense.17 Id. at 337. There is some overlap in the time Mr. Rushton committed his tax crimes and the time he committed his wage crimes.18 However, taxes are paid quarterly, and the paychecks for Fooptube employees were due monthly. See
¶ 40 Having conducted this fact-intensive analysis, we determine, based on the totality of the circumstances, that Mr. Rushton‘s tax crimes and wage crimes did not have a single criminal objective. Id. at 336 (“Courts have applied these factors independently, or in conjunction, to decide that a defendant‘s similar offenses are actually separate and distinct from one another. In essence, if any one of the factors has a
strong presence, it can dispositively segregate an extended criminal enterprise into a series of separate and distinct episodes.” (footnote omitted)). Three of the four factors weigh against a finding of a single criminal objective, and the only other factor (the location where the crimes were committed) is not dispositve. See supra ¶ 36. Moreover, no other considerations argue in favor of finding a single criminal objective in this case. We accordingly hold that Mr. Rushton‘s conduct at issue in the tax case and in the wage case did not have a single criminal objective and that the State therefore was not required to join the charges for Mr. Rushton‘s tax crimes and the charges for his wage crimes in a single prosecution.
¶ 41 We close with a note on the appropriateness of a totality of the circumstances test in this case. For policy reasons, the concurrence takes us to task for adopting a totality of the circumstances test in the mandatory joinder context. Infra ¶¶ 71-73. It points out that multi-factor tests are not as predictable as bright-line legal rules, and it notes that the policy consequences of a misapplication of our multi-factor test could potentially be “drastic” - if a prosecutor fails to join a count that was subject to mandatory joinder, the result will be “the preclusion of a criminal claim without any consideration of the merits.” Infra ¶¶ 71-72.
¶ 42 While we are hesitant to conclude that predictability is the overriding value in law - other important values are fidelity to text and ensuring that the law does not purchase precision at the cost of anomalous or unjust results - we agree with the concurrence that courts must always be attuned to the risk that a test might prove difficult to apply. But we think the risk of unpredictability is low here. Many other jurisdictions use multi-factor tests to determine whether mandatory joinder is required, see supra ¶ 35 n.11, and we have been given no reason to think that the law in those jurisdictions is unpredictable. Moreover, as we have explained, it is not clear that the concurrence‘s test would be any more predictable than ours - indeed, it could well be less predictable. See supra ¶ 24.
¶ 43 As for the concurrence‘s concern about the “drastic consequence[]” of criminal claim preclusion due to a prosecutor‘s failure to join counts, infra ¶ 72, it is fair as far as it goes, but the analysis is fatally incomplete. The policy question in this case is not simply whether we should make it harder or easier for prosecutors to prosecute all the offenses that a defendant might fairly be charged with. Instead, the policy question is comparative: whether it is more important to prevent the “drastic consequence[]” of criminal claim preclusion due to the prosecutor‘s failure to join counts or to prevent the “drastic consequence[]” of serial prosecutions when claims otherwise ought to have been joined. While this consideration is secondary to the textual and doctrinal factors that have persuaded us to adopt the test we announce, we think that it will generally be less costly for a prosecutor to over-join counts than it is for a defendant to defend against serial prosecutions.
¶ 44 As a final note, litigants in a criminal case - both prosecutor and defendant - may always move the district court to join counts that the law does not require be joined and to sever counts that are otherwise subject to mandatory joinder. See
CONCLUSION
¶ 45 In conclusion, we reject Mr. Rushton‘s characterization of misappropriation as his single criminal objective because such a definition is too broad and would render the permissive joinder statute inoperative. Instead, we consider the totality of the circumstances to determine whether Mr. Rushton‘s conduct had a single criminal objective. Because Mr. Rushton‘s tax crimes and wage crimes were substantively different and involved different victims, and because Mr. Rushton had the “opportunity to make a conscious and knowing decision to engage” in the next-in-time offense, we conclude that Mr. Rushton‘s criminal conduct did not have a single criminal objective. See United States v. Letterlough, 63 F.3d 332, 337 (4th Cir. 1995). Because Mr. Rushton‘s conduct did not have a single criminal objective, it was not a single criminal episode under the mandatory joinder statute. Therefore, we hold that the mandatory joinder statute did not require joinder of Mr. Rushton‘s tax crimes and wage crimes in a single prosecution, and we affirm the court of appeals’ decision upholding the denial of Mr. Rushton‘s motion to dismiss.
ASSOCIATE CHIEF JUSTICE LEE, concurring in the judgment:
¶ 46
¶ 47 Here we are asked to define the scope of a “single criminal episode.” The majority does so by articulating a “totality of the circumstances” test turning on at least four factors - “the location where the crimes were committed, the nature of the offenses, whether the crimes involved different victims, and whether the defendant had the opportunity to deliberately engage in the next-in-time offense.” Supra ¶ 12. Applying this test, the court concludes that a prior prosecution of David Rushton on criminal tax charges does not foreclose the present prosecution on charges arising out of his failure to pay earned wages to employees. Because “[t]hree of the four factors” identified by the court “weigh against a finding of a single criminal objective,” the majority holds “that Mr. Rushton‘s tax crimes and wage crimes did not have a single criminal objective.” Supra ¶ 40. And it therefore affirms the court of appeals’ decision allowing the prosecution on the wage offenses to move forward.
¶ 48 I agree with the judgment of the court - its affirmance of the court of appeals’ decision allowing the wage case to move forward. But I disagree with the majority‘s analysis. I would not define the statutory terms by reference to a multi-factored balancing test. Instead, I would articulate a test based on the operative terms of the controlling statute. The operative language precludes subsequent prosecution for criminal “conduct” that is “closely related in time” and “incident to an attempt or an accomplishment of a single criminal objective.”
¶ 49 In the paragraphs below I first present the textual basis for the operative test as I see it. Next I identify a significant shortcoming of the majority‘s “totality” test - the fact that it will not cover some conduct that is clearly “incident to an attempt or accomplishment” of a principal “criminal objective.” Last I close with some observations about the appropriate domain of balancing tests and the importance of predictability in a field like claim preclusion.
I
¶ 50 The majority rejects Rushton‘s formulation of “single criminal episode.” It says that the wage offenses and tax offenses cannot be deemed to stem from a “single criminal objective” simply because they advance a nefarious “objective” framed at a high level
¶ 51 In this case, Rushton asserts that the relevant “single criminal objective” is to prop up his business through general “misappropriation.” That is certainly a nefarious objective; and it would encompass both the wage offenses and the tax offenses in this case. But why stop at this level of generality? An alternative formulation would be the purpose of advancing Rushton‘s interests by engaging in criminal activity. And that criminal objective would sweep in all conceivable crimes - even crimes as diverse as a sexual assault committed on one day and a count of securities fraud committed three weeks later.
¶ 52 All of this tells us that “single criminal objective” cannot be defined in the abstract. If it were, the preclusive effect of section 76-1-402 would be all-encompassing. And, as the majority notes, this approach would eviscerate the permissive joinder statute,
¶ 53 And that means that we must embrace a narrower notion of “single criminal objective.” The majority does so by considering the “totality of the circumstances,” meaning the series of considerations that the court deems relevant to this inquiry - the location of the two crimes, the nature of the offenses, the identity of the victims, and the opportunity to “deliberately engage in the next-in-time offense.” Supra ¶ 12. Yet the court proffers no linkage between the factors it includes in its balancing test and the operative terms of the statute.1 Instead, the court imports a test set forth in a federal court of appeals decision under a federal statute that bears little resemblance to the operative Utah provisions. See supra ¶¶ 36-39.2
¶ 55 These factors may well be appropriate in assessing whether a series of crimes were “committed on occasions different from one another.” But the quoted language comes from
¶ 56 The question under section 401 is not whether a later-charged crime was committed on an occasion different from that of an earlier-charged offense. It is whether the two sets of offenses are “closely related in time” and are “incident to an attempt or an accomplishment of a single criminal objective.”
¶ 57 The statutory phrase “incident to” modifies or extends to both “an attempt . . . of a single criminal objective” and “an accomplishment of a single criminal objective.” It accordingly defines the scope of “conduct” that comprises a “single criminal episode.” Conduct that is not “incident to” an “attempt” or “accomplishment” of a “single criminal objective” may be charged separately because it does not comprise a “single criminal episode” under the statute.
¶ 58 The words “attempt” and “accomplishment” have well-defined meanings in the criminal law. An “attempt” is itself a crime involving conduct that is a “substantial step toward commission of [a specified] crime” wherein the defendant “intend[ed] to commit the [specified] crime.”
¶ 59 In their criminal law senses, both attempt and accomplishment are used in relationship to an identifiable offense in the criminal code. They refer, in other words, to a specific crime that was attempted or accomplished. Accordingly, in the context of the statutory definition of “single criminal episode,” these terms have reference to the “objective” of either attempting or accomplishing a specific offense. So the “objective” referenced in the statute is not, as Rushton asserts, some hazy nefarious purpose. Nor is it an unlawful purpose defined vaguely by a totality of the circumstances. It has reference, rather, to a particular crime - a “single” “objective” crime that the defendant either “attempt[ed]” or “accomplish[ed].” See
¶ 60 The “incident to” element is the language of connection or causation.6 One event or act is “incident to” another if it arises out of it or is otherwise connected to it - as in a risk “incident to” employment or a search “incident to” an arrest. I would interpret the statutory reference to an offense “incident to an attempt or an accomplishment” of the objective crime in this sense. I would require proof of some connection or relationship between the two offenses.7
¶ 61 The statutory test accordingly consists of two steps. First, the court must identify the “single criminal objective” - the objective crime - at issue.8 Second, the court
¶ 62 Because the statute prohibits successive “prosecution” for offenses that are part of a single criminal episode, see
II
¶ 63 The majority takes a completely different tack. It adopts instead a multi-factored balancing test. But that test is completely disconnected from the operative statutory language. And it will also lead to problematic results.
¶ 64 An inchoate offense, in my view, is clearly “incident to an attempt or an accomplishment of a single criminal objective.”
¶ 65 Yet the majority‘s multi-factored balancing test could easily lead to the opposite conclusion. Consider a case involving a bank robbery preceded by solicitation of an accomplice. The act of solicitation is undoubtedly “incident to” the “accomplishment” of the “criminal objective” of bank robbery. So the crime of solicitation should be foreclosed if closely related in time and not charged in connection with an initial prosecution for the bank robbery. But that crime may not be barred under the majority‘s test. If, for example, the accomplice resides in a different state, the majority‘s factors could easily weigh against a requirement of joinder in the initial bank robbery case, since the offenses could be said to arise in a “different geographic location[],” supra ¶ 36; the solicitation offense is “substantively different” in “nature” from bank robbery, supra ¶ 37; and the defendant “had ‘the opportunity to make a conscious and knowing decision to engage in’ the next-in-time offense,” supra ¶ 39.9 That makes three of four factors that cut against the conclusion that these offenses are “incident to” the “accomplishment” of the “criminal objective” of bank robbery.
¶ 66 This is troubling. If the factors we identify fail to sweep in classic crimes “incident to an attempt or accomplishment of a single criminal objective,” then it‘s time to go
¶ 67 The majority objects to my test as underinclusive, citing an example of a series of thefts “from ten separate accounts belonging to ten separate clients of the same bank,” brought about by a “computer program” written by a defendant who admits to a goal of stealing “small enough increments that (in his view) were less likely to immediately trigger the bank‘s anti-fraud measures.” Supra ¶¶ 24-25. In the court‘s view, these offenses “ha[ve] a single criminal purpose underlying” them, as witnessed by the defendant‘s contemporaneous admission of his intent. Id. ¶ 26. And because my test would allow “serial prosecutions” of these multiple choate offenses, the majority insists that my approach must be dismissed as underinclusive. Id.
¶ 68 I disagree for several reasons. For one thing, the court‘s conclusions are premised on its own take-our-word-for-it sense of the scope of “single criminal episode.” It confidently announces its belief that “[t]he state should not be allowed to bring serial prosecutions against” a defendant in these circumstances. Id. But it offers no basis in the words of the statute for that conclusion. So the court‘s criticism (of the underinclusiveness of my test) is entirely circular. In my view, it is the majority‘s test that is under- and overinclusive - or at least potentially so, in that the multi-factored balancing test makes it impossible to predict with any certainty which crimes will be deemed to be encompassed within a “single criminal episode.”
¶ 69 Second, the practical effect of my test is not nearly as sweeping as the court imagines. “[S]erial prosecutions” will ensue only if the prosecution chooses to exercise its discretion to charge these crimes separately. And a rational prosecutor seems highly likely to charge these hypothetical crimes together for a range of practical reasons. Even if related cases are charged separately, moreover - as with the court‘s secondary example of “a hacker who simultaneously acquires unauthorized access to one million computers,” id. - there is no reason to expect “one million trials.” Id. Cases can be charged separately but ultimately consolidated for trial.
¶ 70 Finally, the majority‘s concerns about underinclusiveness are not necessarily alleviated by its test. The virtue of a “totality of the circumstances” test is its flexibility. But that is also its principal vice. And I cannot see how a prosecutor could predict how the multiple bank theft or computer hacking counts would fare under the majority‘s test. In both cases there are some factors pointing in favor of mandatory joinder (location, similar conduct) and others pointing the other way (different victims, neither offense is incident to the attempt or accomplishment of the other). The majority, moreover, goes out of its way to say that the listed considerations “are certainly not the only factors relevant to the mandatory joinder analysis.” Supra ¶ 35. So it seems impossible to anticipate with any certainty how the court‘s own hypotheticals would come out under its test. It is entirely possible that the examples it lists would come out the same under both tests.
III
¶ 71 A totality-of-the-circumstances test is a tempting response to a complex legal problem. And such a test may have a place in the law - in a field, for example, where precision is untenable (or unimportant) and flexibility is at a premium.10 But this is not such a field.11 The flipside of flexibility is unpredictability.
¶ 72 A prosecutor faced with the question of how widely to frame an information or indictment must anticipate the preclusive effect of such a decision.12 A misjudgment in this field will produce drastic consequences - the preclusion of a criminal claim without any consideration of the merits. Such a consequence should be the predictable result of a reasoned decision. And we thwart that possibility when we do no more than articulate a series of “factors” to be balanced in some unspecified way.
¶ 73 I would avoid that problem here. I would do so by rejecting the majority‘s “totality” test in favor of a more objective rule rooted in the operative terms of the governing statute. And I would affirm under that test.
Notes
The majority professes general obeisance to the “plain meaning” of the statutory text. See supra ¶ 23. But, tellingly, the court nowhere seeks to connect its multi-factored test with the language of the statute. That test is weaved of whole cloth having nothing to do with the terms of
The majority‘s criticism, moreover, is rooted in a faulty premise. It says that “if the legislature had intended” the standard I propose, it “would have” done so explicitly. Supra ¶ 23. But we have rejected such syllogisms repeatedly. We have noted that “the legislature‘s failure to speak more clearly tells us little or nothing about its intent in using terms that are less clear.” Irving Place Assocs. v. 628 Park Ave., LLC, 2015 UT 91, ¶ 16, 362 P.3d 1241. And we have observed that “[i]n any matter of statutory construction of any consequence, it will almost always be true that the legislature could have more clearly repudiated one party‘s preferred construction.” Id. (quoting Hill v. Nakai (In re Estate of Hannifin), 2013 UT 46, ¶ 25, 311 P.3d 1016). We have also explained that “‘the converse is almost always true as well.‘” Id. (alteration in original) (citation omitted). For that reason, we have said that “‘[t]he legislature‘s failure to speak more clearly’ yields no basis for interpreting the ambiguous terms it voted into law.” Id.; see also Craig v. Provo City, 2016 UT 40, ¶ 38, 389 P.3d 423 (“It is usually quite beside the point that the legislature ‘knows how’ to speak more explicitly. That is another way of saying that the legislature could have spoken more clearly. And typically that gets us nowhere.” (footnote omitted)). That is all the majority is saying here. And in any event the legislature‘s failure to adopt a clearer standard does not mean that it preferred the multi-factored balancing approach favored by the majority. Again, nothing in the text supports the factors articulated by the court.
The court‘s argument also misstates my standard. I am not simply “equat[ing] a ‘single criminal episode’ with a single ‘crime.‘” Supra ¶ 22. The use of the term “objective” has significance that is not as clearly conveyed by the term “offense.” The word “objective” identifies the reference point for a court‘s “incident to” analysis. The conduct at issue must be incident to the acts undertaken in attempting or accomplishing the relevant “objective” crime. The term “objective” thus aids - rather than hinders - a proper understanding of the analysis required by the statute.
I see a parallel between the majority opinion here and that in State v. Shickles, 760 P.2d 291, 295 (Utah 1988). Shickles identified factors to guide decisions weighing evidence under rule 403 of the Utah Rules of Evidence. Id. at 295-96. Yet the Shickles factors were not rooted in the text of the operative rule; they were “drawn from” the McCormick on Evidence treatise. State v. Lucero, 2014 UT 15, ¶ 32, 328 P.3d 841. And in time we were forced to repudiate the Shickles factors - identifying unforeseen consequences arising from an attempt to formulate factors not rooted in the text of the governing law, and backing away from the Shickles factors and pointing the courts back to rule 403. Id.
I foresee a similar path ahead under the single criminal objective statute. The Rushton factors seem destined to be applied in unforeseen ways in future cases, leading to results that cannot be squared with the operative text of the statute. When that happens we will be forced to formulate a test more tied to the terms of the statute.
Perhaps this inquiry will introduce some uncertainty. That is one of the majority‘s complaints about my approach. See supra ¶ 24. But the “incident to” element is an explicit component of the statutory test. If we are concerned about the fuzziness of the inquiry then we should do our best to bring clarity to the analysis; we are in no position to write it out of the law (as the majority does in its test). See supra ¶ 45 (“Because Mr. Rushton‘s conduct did not have a single criminal objective, it was not a single criminal episode under the mandatory joinder statute.” (emphasis added)). I would bring clarity to “incident to” by drawing upon analogies in other areas of the law, which treat “incident to” as the language of connection or causation. Our cases can iron out any wrinkles in this formulation in due time.
The majority, moreover, is in no position to make the plea for certainty. Its “totality of the circumstances” test requires uncertainty from case to case. See infra ¶¶ 71-72 (noting further concerns about the unpredictability of the majority‘s test).
The majority‘s test also seems problematic for an additional reason: Even if we assume the propriety of a multi-factored test, the majority‘s standard seems to double-count the timing element. The operative statute tells us that time-relatedness is an inquiry distinct from the “single criminal objective” element. See
I have no quarrel with the notion that “overlap is often a feature of legal tests.” Supra ¶ 39 n.17. But my point is not to raise a general objection to “overlap” in all circumstances; it is to suggest that the separate existence of a “closely related in time” test calls into question the statutory basis for a time component of the “single criminal objective” test. Thus, the existence of overlap in legal tests formulated in other areas of the law tells us nothing about the appropriate standard for analyzing a “single criminal objective.” And the separate nature of the “closely related in time” standard undermines the existence of a time component for assessing “single criminal objective.”
