v. Tee , 446 P.3d 875 ( 2018 )


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  •      The summaries of the Colorado Court of Appeals published opinions
    constitute no part of the opinion of the division but have been prepared by
    the division for the convenience of the reader. The summaries may not be
    cited or relied upon as they are not the official language of the division.
    Any discrepancy between the language in the summary and in the opinion
    should be resolved in favor of the language in the opinion.
    SUMMARY
    June 14, 2018
    2018COA84
    No. 15CA0714, People v. Tee — Criminal Procedure — Grand
    Jury — Indictment; Juries — Predeliberation — Waiver; Crimes
    — Attempt to Influence a Public Servant
    A division of the court of appeals first rejects defendant’s
    assertion that because the statewide grand jury indictment received
    by the venue court did not include, for confidentiality reasons, a
    copy of the foreperson’s signature, the venue court lacked
    jurisdiction. Next, as to defense counsel’s waiver of a
    predeliberation contention, the division distinguishes People v.
    Rediger, 
    2018 CO 32
    , relying instead on Stackhouse v. People, 
    2015 CO 48
    , to find intentional relinquishment of a known right. Finally,
    the division concludes that the evidence of attempt to influence a
    public servant was insufficient where defendant only input false
    data concerning an auto accident on a computer terminal in a
    police department, without knowing or having any reason to know
    that a department technician would screen the information before
    forwarding the accident report to another database.
    COLORADO COURT OF APPEALS                                     2018COA84
    Court of Appeals No. 15CA0714
    Arapahoe County District Court No. 13CR691
    Honorable Marilyn Leonard Antrim, Judge
    The People of the State of Colorado,
    Plaintiff-Appellee,
    v.
    Mike Tee,
    Defendant-Appellant.
    JUDGMENT AFFIRMED IN PART, VACATED IN PART,
    AND CASE REMANDED WITH DIRECTIONS
    Division III
    Opinion by JUDGE WEBB
    Richman and Fox, JJ., concur
    Announced June 14, 2018
    Cynthia H. Coffman, Attorney General, Kevin E. McReynolds, Assistant
    Attorney General, Denver, Colorado, for Plaintiff-Appellee
    Douglas K. Wilson, Colorado State Public Defender, Dayna Vise, Deputy State
    Public Defender, Denver, Colorado, for Defendant-Appellant
    ¶1     After hearing evidence involving identity theft and insurance
    fraud, a jury convicted Mike Tee of multiple charges, including two
    counts of attempting to influence a public servant. Specifically, he
    contends that
     because the indictment received by the district court did not
    contain the signature of the grand jury foreperson, it did not
    confer jurisdiction and all charges must be dismissed;
     because two jurors engaged in predeliberation, he is entitled to
    a new trial;
     because insufficient evidence supported the two convictions
    for attempting to influence a public servant, these convictions
    must be vacated; and
     the mittimus must be corrected to conform to the sentence the
    trial court announced at the sentencing hearing, despite a
    lengthier sentence that the court imposed later.
    ¶2     The Attorney General concedes, and we agree, that the
    mittimus must be corrected. As to the other three contentions, we
    conclude that the signature of the foreperson need not be provided
    to the district court; defense counsel waived any error as to
    predeliberation; and the evidence was sufficient to support one
    1
    count of attempting to influence a public servant, but insufficient as
    to the other count. Therefore, we vacate the judgment as to one
    count of attempting to influence a public servant (Count 24) and
    remand to correct the mittimus.
    I. The Grand Jury Indictment Conferred Jurisdiction on the
    Arapahoe County District Court
    ¶3     Tee first contends “the indictment returned by the grand jury
    was not signed by the foreman and, therefore, failed to invoke the
    court’s jurisdiction because it did not comply with the substantial
    requirements of [section] 16-5-201,” C.R.S. 2017. That section
    provides: “Every indictment shall be signed by the foreman of the
    grand jury returning it and by the prosecuting attorney, his or her
    assistant, or his or her deputy.” Tee also relies on Crim. P. 7(a)(1):
    “An indictment shall be a written statement presented in open court
    by a grand jury to the district court which charges the commission
    of any crime by an alleged offender.” He does not challenge the
    indictment for failure to satisfy any of the requisites set out in Crim.
    P. 7(a)(2).
    2
    ¶4    Tee correctly points out that the appellate record initially
    certified included pages one through thirty-five of the indictment,
    which ended with the following:
    The 2012-2013 Colorado Statewide Grand
    Jury presents the Indictment contained within
    and the same is hereby ORDERED FILED this
    28 day of March, 2013.
    Pursuant to § 13-73-107, C.R.S., the Court
    designates Arapahoe County, Colorado as the
    county of venue for the purposes of trial.
    Arrest Warrants are Issued for:
    Mike Tee . . . .
    The signature of the foreperson was not included.
    ¶5    According to the Attorney General, this occurred because the
    district court for the City and County of Denver, where the grand
    jury sat, ordered that all information “that might identify Statewide
    Grand Jurors shall be deemed confidential, not to be released to
    anyone other than the prosecutors and/or investigators with the
    Attorney General’s Office without written authorization from the
    Court.” See § 13-73-103, C.R.S. 2017 (“The court . . . shall enter an
    order to preserve the confidentiality of all information that might
    identify state grand jurors when reasonably necessary to protect the
    state grand jury process or the security of the state grand jurors.”).
    3
    ¶6    Still, we ordered the Arapahoe County District Court to
    supplement the record — under seal — with a complete indictment.
    The court clerk responded with an affidavit attesting that the
    Denver District Court had sent only these pages.1
    ¶7    Tee clarified at oral argument that the problem is not whether
    the foreperson signed the indictment, but whether the allegedly
    incomplete copy of the indictment filed in the Arapahoe County
    District Court gave that court jurisdiction. We discern no
    jurisdictional defect for two reasons.
    1 Upon receipt of this affidavit, we issued a similar order to the
    Denver District Court, which provided, also under seal, pages
    showing the signature of the grand jury foreperson for each count.
    See, e.g., People v. Bergen, 
    883 P.2d 532
    , 543 (Colo. App. 1994)
    (“Our review of the sealed grand jury records and the affidavits
    shows support for the trial court’s determination that [the grand
    jurors rendered a determination as to probable cause based upon
    the investigation]; therefore, we decline to disturb it on appeal.”);
    see also People v. Dist. Court, 
    199 Colo. 398
    , 402, 
    610 P.2d 490
    ,
    493 (1980) (“After a careful review of the sealed record containing
    the transcript of the grand jury colloquy, we have concluded that
    ordering the disclosure of the colloquy to defense counsel was an
    abuse of discretion. Although the confidential nature of the
    colloquy forecloses a detailed explanation, the transcript contains
    no statements by the district attorney that would constitute
    potential grounds for establishing the absence of probable cause to
    indict the defendant because of improper conduct of the district
    attorney.”).
    4
    ¶8    First, “a grand jury indictment constitutes official action
    accusing an individual of a specific violation of the law, for which
    the individual may be tried and subsequently convicted.” People v.
    Thompson, 
    181 P.3d 1143
    , 1148 (Colo. 2008); see § 16-1-104(11),
    C.R.S. 2017 (defining “indictment” as “a written statement,
    presented by a grand jury to the district court, which charges the
    commission of a crime by an alleged offender”). And under section
    13-73-107(1), C.R.S. 2017, “[a]ny indictment by a state grand jury
    shall be returned to the chief judge who is supervising the statewide
    grand jury without any designation of venue.” See § 13-73-105,
    C.R.S. 2017 (“Judicial supervision of the state grand jury shall be
    maintained by the chief judge who issued the order impaneling
    such grand jury, and all indictments . . . made by such grand jury
    shall be returned to that judge.”). Thus, the requirement in Crim.
    P. 7(a)(1) that the indictment be “presented in open court by a
    grand jury to the district court which charges the commission of any
    crime” (emphasis added) applied to the Denver District Court.
    ¶9    Second, Tee cites no authority, nor have we found any,
    applying the requirements of Crim. P. 7(a)(1) to the district court
    that is designated “as the county of venue for the purposes of trial”
    5
    after the statewide grand jury indictment has been returned. And
    section 13-73-107(1), which provides that after an indictment is
    returned, “the chief judge shall, by order, designate any county in
    the state as the county of venue for the purpose of trial,” suggests
    otherwise.
    ¶ 10   In sum, we conclude that the Arapahoe County District Court
    had jurisdiction.
    II. Defense Counsel Waived a New Trial Based on Possible
    Predeliberation by Two Jurors
    ¶ 11   Tee next contends the trial court “failed to adequately inquire
    into or address the fact the jurors were predeliberating.” He asserts
    that predeliberation constitutes either structural error or a denial of
    due process subject to constitutional harmless error review. Under
    either standard, he continues, all of the convictions must be
    reversed and the case remanded for a new trial.
    ¶ 12   The predeliberation concern arose when a victim advocate told
    the prosecutor, who then informed the trial court, that she had
    overheard two jurors discussing the case at lunch. The court took
    testimony from the victim advocate in the presence of the
    prosecutor and defense counsel. Next, the court questioned these
    6
    two jurors separately, also with both counsel present. Then the
    court read the burden of proof instruction to the entire jury.
    ¶ 13   According to the Attorney General, we should not review this
    contention because defense counsel waived it. Tee responds that
    waiver is inapplicable because “[t]he error was brought to the
    attention of the court by the prosecution and the trial court had the
    opportunity to address the issue.” But this response deals with
    preservation, not waiver. See, e.g., Berra v. Springer & Steinberg,
    P.C., 
    251 P.3d 567
    , 570 (Colo. App. 2010) (“[T]o preserve the issue
    for appeal all that was needed was that the issue be brought to the
    attention of the trial court and that the court be given an
    opportunity to rule on it.”); see also People v. Kadell, 
    2017 COA 124
    , ¶ 43 n.1 (J. Jones, J., concurring in part and dissenting in
    part) (“Simply put, because he didn’t draw the court’s attention to
    the issue, it’s not preserved.”). And the trial court had no reason to
    declare a mistrial after defense counsel expressly renounced that
    remedy.
    A. Law
    ¶ 14   Three familiar principles guide waiver analysis in criminal
    cases.
    7
     A “‘waived’ claim of error presents nothing for an appellate
    court to review.” People v. Bryant, 
    2013 COA 28
    , ¶ 13 n.2
    (quoting People v. Rodriguez, 
    209 P.3d 1151
    , 1160 (Colo. App.
    2008)). In other words, waiver “specifically removes claims
    from the trial court’s consideration.” 
    Id. (citing Rodriguez,
    209
    P.3d at 1160).
     Still, waiver requires “that the defendant intentionally
    relinquished a known right or privilege.” People v. Smith, 
    2018 CO 33
    , ¶ 17; see People v. Kessler, 
    2018 COA 60
    , ¶ 37
    (Because “[d]efense counsel explicitly agreed that the specific
    evidence at issue was admissible . . . , Kessler, through his
    counsel, intentionally waived the particular point raised on
    appeal.”).
     And despite this high bar, “even fundamental rights can be
    waived, regardless of whether the deprivation thereof would
    otherwise constitute structural error.” Stackhouse v. People,
    
    2015 CO 48
    , ¶ 8 (courtroom closure).
    ¶ 15     The Supreme Court has identified factors limiting waiver.
    “Whether a particular right is waivable; whether the defendant must
    participate personally in the waiver; whether certain procedures are
    8
    required for waiver; and whether the defendant’s choice must be
    particularly informed or voluntary, all depend on the right at stake.”
    United States v. Olano, 
    507 U.S. 725
    , 733 (1993).
    ¶ 16   As to these factors, Tee cites no authority, nor are we aware of
    any in Colorado or from the Supreme Court, holding that juror
    conduct which could constitute predeliberation is unwaivable;
    identifying any unique procedure that must be followed to waive
    predeliberation; or requiring a defendant’s informed and voluntary
    decision to waive predeliberation. Nor does Tee’s supplemental brief
    argue any of these factors.
    ¶ 17   Absent such authority, People v. Hambrick, 
    947 N.Y.S.2d 139
    ,
    141 (N.Y. App. Div. 2012), is informative. There, defense counsel
    successfully moved for a mistrial because “several members of the
    jury had impermissibly discussed the specifics of the case and had
    potentially been biased by the predeliberation discussions.”
    
    Id. On appeal
    from conviction at retrial, the defendant raised
    double jeopardy. In holding the claim to be “without merit” because
    defense counsel had sought the mistrial, the court explained that
    “the defendant’s personal consent to a mistrial was not necessary,
    9
    and his counsel’s decision to move for a mistrial was binding on the
    defendant.” Id.2
    ¶ 18    Tee should be equally bound by his counsel’s decision not to
    move for a mistrial. See People v. Greer, 
    197 N.E.2d 22
    , 24 (Ill.
    1964) (“The decision to abandon the motion for a mistrial and go
    ahead with the trial with the jurors that had already been chosen,
    with additional jurors to make a full panel, was voluntarily made by
    the defendant’s own attorney. The defendant is not now in a
    position to allege a failure on the part of the court to declare a
    mistrial.”).
    2 The federal circuits have adopted this view. See, e.g., United
    States v. Chapman, 
    593 F.3d 365
    , 369 (4th Cir. 2010) (“[D]ecisions
    regarding a mistrial are tactical decisions entrusted to the sound
    judgment of counsel, not the client.”); United States v. Burke, 
    257 F.3d 1321
    , 1324 (11th Cir. 2001) (The decision not to request a
    mistrial is a “tactical decision entrusted to defense counsel, binding
    the defendant even when the defendant expressed a contrary wish
    to his lawyer.”); United States v. Washington, 
    198 F.3d 721
    , 723-24
    (8th Cir. 1999) (requesting a mistrial is a non-fundamental strategic
    decision); Watkins v. Kassulke, 
    90 F.3d 138
    , 143 (6th Cir. 1996)
    (Where “defense counsel consents as a matter of trial strategy to a
    mistrial, that consent binds the defendant . . . regardless of whether
    the defendant participates in the decision.”); Galowski v. Murphy,
    
    891 F.2d 629
    , 639 (7th Cir. 1989) (“The decision whether to move
    for a mistrial or instead to proceed to judgment with the expectation
    that the client will be acquitted is one of trial strategy.”).
    10
    B. Analysis
    ¶ 19   The Attorney General argues that waiver applies because
    “[d]efense counsel did more than acquiesce to the trial court’s
    inquiries and resolution of the alleged predeliberation issue, he
    affirmatively approved the trial court’s line of questioning and
    actively participated in further instructing the jury to address his
    concerns.” According to the Attorney General, two lines of Colorado
    authority support this conclusion.
    ¶ 20   First, the Attorney General asserts that when defense counsel
    is an “active participant” with the trial court in matters involving
    the jury, such action “amounts to a waiver.” Valley v. People, 
    165 Colo. 555
    , 561, 
    441 P.2d 14
    , 16 (1968); see also People v. Tillery,
    
    231 P.3d 36
    , 44 (Colo. App. 2009) (holding that Tillery’s argument
    that the instruction was prejudicial because it referred to “the
    incident” was waived by his active participation in its wording), aff’d
    sub nom. People v. Simon, 
    266 P.3d 1099
    (Colo. 2011).3
    3 Similar language has been employed when finding waiver in other
    contexts. See, e.g., People v. Mascarenas, 
    666 P.2d 101
    , 106 (Colo.
    1983) (“[T]he defendant effectively waived his rights to final
    disposition within the ninety-day statutory limitation period [under
    the Uniform Mandatory Disposition of Detainers Act] by his active
    participation in the trial setting delays and in his agreement to the
    11
    ¶ 21   Second, the Attorney General relies on People v. Rediger, 
    2015 COA 26
    , ¶ 59 (Rediger I), aff’d in part and rev’d in part, 
    2018 CO 32
    (Rediger II). There, defense counsel told the trial court that he had
    read the instructions and was “satisfied.” Rediger I, ¶ 47. On this
    basis, the division concluded that instructional error had been
    waived.
    ¶ 22   But the supreme court reversed in part, holding that counsel’s
    colloquy with the court did not show either actual knowledge or
    intentional relinquishment of the defendant’s right to have the jury
    correctly instructed on the elements of the offense in the
    indictment. Rediger II, ¶ 45. Because the supreme court’s decision
    was announced after briefing had closed in this case, we requested
    supplemental briefs on waiver. Having reviewed that briefing, we
    draw two conclusions. First, Rediger II does not categorically
    preclude finding a waiver based on defense counsel’s active
    participation in trial court action that appellate counsel challenges
    on appeal, although it may sometimes require a closer look at
    appropriate dates.”); see also People v. Arledge, 
    938 P.2d 160
    , 166
    (Colo. 1997) (“[A]ctive participation by the defendant in such delay
    constitutes waiver” of the right to speedy trial.).
    12
    exactly what counsel did. Second, on the facts presented,
    Stackhouse is more illuminating than is Rediger II.
    ¶ 23   Beginning with active participation, in Rediger II the trial court
    asked defense counsel a single question; counsel answered with a
    single sentence. By contrast, the record before us shows that the
    trial court and defense counsel were involved in an ongoing,
    interactive exchange. Thus, the record supports applying cases
    such as Valley, as the Attorney General asserts.
    ¶ 24   Even so, after Rediger II, is the waiver analysis now more
    complex? True, the supreme court said nothing about this line of
    authority, probably because the record did not show active
    participation by defense counsel in the flawed jury instruction,
    which appeared to have been prepared by the prosecution. Rediger
    II, ¶ 8. Still, the Rediger II court’s emphasis on intentional
    relinquishment of a known right requires further scrutiny. In other
    words, after Rediger II, would trial counsel’s active participation
    always prevent appellate counsel from identifying an error and
    arguing that it had somehow escaped trial counsel’s attention?
    ¶ 25   Start with a known right. After all, only a right that is known
    could be intentionally relinquished.
    13
    ¶ 26   The Rediger II court did not define “known.” Defense counsel
    acknowledged having read the instructions. So, what more than
    knowledge presumed from the circumstances must be present
    before a right is known? Comparing waiver to invited error suggests
    one answer.
    ¶ 27   Like waiver, invited error bars relief on direct appeal. See
    People v. Novotny, 
    2014 CO 18
    , ¶ 47 (noting “the specter of invited
    error, which precludes appellate review”). However, “although
    invited error in most cases will result from defense counsel’s
    inadvertence or negligence, it is the defendant who must bear the
    stigma of a conviction and the burden of prison time; accordingly,
    application of the plain error doctrine, rather than the invited error
    doctrine,” is appropriate. People v. Stewart, 
    55 P.3d 107
    , 119 (Colo.
    2002). See also People v. Gross, 
    2012 CO 60M
    , ¶ 2 (“The attorney
    incompetence exception does not apply to deliberate, strategic acts
    of defense counsel but rather to inadvertent errors or oversights.”).
    As the division explained in People v. Perez-Rodriguez, 
    2017 COA 77
    , ¶ 27, “[t]o determine whether the statement ‘no objection’ or
    even silence should be characterized as either deliberate or
    14
    inadvertent, it is necessary to consider the objection or silence in
    the context of its circumstances.”
    ¶ 28   Although Rediger II did not cite Stackhouse, looking at
    Stackhouse through the prism of inadvertence offers a path forward.
    There, the trial court closed the courtroom during a portion of voir
    dire. Of course, defense counsel was present. Counsel failed to
    object and voir dire continued. Still, the court found a waiver.
    Stackhouse, ¶ 17.
    ¶ 29   A principled line between these cases would be that in Rediger
    II, merely reading the instructions does not compel the conclusion
    that counsel recognized prejudice to the defendant’s right to be tried
    on the statutory elements under which he had been charged
    because the elements on the instructions and those on the
    information came from different subsections of the same statute.
    The explanation could have been inadvertence, as the difference in
    elements was not striking. Contrasting Stackhouse, counsel’s mere
    presence when the trial court directed that the courtroom be closed
    permits no reasoned doubt that counsel recognized the defendant’s
    public trial right was being impaired. See Webster’s Third New
    15
    International Dictionary 1252 (2002) (defining “know” as “to
    recognize the quality of: see clearly the character of”).
    ¶ 30   After drawing this line here, the record compels the conclusion
    that because defense counsel recognized the predeliberation
    concern, this case falls on the Stackhouse side of that line. The
    trial court asked the victim advocate, “Do you think [the two jurors]
    were discussing the ultimate outcome of the case?” After the
    advocate answered, defense counsel asked her, “[O]ne thing that I
    would be concerned about . . . is, did you think from what you
    heard from the jurors that there was a decision on their part that
    they had heard enough?” The advocate answered, “I really don’t. I
    honestly and truly don’t.” Then defense counsel said, “Nothing
    else.”
    ¶ 31   In Stackhouse, ¶ 5, our supreme court affirmed “the court of
    appeals’ holding that Stackhouse waived his right to public trial
    during voir dire by not objecting to the trial court’s known closure.”
    (Emphasis added.) Likewise in this case, everyone involved
    recognized the specter of predeliberation. And just as Stackhouse,
    
    id. at ¶
    16, presumed counsel’s knowledge of the proper procedure
    to address a courtroom closure, we presume counsel’s awareness
    16
    that juror predeliberation would raise a constitutional concern.
    People v. Flockhart, 
    2013 CO 42
    , ¶ 19 (An “erroneous
    pre-deliberation instruction may prejudice a defendant’s
    constitutional right to a fair trial.”).
    ¶ 32   Then consider intentional relinquishment.
    ¶ 33   After the trial court had questioned the first of the two jurors,
    defense counsel told the court: “I didn’t hear anything at this point
    that would make me want to move for a mistrial based on the fact
    that the jurors looked engaged in a deliberate guilt or not guilt
    process to me.” Thus, counsel also recognized the nexus between
    the disease — “[pre]deliberate guilt or not guilt” — and the possible
    cure — “a mistrial.”
    ¶ 34   For the second juror, defense counsel asked the court “if we
    have questions of this juror, can we approach and tell you that?”
    The court said yes. And after the court questioned the second
    juror, counsel told the court “for the record . . . I would have said or
    asked questions very much along the same lines . . . .” Tee does not
    assert, nor does our review of the record disclose, anything in the
    second juror’s answers that should have changed counsel’s earlier
    mistrial calculus. To the contrary, the second juror assured the
    17
    trial court that she had not discussed Tee’s guilt, that she
    understood the relative burdens for the prosecution and the
    defense, and that she had not reached “a final conclusion in this
    matter.” Thus, even more so than in Stackhouse, ¶ 16, allowing Tee
    to “seek invalidation of an adverse verdict” on which these two
    jurors deliberated “would encourage gamesmanship.”
    ¶ 35   Finally, counsel asked the court to read the jury instruction on
    burden of proof. The court responded that it “would rather read it
    to the whole jury.” Counsel clarified “[t]hat’s what I meant.” After
    the jury had been reconvened, the court did so. Counsel sought no
    further relief.
    ¶ 36   The totality of defense counsel’s statements stand in marked
    contrast to our supreme court’s observation in Rediger II, ¶ 42, that
    “[t]he record before us reveals no evidence, either express or
    implied, that Rediger[’s counsel] intended to relinquish his right to
    be tried in conformity with the charges set forth in his charging
    document when he generally acquiesced to the jury instructions,”
    nor that “Rediger knew of the discrepancy between the People’s
    tendered jury instructions and the charging document,” 
    id. at ¶
    43.
    18
    ¶ 37   Opposite to what occurred in Rediger II, here the dialogue
    between defense counsel and the trial court over this issue went far
    beyond a “rote statement that [counsel] is not objecting . . . .”
    United States v. Zubia-Torres, 
    550 F.3d 1202
    , 1207 (10th Cir. 2008)
    (“The record is simply devoid of any evidence that defense counsel
    knew of the argument or considered making it.”), cited with
    approval in Rediger II, ¶ 45; see also United States v. Perez, 
    116 F.3d 840
    , 845-46 (9th Cir. 1997) (perceiving no waiver when the
    record revealed “that neither defendants, the government, nor the
    court was aware” of the issue raised on appeal), cited with approval
    in Rediger II, ¶ 42.
    ¶ 38   Despite all this, Tee’s supplemental brief asserts that “[t]here
    would be no reason, had counsel been aware of the error, not to ask
    for a mistrial or to ask the court to address the fact the jurors were
    predeliberating.” This assertion misses the mark in two ways.
    ¶ 39   First, it assumes that inquiry into counsel’s strategic purpose
    plays any role in evaluating an affirmative waiver. But Tee cites no
    authority, nor are we aware of any in Colorado, tempering the effect
    of a specific, affirmative waiver based on possible lack of a strategic
    purpose. As the division explained in Perez-Rodriguez, ¶ 25,
    19
    “[i]nvited error is sometimes referred to as a strategic error. But
    this does not mean that the ‘strategy’ must be competent or well
    planned. It simply means that the action that results in invited
    error must be deliberate rather than inadvertent.”
    ¶ 40   True, in Stackhouse, ¶ 15, our supreme court observed, “there
    are sound strategic reasons to waive the right to a public trial, as is
    particularly apparent in the context of Stackhouse’s jury selection
    for his trial on charges of sexual assault on a minor.” But
    Stackhouse involved an implied waiver based on counsel’s silence;
    Tee’s counsel expressly renounced a mistrial.
    ¶ 41   Second and more importantly, this assertion ignores the
    possibility that counsel’s strategic purpose was to preserve his
    credibility by choosing to disclaim an issue that was a sure loser.
    See People v. McCoy, 
    2015 COA 76M
    , ¶ 99 (Webb, J., specially
    concurring) (“[C]ounsel may have decided that an unsupported
    statutory sufficiency argument would probably be unsuccessful and
    raising it would undercut counsel’s credibility.”) (cert. granted in
    part Oct. 3, 2016). Because the trial court developed the issue, the
    20
    court would have been entitled to expect a candid response.4
    “Forfeiture takes place when counsel or a defendant negligently
    bypasses a valid argument.” United States v. Anderson, 
    604 F.3d 997
    , 1001 (7th Cir. 2010) (emphasis added) (cited with approval in
    Perez-Rodriguez, ¶ 27).
    ¶ 42   In sum, and notwithstanding the “presumption against
    waiver,” Rediger II, ¶ 46 (quoting People v. Curtis, 
    681 P.2d 504
    , 514
    (Colo. 1984)), defense counsel’s affirmative statements constitute a
    waiver. So, as to Tee’s contention that predeliberation constituted
    structural error or a due process violation entitling him to a new
    trial, we have nothing to review. See United States v. Montoya, 
    782 F.2d 1554
    , 1556 (11th Cir. 1986) (stating that, absent exceptional
    circumstances, defendant’s withdrawal of motion for mistrial left
    “nothing for this court to review”).
    III. The Evidence Was Insufficient as to One Count of Attempting to
    Influence a Public Servant
    ¶ 43   Tee was convicted of two counts of attempting to influence a
    public servant based on evidence that he made allegedly false
    reports of car accidents. As to the first report, he provided
    4Of course, whether counsel had such a purpose could be explored
    under Crim. P. 35(c) as an indication of ineffectiveness.
    21
    information in person to a police officer who created a report based
    on what Tee had told him; for the other report, he filled in an
    accident report form on a computer terminal at a kiosk in the police
    department. We conclude that the evidence was sufficient to
    support the conviction for attempting to influence a public servant
    as to the police officer, but not the conviction based on the form
    filled in at the kiosk.
    A. Standard of Review and Law
    ¶ 44   A challenge to the sufficiency of the evidence requires an
    appellate court “to determine whether the relevant evidence, both
    direct and circumstantial, when viewed as a whole and in the light
    most favorable to the prosecution, is substantial and sufficient to
    support a conclusion by a reasonable person that the defendant is
    guilty of the crime charged beyond a reasonable doubt.” People v.
    Moore, 
    226 P.3d 1076
    , 1088 (Colo. App. 2009). The prosecution
    must be given the benefit of every reasonable inference that might
    fairly be drawn from the evidence. People v. Carrasco, 
    85 P.3d 580
    ,
    582-83 (Colo. App. 2003). A conviction will not be set aside merely
    because the jury could have reached a different conclusion based
    on the evidence. People v. Fuller, 
    791 P.2d 702
    , 706 (Colo. 1990).
    22
    However, if the appellate court concludes that evidence was
    insufficient as to a count, then the judgment of conviction must be
    reversed and that count cannot be retried. See People v. Lybarger,
    
    700 P.2d 910
    , 916 (Colo. 1985) (“[I]f the evidence is insufficient to
    support the conviction, the retrial of the defendant on the same
    charge would constitute a violation of the constitutional guarantee
    against double jeopardy.”).
    ¶ 45   Under section 18-8-306, C.R.S. 2017,
    [a]ny person who attempts to influence any
    public servant by means of deceit or by threat
    of violence or economic reprisal against any
    person or property, with the intent thereby to
    alter or affect the public servant’s decision, vote,
    opinion, or action concerning any matter which
    is to be considered or performed by him or the
    agency or body of which he is a member,
    commits a class 4 felony.
    (Emphasis added.) In supplemental briefs on this statute, the
    parties agreed that it is a specific intent crime. So do we.
    ¶ 46 Section 18-8-306 is “aimed at attempts to influence public
    servants in their official capacities to improperly alter or affect the
    performance of their official duties.” People v. Beck, 
    187 P.3d 1125
    ,
    1128 (Colo. App. 2008), overruled on other grounds by People v.
    Molina, 
    2017 CO 7
    . It “encompasses any employee of the
    23
    government and even includes non-employees performing
    government functions.” People v. Sena, 
    2016 COA 161
    , ¶ 12.
    Section 18-8-306 “requires the prosecution to prove that the
    defendant acted with the specific intent to influence a public
    servant[].” People v. Janousek, 
    871 P.2d 1189
    , 1196 (Colo. 1994).
    But “whether the public servant was actually influenced by the
    defendant’s attempts is not an element of the crime.” Sena, ¶ 16.
    B. Analysis
    1. Police Officer
    ¶ 47   Tee contacted the Aurora Police Department, claiming that his
    car had been struck in a hit-and-run accident. The responding
    officer testified that he met with Tee. Then, based on the
    information Tee had provided, the officer prepared and filed an
    accident report. That report was later offered into evidence as part
    of Farmers Insurance Company’s file on Tee’s insurance claim.
    ¶ 48   Tee argues that the evidence was insufficient to show he
    attempted to influence the police officer because “[t]he officer
    testified he does not do anything or make any decisions.” But the
    record shows that Tee intended “to alter or affect the public
    servant’s . . . action concerning any matter which is to be
    24
    considered or performed by him.” § 18-8-306. Specifically, the
    responding officer testified that writing police reports is an official
    function that he performs. Then he described his actions based on
    Tee having reported the accident to him:
    Q: So based on what he told you, you prepared
    your report?
    A: I did.
    Q: Did you file this report?
    A: I did.
    See, e.g., People v. Van De Weghe, 
    2012 COA 204
    (holding that the
    defendant attempted to influence a public servant when he provided
    false information to a police officer during a traffic stop); see also
    Sena, ¶ 16 (“For the People to prove that defendant intended to alter
    [the officer’s] actions, the prosecution must only provide sufficient
    evidence for a rational trier of fact to conclude that defendant
    anticipated a different result if he had given” true information.).
    ¶ 49   Viewing this evidence in a light favorable to the prosecution,
    as we must, it supports the conviction for attempting to influence a
    public servant beyond a reasonable doubt.
    25
    2. Kiosk Report
    ¶ 50     Tee argues that the evidence does not show his act “of filing an
    online accident report at . . . [the] kiosk was done with the specific
    intent to alter or affect a public servant’s decision,” as required by
    section 18-8-306. We agree.
    ¶ 51     The prosecution called a front desk technician at the police
    department to testify about the accident report that Tee had filled
    in. She explained that for such an online accident report, which
    includes both forms filled in on a home computer and those
    completed on a terminal at a kiosk:
     “The citizen would come in, we would direct them to the kiosk
    that we have in the lobby to fill out an accident report. And if
    they had any questions, then we would go out and assist them
    in filling out the report.”
     When the citizen was done filling out the report, he or she
    “would come back up to the front desk and they would get
    their case number, and then that would be all that they
    needed to do.”
    She also testified about performing her duties:
    26
     “Once the citizen enters the report, we as lead technicians
    later — we go in and review the report to make sure that the
    location is in the city ordinance . . . and that some of the
    information is filled out.”
     Citizens “can come up to the front desk window if they have
    some kind of difficulty working on the computer.”
     “Usually we’ll go into the system if [the citizen] ask[s] for [the
    report] for their insurance. We’ll print it out for them.”
    She explained that when using this process,
    [m]ost people think that when they come in to
    do an accident report they’re going to talk to
    me to do the accident report, not to be referred
    to a kiosk. So that’s — we give people the
    option. They can do either or. Or they can go
    home and they can do it on their own
    computer if they’re more comfortable with that.
    Finally, she added that after the report is entered, “[t]he information
    gets forwarded to another computer system. So it’s kind of like the
    online reporting system is its own program itself. And once it’s
    reviewed, then there’s a bridge that goes to another system.”
    ¶ 52     But she did not recall anything about Tee — such as whether
    he “attempted to talk” to her or gave her “information about . . . the
    alleged accident.” Nor did she testify that he had caused the
    27
    system to print out a report. In anticipation of testifying, she had
    printed out the accident report that the prosecution introduced into
    evidence from the police department’s online reporting system.
    ¶ 53    According to the Attorney General, this testimony sufficed to
    prove that Tee “intended his representations about a supposed
    accident at the . . . city kiosk to influence the public servant on site
    . . . to provide him with an official accident report.” True, the
    technician testified that she would have “done something different if
    [she] knew the person wasn’t giving accurate information in that
    report.” But this testimony fails to show that Tee had any
    interaction with the technician, much less that he knew the
    technician needed to approve the report, after he filled in the form
    using the terminal at the kiosk. Simply put, unless he knew of the
    technician’s involvement, he could not have intended to influence
    her actions. See People v. Prante, 
    177 Colo. 243
    , 247, 
    493 P.2d 1083
    , 1084 (1972) (stating that assault on a police officer requires
    proof of intent to cause bodily injury and knowledge that the victim
    is an officer).
    ¶ 54    Colorado cases addressing sufficiency of the evidence under
    section 18-8-306 generally show a link between the defendants and
    28
    the public servants whom they intended to influence. See, e.g.,
    
    Beck, 187 P.3d at 1127
    (the defendant provided false identifying
    information to a police officer); see also People v. Taylor, 
    159 P.3d 730
    , 734 (Colo. App. 2006) (“[The] defendant caused a false written
    instrument to be delivered to a public servant with the intent of
    altering the public servant’s decision relating to the termination of
    defendant’s liberty interest.”), abrogated on other grounds by People
    v. Fortson, 
    2018 COA 46
    ; People v. Schupper, 
    140 P.3d 293
    , 298-99
    (Colo. App. 2006) (The defendant “used ‘deceit’ in the form of false
    representations on his application in order to influence a public
    servant with the intent to alter or affect his or her decision to
    appoint counsel.”).
    ¶ 55   Still, in People v. Montante, 
    2015 COA 40
    , ¶ 2, on which the
    Attorney General primarily relies, that link was less clear. There,
    the defendant, a physician, was convicted of attempting to influence
    a public servant. The evidence showed that he had written false
    information on a physician certification form, which he then gave to
    an undercover officer masquerading as a patient who supposedly
    needed the certification to obtain a medical marijuana identification
    29
    card from the Colorado Department of Public Health and
    Environment.
    ¶ 56   The division explained that the physician certification “is part
    of the application that an applicant must submit to the Colorado
    Department of Public Health and Environment.” 
    Id. And these
    alleged false statements “constituted an attempt to influence, by
    means of deceit, a public official at the Department, with the intent
    thereby to affect the decision to issue [the patient] a medical
    marijuana identification card.” 
    Id. at ¶
    5.
    ¶ 57   Although the division did not address sufficiency, it analyzed
    whether section 18-8-306 provided sufficient notice to the
    physician. It concluded that the defendant “was on fair notice that
    the making of false representations with the expectation that the
    Physician Certification would be submitted to the Department
    would constitute the offense of attempt to influence a public
    servant.” 
    Id. at ¶
    46.
    ¶ 58   This conclusion survives scrutiny because article XVIII,
    section 14(3)(c) of the Colorado Constitution, provides:
    Within thirty days of receiving the information
    referred to in subparagraphs (3)(b)(I)-(IV), the
    state health agency shall verify medical
    30
    information contained in the patient’s written
    documentation. The agency shall notify the
    applicant that his or her application for a
    registry identification card has been denied if
    the agency’s review of such documentation
    discloses that: the information required
    pursuant to paragraph (3)(b) of this section
    has not been provided or has been falsified;
    the documentation fails to state that the
    patient has a debilitating medical condition
    specified in this section or by state health
    agency rule; or the physician does not have a
    license to practice medicine issued by the state
    of Colorado. Otherwise, not more than five
    days after verifying such information, the state
    health agency shall issue one serially
    numbered registry identification card to the
    patient . . . .
    (Emphasis added.) Thus, a fair inference could be made that the
    physician knew his false statements written on the certification
    would influence a public servant’s decision to issue a medical
    marijuana identification card. See Sena, ¶ 16 (“Intent can rarely be
    proven other than through circumstantial or indirect evidence.”);
    People v. Hayward, 
    55 P.3d 803
    , 806 (Colo. App. 2002) (“[E]very
    person is generally presumed to know the law . . . .”).
    ¶ 59   By contrast, in the case before us, the prosecution did not
    present any evidence showing that Tee knew the technician — or
    anyone else, for that matter — would screen the information that he
    31
    input at the kiosk and then approve the report. Nor does the
    Attorney General direct us to any statute describing human
    involvement in this process. And unlike the hard copy physician
    certification and registry card at issue in Montante, filling in a form
    on a computer terminal suggests an entirely automated process.
    Cf. People v. Rice, 
    198 P.3d 1241
    , 1244 (Colo. App. 2008) (“When
    the computer system determines a claimant is eligible for
    unemployment benefits, a computer prints a check that is
    automatically sent to the claimant. Typically, an eligible claimant
    completes a claim and receives a check without interacting with a
    person.”).
    ¶ 60   At most, the record shows that Tee filled in false information
    on a report form using the terminal at the police department kiosk.
    Mere false reporting, however, while prohibited by section
    18-8-111(1)(d), C.R.S. 2017, “is not a specific instance of attempt to
    influence a public servant.” People v. Blue, 
    253 P.3d 1273
    , 1278
    (Colo. App. 2011). Indeed, “[t]he attempted influence offense can
    occur without any false reporting at all.” 
    Id. ¶ 61
      In the end — even given the high standard for sufficiency of
    the evidence claims — we cannot say that the evidence was
    32
    sufficient to prove beyond a reasonable doubt Tee’s second
    conviction for attempt to influence a public servant.
    IV. The Mittimus Must Be Corrected
    ¶ 62   The Attorney General concedes, and we agree, that the trial
    court violated Tee’s double jeopardy rights when it orally
    announced sentences totaling twelve years, but then the mittimus
    showed a total sentence of eighteen years. As Tee correctly points
    out, some of his concurrent sentences were improperly changed to
    consecutive sentences; and the mittimus listed the first sentence as
    four years, rather than the three-year term announced by the trial
    court. See People v. Sandoval, 
    974 P.2d 1012
    , 1015 (Colo. App.
    1998) (“Although a court may correct an illegal sentence without
    implicating double jeopardy concerns, it may not increase a lawful
    sentence after the defendant has begun serving it.”) (citation
    omitted).
    ¶ 63   Everyone also agrees that the mittimus incorrectly shows a
    conviction on Count 5, which the trial court dismissed on Tee’s
    motion for judgment of acquittal.
    ¶ 64   Thus, we remand for the trial court to correct the mittimus to
    reflect the sentence announced, to remove the reference to
    33
    conviction on Count 5, and to vacate the sentence imposed on
    Count 24.
    V. Conclusion
    ¶ 65   The judgment is vacated as to Count 24 and otherwise
    affirmed. The case is remanded with directions to correct the
    mittimus.
    JUDGE RICHMAN and JUDGE FOX concur.
    34
    

Document Info

Docket Number: 15CA0714, People

Citation Numbers: 2018 COA 84, 446 P.3d 875

Filed Date: 6/14/2018

Precedential Status: Precedential

Modified Date: 7/18/2019

Authorities (34)

United States v. Zubia-Torres , 550 F.3d 1202 ( 2008 )

United States v. Luis Alonso Montoya , 782 F.2d 1554 ( 1986 )

Gwendolyn Kathy Watkins v. Betty Kassulke, Warden, Kentucky ... , 90 F.3d 138 ( 1996 )

Peter Galowski v. James Murphy, Superintendent, Columbia ... , 891 F.2d 629 ( 1989 )

United States v. Anderson , 604 F.3d 997 ( 2010 )

united-states-v-timothy-c-washington-also-known-as-appeal-from-the , 198 F.3d 721 ( 1999 )

UNITED STATES of America, Plaintiff-Appellee, v. Louise Han ... , 116 F.3d 840 ( 1997 )

People v. Arledge , 938 P.2d 160 ( 1997 )

People v. Lybarger , 700 P.2d 910 ( 1985 )

People v. DIST. COURT FOR SECOND JUD. DIST. , 199 Colo. 398 ( 1980 )

People v. Fuller , 791 P.2d 702 ( 1990 )

People v. Janousek , 871 P.2d 1189 ( 1994 )

People v. Prante , 177 Colo. 243 ( 1972 )

Valley v. People , 165 Colo. 555 ( 1968 )

People v. Perez-Rodriguez , 411 P.3d 259 ( 2017 )

People v. Carrasco , 85 P.3d 580 ( 2003 )

People v. Thompson , 181 P.3d 1143 ( 2008 )

Stackhouse v. People , 386 P.3d 440 ( 2015 )

People v. Smith , 416 P.3d 886 ( 2018 )

People v. Rediger , 416 P.3d 893 ( 2018 )

View All Authorities »