People v. Palmer , 2021 IL 125621 ( 2021 )


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    2021 IL 125621
    IN THE
    SUPREME COURT
    OF
    THE STATE OF ILLINOIS
    (Docket No. 125621)
    THE PEOPLE OF THE STATE OF ILLINOIS, Appellee, v.
    CHARLES B. PALMER, Appellant.
    Opinion filed April 15, 2021.
    JUSTICE CARTER delivered the judgment of the court, with opinion.
    Chief Justice Anne M. Burke and Justices Theis and Neville concurred in the
    judgment and opinion.
    Justice Michael J. Burke specially concurred, with opinion, joined by Justices
    Garman and Overstreet.
    OPINION
    ¶1      In this appeal, we are asked to decide whether the legislature intended section
    2-702(g)(3) of the Code of Civil Procedure (Code) (735 ILCS 5/2-702(g)(3) (West
    2018)) to require a petitioner seeking a certificate of innocence to prove that he or
    she was innocent of the offense only as it was originally charged or innocent of
    every conceivable theory of criminal liability for that offense. For the following
    reasons, we conclude that subsection (g)(3) requires a petitioner to prove innocence
    only of the offense as it was charged in the underlying criminal proceeding. We
    reverse the judgments of the appellate court and circuit court of Macon County that
    reached the opposite conclusion and remand to the circuit court with directions to
    issue petitioner a certificate of innocence.
    ¶2                                  I. BACKGROUND
    ¶3       On August 26, 1998, the victim, William Helmbacher, reported a burglary of
    his apartment to police officers in Decatur, Illinois. The next night, around 10:30
    p.m. on August 27, the victim was found beaten to death inside his apartment.
    ¶4       Two weeks after the murder, a garbage bag that contained items stolen from
    Helmbacher’s apartment was recovered less than a mile from the apartment.
    Investigators recovered a fingerprint from the garbage bag that was determined to
    belong to Ray Taylor, who lived in Helmbacher’s apartment building. When Taylor
    was questioned by police officers, he claimed that petitioner, who is Taylor’s
    cousin, confessed to killing Helmbacher during a robbery on August 27.
    ¶5       Ultimately, the State charged petitioner with five counts of first degree murder
    in connection with Helmbacher’s death. In relevant part, the State alleged that on
    August 27, 1998, petitioner (1) “with the intent to kill or do great bodily harm to
    [the victim], repeatedly struck [him] on the head, thereby causing the death of [the
    victim]”; (2) “without lawful justification, repeatedly struck [the victim] on the
    head, knowing said act would cause the death of [the victim], thereby causing the
    death of [the victim]”; (3) “without lawful justification, repeatedly struck [the
    victim] on the head, knowing such act created a strong probability of death or great
    bodily harm to [the victim], thereby causing the death of the [the victim]”;
    (4) “without lawful justification, while committing or attempting to commit a
    forcible felony, robbery, *** repeatedly struck [the victim] on the head and thereby
    caused the death of the [the victim]”; and (5) “without lawful justification, while
    committing or attempting to commit a forcible felony, residential burglary, ***
    repeatedly struck [the victim] on the head and thereby caused the death of [the
    victim].” The State also charged petitioner with a single count of residential
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    burglary, alleging that petitioner knowingly and without authority entered the
    dwelling place of the victim with the intent to commit a theft therein on August 26,
    1998.
    ¶6                                    A. Trial Proceedings
    ¶7         At petitioner’s jury trial, the State argued that on August 26, 1998, petitioner
    and Taylor burgled the victim’s apartment. The next night, August 27, petitioner
    returned and killed the victim with a hammer.
    ¶8         Joseph Moyer testified that, on the night of the murder, he and Douglas Lee
    were collecting rent at several apartment buildings owned by Lee, including the
    victim’s building. At around 9:45 p.m., they arrived at the victim’s apartment and
    knocked at the door, but no one answered. The two men left to collect rent at other
    apartments and returned to the victim’s apartment approximately an hour later.
    Moyer looked inside the apartment’s window and saw a partially eaten sandwich
    on a table and shoes on the floor. According to Moyer, Lee decided to use his
    owner’s key to open the victim’s apartment door. When Lee opened the door, he
    discovered the deceased victim on the floor. After discovering the victim’s body,
    the two men went to the neighboring apartment and asked the occupants to call for
    emergency personnel and law enforcement.
    ¶9         On cross-examination, Moyer acknowledged that he had a prior felony
    conviction for burglary. Moyer confirmed that when he and Lee arrived at the
    victim’s apartment the door was locked and there were no signs of forced entry.
    When asked why Moyer and Lee were collecting rent around 10 p.m., Moyer
    explained that the victim was responsible for collecting rent from Lee’s tenants, but
    the victim failed to do so in a timely fashion. Consequently, Lee and Moyer were
    working together that night to collect the unpaid rent. Moyer confirmed that Lee
    was “upset” with the victim for not collecting the rent.
    ¶ 10       Ray Taylor testified that he was petitioner’s cousin. Taylor lived in an
    apartment upstairs from the victim’s apartment. At the time of petitioner’s trial,
    Taylor was charged with the August 26 burglary of the victim’s apartment. Taylor
    agreed to testify in petitioner’s murder case, but he was not made any specific
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    promises in connection with his testimony. Taylor acknowledged that he had a prior
    felony conviction for aggravated battery.
    ¶ 11       Taylor testified that on August 26, 1998, petitioner told Taylor that he was
    going to break into the victim’s apartment. Taylor saw petitioner enter the victim’s
    apartment through a window, and then petitioner came out the front door. Petitioner
    asked Taylor to “look out for him.” Taylor claimed that he “stood there” outside
    the victim’s apartment and then returned to his upstairs apartment. Shortly
    thereafter, petitioner arrived at Taylor’s apartment with beer and “some items like
    some cards, [and] some change in a jar.” Petitioner kept the change and beer but
    discarded the other items in a garbage bag that Taylor gave him. Petitioner and
    Taylor drank the beer, and then they discarded the garbage bag in a dumpster a few
    blocks away.
    ¶ 12       The next day, August 27, Taylor saw petitioner “early in the day” and talked to
    him briefly outside Taylor’s apartment. Taylor did not see petitioner again until
    “later that evening” when Taylor saw petitioner at another apartment. Taylor
    noticed that petitioner was wearing different clothes and shoes that appeared too
    small and did not fit properly. According to Taylor, petitioner claimed that he “had
    to beat the dude to death.” When Taylor asked petitioner who he was talking about,
    petitioner told Taylor that he killed the victim and took $11. Taylor also asked
    petitioner about his shoes, and petitioner replied that “blood was everywhere.”
    ¶ 13       On cross-examination, Taylor admitted that on both the night of the murder and
    a few days later Taylor denied to police officers that he had any information about
    the victim’s murder. Taylor further admitted that he did not implicate petitioner in
    the murder and burglary until after police discovered Taylor’s fingerprint on the
    discarded garbage bag containing items taken from the victim’s apartment.
    ¶ 14       Michael Callaway testified that he lived in the victim’s apartment building and
    petitioner was at Callaway’s apartment on the night of the murder. At some point
    in the evening, Callaway left his apartment and went to a liquor store for about 45
    minutes. When Callaway returned, petitioner was in his apartment. Callaway
    noticed that petitioner was wearing one of Callaway’s shirts inside out. Callaway
    told petitioner to wash his own clothes and put them back on. Callaway later saw
    petitioner washing clothes in the bathtub.
    -4-
    ¶ 15       On cross-examination, Callaway stated that petitioner arrived at his apartment
    around 10 p.m. and it was “about dark” outside but Callaway could not remember
    the exact time of petitioner’s arrival. Callaway did not see any blood on petitioner,
    and petitioner did not make any statements about the victim’s murder. Callaway
    did not know whether petitioner ever left his apartment. Callaway conceded that he
    could not remember whether petitioner was wearing his shirt the night of the murder
    or the following day.
    ¶ 16       The State also called several detectives and police officers who worked on the
    victim’s murder investigation and provided the following information. The victim’s
    body was on the floor approximately three feet from the front door, and there was
    no evidence of a forced entry into the apartment. A large amount of blood was on
    the floor near the victim’s body, and blood was also splattered on the door. A
    hammer was recovered a short distance from the victim’s body. Investigators
    placed bags over both of the victim’s hands to preserve forensic evidence.
    ¶ 17       The victim’s autopsy demonstrated that he died as a result of brain trauma
    compatible with multiple strikes from a hammer. The forensic examiner collected
    from the victim fingernail scrapings, fingerprints, and a blood standard that was
    sent to the Illinois State Police crime laboratory.
    ¶ 18       Decatur police detective Tim Carlton testified that he interviewed petitioner on
    September 22, about three weeks after the murder. During that interview, Carlton
    told petitioner that Taylor had implicated petitioner in the August 26 burglary of
    the victim’s apartment and the victim’s murder on August 27. Petitioner denied
    involvement in both crimes. Based on information received from Taylor, Carlton
    also took into evidence the tennis shoes that petitioner was wearing during the
    interview. After petitioner took off his shoes, Carlton observed two small red stains
    on the shoes.
    ¶ 19       On cross-examination, Carlton confirmed that petitioner denied any
    involvement or knowledge about the burglary or murder of the victim. Carlton also
    confirmed that the first crime laboratory report on petitioner’s tennis shoes stated
    that “no human blood [was] found on the tennis shoes.” After that report, Carlton
    instructed the crime laboratory to “take [the shoes] apart” and retest for the presence
    of blood. Carlton acknowledged that he did not direct the laboratory to test the
    blood-like substance recovered from the victim’s fingernail scrapings.
    -5-
    ¶ 20       On redirect examination, Carlton testified that several items recovered from the
    victim’s body had a blood-like substance that was not tested, including the victim’s
    belt, a hat, a bag, pieces of hair, and the hammer recovered near the body. Carlton
    did not know why the substances on those items were not tested but observed that
    “there was pretty much blood everywhere on the [victim’s] body.”
    ¶ 21       On recross-examination, Carlton confirmed that petitioner’s tennis shoes were
    not taken into evidence until September 22. Carlton acknowledged it was “more
    likely” that the suspect’s blood or other forensic evidence would be found under
    the victim’s fingernails rather than on petitioner’s shoes collected about three weeks
    after the murder.
    ¶ 22       Jennifer Lu testified that she analyzed petitioner’s tennis shoes for the Illinois
    State Police Springfield forensic science laboratory on September 25, 1998. Lu
    examined the shoes for blood and tested several reddish-brown stains on the shoes.
    All of the test results came back negative for blood, and Lu repackaged the shoes
    and returned them to the evidence vault. Eventually, the shoes were sent back to
    the Decatur Police Department. In November 1998, Lu examined the shoes a
    second time because she was asked by the Decatur Police Department to “tear the
    shoes apart and examine them for blood.” After Lu took the shoes apart, she
    discovered three stains that appeared to be blood underneath a piece of mesh. Lu
    tested the stains and confirmed they were from human blood. A subsequent DNA
    analysis of the recovered blood stains from petitioner’s shoes established that they
    were from the victim’s blood.
    ¶ 23       On cross-examination, Lu confirmed that, when she first examined petitioner’s
    shoes in September, she conducted a “thorough” examination of the exterior and
    interior of the shoes, tested the visible stains, and found no evidence of human
    blood on the shoes. Lu also found a blood-like substance in the victim’s fingernail
    scrapings, but she did not test that substance. When Lu received the shoes a second
    time for additional testing, “they wanted me to tear the shoes apart[,] which isn’t
    usual procedure, but I agreed to” perform the request.
    ¶ 24       On redirect examination, Lu explained that “[t]he reason we don’t normally tear
    the shoes apart [is] because it’s very time consuming, very difficult, and often
    dangerous. It involves scalpels and scissors.”
    -6-
    ¶ 25       Petitioner testified in his own defense. Petitioner denied any involvement in the
    August 26 burglary of the victim’s apartment or the victim’s murder on August 27.
    Petitioner had never seen the victim until police officers showed him the victim’s
    picture. According to petitioner, he spent most of the day on August 26, 1998,
    asleep in Taylor’s apartment because petitioner was sick. Petitioner explained that
    his stomach was upset, he vomited, and he was unable to eat anything. Petitioner
    testified that he stayed inside Taylor’s apartment the entire day and never left.
    ¶ 26        Petitioner spent the night of August 26 in Taylor’s apartment and woke up the
    next day, August 27, around 11 a.m. or noon. Petitioner still felt ill but eventually
    left Taylor’s apartment in the afternoon. Petitioner went to Callaway’s apartment
    and put on a pair of Callaway’s pants after he washed them. Petitioner also put on
    one of Callaway’s shirts that he turned inside out because it had a cartoon character
    on the front. Petitioner denied washing any of his own clothes the night of the
    murder.
    ¶ 27       On cross-examination, petitioner testified that he was released from jail in June
    1998. In August 1998, petitioner rented a room in a boarding house, but he also
    stayed at Taylor’s apartment and Callaway’s apartment. Petitioner confirmed that
    police officers took a pair of his shoes during the investigation. Petitioner did not
    remember if he ever let anyone else wear those shoes. When asked why he changed
    clothes at Callaway’s apartment, petitioner stated that he had worn the same pants
    for three days. Petitioner explained that he and Callaway often wore each other’s
    clothing.
    ¶ 28      The jury found petitioner not guilty of residential burglary and guilty of first
    degree murder. The trial court sentenced petitioner to life imprisonment for first
    degree murder (count I).
    ¶ 29                      B. Appellate and Postconviction Proceedings
    ¶ 30       On direct appeal, the appellate court affirmed petitioner’s conviction and
    sentence. People v. Palmer, No. 4-00-0634 (2001) (unpublished order under Illinois
    Supreme Court Rule 23). Petitioner’s postconviction petition was summarily
    dismissed, and the appellate court affirmed the dismissal. People v. Palmer, 
    352 Ill. App. 3d 877
    , 884 (2004).
    -7-
    ¶ 31       In June 2010, petitioner filed a motion for forensic testing of previously
    untested evidence under section 116-3 of the Code of Criminal Procedure of 1963
    (725 ILCS 116-3 (West 2010)). The circuit court granted his motion in part,
    allowing testing of the material from the victim’s fingernail scrapings. The court
    noted that the victim suffered defensive wounds suggesting a physical struggle with
    his assailant. Consistent with the court’s order, Cellmark Forensic Services
    performed a DNA analysis of the fingernail scrapings collected from the victim.
    The analysis determined that the victim’s fingernail scrapings contained two DNA
    profiles, one from the victim and the other from a foreign contributor. Petitioner
    was excluded as a possible contributor of the DNA found underneath the victim’s
    fingernails.
    ¶ 32       In June 2014, petitioner filed a second motion for DNA testing on the hairs and
    blood-like substance found in the bags that were placed around the victim’s hands.
    After the court granted his request, Cellmark analyzed that evidence for DNA. The
    analysis determined that two of the recovered hairs yielded no data but that a third
    hair was from someone other than the victim or petitioner.
    ¶ 33       In July 2016, petitioner filed a successive postconviction petition that sought a
    new criminal trial based on the new forensic evidence. The circuit court granted
    petitioner leave to file the successive petition. In November 2016, the circuit court
    vacated petitioner’s conviction and sentence after the State conceded that the new
    evidence warranted a new trial.
    ¶ 34       On November 23, 2016, the State moved to dismiss the charges against
    petitioner without prejudice. The State explained that petitioner was excluded as a
    contributor to the DNA recovered under the victim’s fingernails and that “the
    victim’s cause of death was a violent bludgeoning by a hammer, resulting in
    defensive wounds to the victim, which is indicative of a physical struggle with the
    perpetrator.” After finishing a follow-up investigation and consultation with the
    Decatur Police Department, the State concluded that “there is insufficient evidence
    to prove [petitioner’s] case beyond a reasonable doubt.”
    ¶ 35       On the same day, the circuit court entered an order that vacated and dismissed
    all charges against petitioner. The court further ordered petitioner’s immediate
    release from custody.
    -8-
    ¶ 36                               C. Petition for a Certificate of Innocence
    ¶ 37       On August 30, 2018, petitioner filed an amended petition seeking a certificate
    of innocence pursuant to section 2-702 of the Code (735 ILCS 5/2-702 (West
    2018)). 1 This petition is the subject of the instant appeal.
    ¶ 38       In his amended petition, petitioner argued that the new forensic DNA evidence
    “conclusively established” that petitioner was not involved in the victim’s murder.
    Because the victim sustained defensive wounds, the perpetrator likely left forensic
    evidence on the victim’s body after the attack. As the new forensic testing
    demonstrated, however, the DNA evidence collected from under the victim’s
    fingernails and hairs collected from his hands demonstrated that the recovered
    material did not come from petitioner. Petitioner also alleged that the State’s initial
    suspect, the victim’s landlord Douglas Lee, “has not been similarly excluded.”
    ¶ 39        Petitioner asserted that the State’s remaining evidence against him was “weak”
    and “utterly unreliable.” The shoes were the only physical evidence connecting
    petitioner to the crime, but petitioner contended that the evidence collected from
    the shoes was unreliable for two reasons. First, it was suspicious that the shoes were
    sent to the lab twice, but there was never a request to test the fingernail scrapings
    or hairs found on the victim. Although the first exam of the shoes detected no blood,
    the police made an unusual second request to “tear” the shoes apart, and a small
    amount of the victim’s blood was then detected underneath a piece of mesh.
    Implying someone had placed the victim’s blood on petitioner’s shoes between the
    first and second examinations, petitioner stated “[t]he fact that this blood appeared
    only after an initial round of testing is further reason to doubt the reliability of this
    [blood] evidence.”
    ¶ 40       Second, petitioner alleged that there was conflicting evidence on whether the
    shoes that were tested were the same ones taken from petitioner. Petitioner noted
    that lab reports described the shoes as “black and white,” but Taylor and petitioner
    both testified that his shoes were “red and white.” Other witnesses testified that the
    shoes were “white.”
    1
    Petitioner timely filed an initial petition on June 16, 2017.
    -9-
    ¶ 41       The only other evidence supporting the State’s theory of petitioner’s guilt was
    Taylor’s testimony, but petitioner claimed that Taylor was “a person of dubious
    credibility.” Taylor had multiple prior felony convictions and was also a suspect in
    the case. According to petitioner, Taylor had a motive to incriminate petitioner
    because Taylor’s fingerprint was found on the garbage bag that contained items
    stolen from the victim’s apartment. Taylor also initially denied any involvement or
    knowledge of the murder and changed his story only after he was confronted with
    the evidence of his fingerprint on the garbage bag. Thus, petitioner asserted that
    Taylor’s testimony was “simply meaningless.”
    ¶ 42       In response, the State disagreed with petitioner’s characterization of the
    evidence. The State argued that the evidence demonstrated that the shoes tested and
    presented as evidence were petitioner’s shoes and that petitioner’s suggestion that
    police planted the blood on his shoes was “a baseless accusation that is unsupported
    by the evidence.” The State contended that Taylor’s trial testimony was consistent
    with his statement given to police officers and Callaway’s testimony. Although
    Taylor originally denied any involvement or knowledge of the murder, Taylor
    “understandably was not eager to implicate his first cousin in a homicide.”
    ¶ 43       The State noted that petitioner’s own testimony placed him in the victim’s
    apartment building on the day of the murder. According to the State, petitioner
    testified inconsistently on his actions that day and why he changed his clothing at
    Callaway’s apartment. To the extent petitioner sought to implicate Douglas Lee in
    the victim’s murder, the State clarified that the DNA report on the forensic material
    found under the victim’s fingernails provided that “no conclusions [could] be
    made” in regard to Lee’s DNA profile. The report, however, did exclude Lee as a
    contributor of the hair recovered from the victim’s hands.
    ¶ 44       The State further argued that the new forensic evidence did not establish
    petitioner’s innocence by a preponderance of the evidence. While the State
    conceded that the new evidence established petitioner was not the primary assailant
    who killed the victim, the State asserted that the evidence “does nothing to refute
    the argument that petitioner may be guilty of the victim’s murder as an accessory
    or as a participant in a felony murder.” Because the source of the DNA recovered
    from the hair and fingernail scrapings remained unknown, the State posited that the
    new evidence did not refute a theory that petitioner entered the victim’s apartment
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    with an unknown person to commit another burglary or robbery that resulted in the
    victim’s murder.
    ¶ 45       Observing that the victim’s blood was found underneath mesh on the side of
    petitioner’s shoe, the State maintained that petitioner was in close proximity to the
    victim during the murder because the victim’s blood splattered on his shoe and
    dripped through the mesh. In addition, cleaning the shoes after the murder would
    not have removed the blood underneath the mesh.
    ¶ 46       After a hearing in January 2019, the circuit court requested supplemental
    authority on the issue of whether the State was allowed to change its theory of
    petitioner’s guilt in the proceedings for the certificate of innocence. Petitioner filed
    a supplemental brief in support of his amended petition, arguing that the State could
    not change its theory of petitioner’s guilt for the first time in those proceedings
    without violating his due process rights. Petitioner also argued that the State’s
    attempt to raise a new theory of his guilt was barred by the doctrine of judicial
    estoppel.
    ¶ 47       On February 14, 2019, the circuit court denied petitioner’s amended petition
    seeking a certificate of innocence. The court rejected petitioner’s contention that
    the State was limited to arguing that petitioner was guilty of first degree murder as
    charged in his criminal trial. The court concluded as follows:
    “In reviewing all of the evidence presented at trial, the DNA analyzed after
    the trial[,] and the arguments made, the court understands why the State has not
    decided to retry the case at this time with the evidence that is available and the
    burden [of proof] beyond a reasonable doubt. Having said that, the court cannot
    find that [petitioner] has proven by the preponderance of the evidence that
    [petitioner] has established that he is innocent of the charge of murder.”
    ¶ 48       On appeal, the appellate court affirmed. Rejecting petitioner’s argument that
    the State could not change its theory of petitioner’s guilt, the court concluded that
    petitioner had to prove by a preponderance of the evidence that he was neither the
    principal nor an accomplice in the commission of the charged offense because
    “[t]he principal and the accomplice are, in the eyes of the law, one and the same.”
    
    2019 IL App (4th) 190148
    , ¶ 150. The court also rejected petitioner’s due process
    argument and his reliance on the doctrine of judicial estoppel. Id. ¶¶ 154-58, 161.
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    The appellate court concluded that the trial court did not abuse its discretion when
    it found that petitioner failed to establish that he did not commit first degree murder
    on a theory of accountability or felony murder. Id. ¶¶ 172-73.
    ¶ 49       We allowed petitioner’s petition for leave to appeal pursuant to Illinois Supreme
    Court Rules 315 (eff. Oct. 1, 2019) and 612 (eff. July 1, 2017). First Defense Legal
    Aid and 19 criminal defense lawyers and exonerees were granted leave to file
    amicus curiae briefs in support of petitioner’s position. Ill. S. Ct. R. 345 (eff. Sept.
    20, 2010). The City of Decatur was granted leave to file an amicus curiae brief in
    support of the State’s position. Id.
    ¶ 50                                      II. ANALYSIS
    ¶ 51       On appeal, petitioner’s primary argument is that section 2-702(g)(3) of the Code
    (735 ILCS 5/2-702(g)(3) (West 2018)) should be construed to require that he must
    “prove his innocence of the particular factual offense with which he was actually
    charged and that led to his wrongful conviction.” In addition, petitioner argues that
    the State’s position that subsection (g)(3) requires proof that he was innocent of
    novel and uncharged allegations of criminal liability is foreclosed by the doctrine
    of judicial estoppel and violates principles of due process. Alternatively, if this
    court agrees with the State’s interpretation, petitioner contends that the State failed
    to present any evidence to support its new theory of his guilt.
    ¶ 52       We first address the central dispute in this case—the proper construction of
    subsection (g)(3). The parties disagree on what a petitioner must demonstrate to
    prove by a preponderance of the evidence that he or she “is innocent of the offenses
    charged in the indictment or information or his or her acts or omissions charged in
    the indictment or information did not constitute a felony or misdemeanor against
    the State.” Id.
    ¶ 53       An issue of statutory construction presents a question of law that is subject to
    de novo review. People v. Johnson, 
    2019 IL 123318
    , ¶ 14. The fundamental goal
    of statutory construction is to ascertain and give effect to the legislature’s intent,
    best indicated by the plain and ordinary meaning of the statutory language. People
    v. Reese, 
    2017 IL 120011
    , ¶ 30. A reviewing court may also discern legislative
    intent by considering the purpose of the statute, the problems to be remedied, and
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    the consequences of interpretating the statute one way or another. People v.
    Bradford, 
    2016 IL 118674
    , ¶ 15. It is presumed that the legislature did not intend
    absurd, inconvenient, or unjust results. People v. Williams, 
    2016 IL 118375
    , ¶ 15.
    ¶ 54       Our analysis begins with an overview of the statutory framework that governs
    the issuance of a certificate of innocence pursuant to section 2-702. The statute
    begins with a clear statement of legislative intent:
    “The General Assembly finds and declares that innocent persons who have been
    wrongly convicted of crimes in Illinois and subsequently imprisoned have been
    frustrated in seeking legal redress due to a variety of substantive and technical
    obstacles in the law and that such persons should have an available avenue to
    obtain a finding of innocence so that they may obtain relief through a petition
    in the Court of Claims.” 735 ILCS 5/2-702(a) (West 2018).
    The statute further instructs that a circuit court presented with a petition seeking a
    certificate of innocence “shall, in the interest of justice, give due consideration to
    difficulties of proof caused by the passage of time, the death or unavailability of
    witnesses, the destruction of evidence or other factors not caused by such persons
    or those acting on their behalf.” 
    Id.
    ¶ 55       Consistent with these goals, section 2-702 authorizes any person convicted and
    subsequently imprisoned for a crime that they did not commit to file a petition
    seeking a certificate of innocence finding that the petitioner was innocent of all
    offenses for which they were incarcerated. 
    Id.
     § 2-702(b). To present a claim
    seeking a certificate of innocence, the petitioner must attach supporting
    documentation demonstrating certain prerequisites, including the timeliness of the
    claim. Id. § 2-702(c), (i). The petition must also be verified by the petitioner and
    state sufficient facts to permit the court to find that the petitioner is likely to succeed
    at trial in proving that the petitioner is innocent of the offenses charged in the
    indictment. Id. § 2-702(d).
    ¶ 56       A copy of the petition shall be served on the Attorney General and the state’s
    attorney of the county where the conviction was obtained, and either entity has the
    right to intervene as a party in the proceeding. Id. § 2-702(e). In any hearing on the
    petition, the court is allowed to take judicial notice of prior sworn testimony or
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    evidence admitted in the criminal proceedings that resulted in the alleged wrongful
    conviction. Id. § 2-702(f).
    ¶ 57      To obtain a certificate of innocence, the petitioner must prove by a
    preponderance of the evidence the following four elements:
    “(1) the petitioner was convicted of one or more felonies by the State of
    Illinois and subsequently sentenced to a term of imprisonment, and has served
    all or any part of the sentence;
    (2)(A) the judgment was reversed or vacated, and the indictment or
    information dismissed or, if a new trial was ordered, either the petitioner was
    found not guilty at the new trial or the petitioner was not retried and the
    indictment or information dismissed; or (B) the statute, or application thereof,
    on which the indictment or information was based violated the Constitution of
    the United States or the State of Illinois;
    (3) the petitioner is innocent of the offenses charged in the indictment or
    information or his or her acts or omissions charged in the indictment or
    information did not constitute a felony or misdemeanor against the State; and
    (4) the petitioner did not by his or her own conduct voluntarily cause or
    bring about his or her conviction.” Id. § 2-702(g)(1)-(4).
    ¶ 58       Here, the parties agree that petitioner has met three of the four elements required
    to obtain a certificate of innocence under section 2-702(g). The only point of
    disagreement involves subsection (g)(3)—whether petitioner has proved by a
    preponderance of the evidence that he is “innocent of the offenses charged in the
    indictment or information.” Id. § 2-702(g)(3).
    ¶ 59       Petitioner argues that subsection (g)(3) should be construed to require proof
    only of his innocence of the specific factual offense charged in his criminal case.
    Petitioner urges this court to reject the State’s argument, accepted by the appellate
    court, that subsection (g)(3) requires him to prove that he is innocent of every
    conceivable theory of criminal liability for the offense. Because petitioner was
    charged with first degree murder on the basis that he personally beat the victim to
    death and the State now concedes that petitioner was not the principal attacker,
    petitioner argues that he is entitled to a certificate of innocence.
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    ¶ 60       Focusing on the language of subsection (g)(3), petitioner observes that the word
    “offenses” is modified by the words “charged in the indictment or information.” In
    addition, the legislature used the same phrase “offenses charged in the indictment
    or information” in subsection (d). See id. § 2-702(d). Based on the repeated use of
    this modifying language, petitioner argues that the legislature intended a petitioner
    to prove his or her innocence only of those offenses actually described in the
    charging document. According to petitioner, the legislature plainly contemplated
    that courts would reference the specific factual content of charging documents in
    analyzing subsection (g)(3).
    ¶ 61       In response, the State argues that subsection (g)(3) requires a petitioner to prove
    his innocence of the offense charged and “not merely innocent of the specific
    factual allegations.” The State observes subsection (g)(3) requires proof that the
    petitioner is “innocent of the offenses charged in the indictment or information.”
    (Emphasis added). Id. § 2-702(g)(3).
    ¶ 62       Applying the plain meaning to that language, the State argues that petitioner in
    this case must prove himself innocent of the offense charged—first degree murder.
    Citing People v. Ceja, 
    204 Ill. 2d 332
    , 361 (2003), the State notes that this court
    has held “[i]t is proper to charge a defendant as a principal even though the proof
    is that the defendant was only an accomplice. [Citations.] Courts permit this
    pleading practice because accountability is not a separate offense, but merely an
    alternative manner of proving a defendant guilty of the substantive offense.”
    ¶ 63       The State asserts that there is a legal distinction between the offense, or crime,
    and the facts alleged in a charging instrument. Here, the offense charged was first
    degree murder, and the original allegation that petitioner beat the victim to death
    with a hammer was “merely a means of committing the charged offense.” The State
    argues that petitioner must prove his innocence of first degree murder as both
    principal and accomplice under subsection (g)(3) because accountability is not a
    separate offense but rather an alternative manner of proving a criminal defendant
    guilty of the substantive offense.
    ¶ 64       After reviewing the language of subsection (g)(3) and section 2-702 as a whole,
    we conclude that petitioner’s interpretation best comports with the legislature’s
    intent. See Reese, 
    2017 IL 120011
    , ¶ 30 (the fundamental goal of statutory
    construction is to give effect to legislative intent). In relevant part, subsection (g)(3)
    - 15 -
    requires proof by a preponderance of the evidence that “the petitioner is innocent
    of the offenses charged in the indictment or information.” 735 ILCS 5/2-702(g)(3)
    (West 2018). We agree with petitioner that, because the word “offenses” is
    modified by the phrase “charged in the indictment or information,” the legislature
    intended that a petitioner establish his or her innocence of the offense on the factual
    basis charged in the indictment or information. This construction is also consistent
    with the legislature’s express goal of providing those individuals who are
    wrongfully convicted with “an available avenue to obtain a finding of innocence so
    that they may obtain relief through a petition in the Court of Claims.” 
    Id.
     § 2-702(a).
    ¶ 65       In contrast, the State’s interpretation of subsection (g)(3) would defeat the
    legislative purpose of section 2-702 by effectively imposing a technical legal
    obstacle on a petitioner seeking relief from a wrongful conviction. The State
    maintains that under subsection (g)(3) it may assert for the first time that petitioner
    was guilty of first degree murder as an accomplice to an unidentified third party.
    ¶ 66       We disagree. It is undisputed that this theory of petitioner’s guilt was never
    charged or presented to the trier of fact in the underlying criminal proceedings. To
    the contrary, the State argued at petitioner’s jury trial that petitioner alone beat the
    victim to death with the hammer. The State’s key trial witness, Ray Taylor, claimed
    that petitioner admitted to beating the victim to death. Taylor did not indicate that
    any other individual was involved in the victim’s murder.
    ¶ 67       Because of the State’s chosen strategy at petitioner’s jury trial, there is no
    evidence or argument from either party on whether petitioner acted as an
    accomplice when the victim was murdered. In other words, the record is devoid of
    any meaningful evidence or argument to assist a reviewing court in deciding
    whether first degree murder as an accomplice has been disproven by petitioner in
    this case. See id. § 2-702(f) (during a hearing on the petition for a certificate of
    innocence, the reviewing court is permitted to take judicial notice of prior sworn
    testimony or evidence admitted in the underlying criminal proceedings that resulted
    in the alleged wrongful conviction). As petitioner argues, he cannot be expected to
    have access to the evidence necessary to disprove a theory of guilt that was never
    charged or presented during the original criminal proceedings.
    ¶ 68      Put simply, it is unreasonable to conclude that the legislature intended
    subsection (g)(3) to require a petitioner to prove his innocence of a novel theory of
    - 16 -
    guilt that was never charged or presented to the trier of fact. In fact, the legislature
    plainly stated its intent to ameliorate, not impose, technical and substantive
    obstacles to petitioners seeking relief from a wrongful conviction. Id. § 2-702(a).
    The legislature also instructed a court reviewing a petition for a certificate of
    innocence to give “due consideration to difficulties of proof” caused by the passage
    of time, unavailability of witnesses, the destruction of evidence, or other factors not
    caused by the petitioner. Id. The State’s position contradicts both of those
    legislative directives. Necessarily, then, we reject the State’s interpretation of
    subsection (g)(3). See Bradford, 
    2016 IL 118674
    , ¶ 15 (when construing a statute,
    a reviewing court may consider the consequences of interpreting a statute one way
    or another).
    ¶ 69       The State also cites our decision in Ceja, 
    204 Ill. 2d 332
    , to support its position.
    In Ceja, this court recognized that it is permissible to charge a criminal defendant
    as a principal even though the proof is that the defendant was only an accomplice
    because “accountability is not a separate offense, but merely an alternative manner
    of proving a defendant guilty of the substantive offense.” 
    Id. at 361
    .
    ¶ 70       The State’s reliance on Ceja is misplaced for several reasons. First, Ceja was a
    direct appeal from a criminal conviction, and the statements relied on by the State
    were made in the context of our analysis of the defendant’s argument on jury
    instructions. 
    Id. at 360
    . Second, we explained in Ceja that “[a] defendant charged
    as a principal can be convicted on a theory of accountability if supported by the
    evidence.” (Emphasis added.) 
    Id. at 361
    . Third, while the indictment in Ceja
    charged the defendant as a principal, “the State prosecuted defendant under a theory
    of accountability” during the criminal trial. 
    Id.
    ¶ 71       In stark contrast to Ceja, the State in this case did not present any evidence or
    argument at petitioner’s criminal trial on an accountability theory. The State also
    declined to recharge or retry petitioner as an accomplice to murder after his
    conviction was reversed and vacated. Instead, the State is advancing its
    accountability argument for the first time in petitioner’s attempt to obtain a
    certificate of innocence. Ceja does not support that argument.
    ¶ 72       In summary, we hold that subsection (g)(3) requires a petitioner to prove by a
    preponderance of the evidence his or her innocence of the offense as it was charged
    in the indictment or information that resulted in the wrongful criminal conviction.
    - 17 -
    Here, defendant was charged with five counts of first degree murder. Each of those
    counts alleged, in relevant part, that petitioner repeatedly struck the victim on the
    head and caused the victim’s death. The jury convicted petitioner of first degree
    murder. The circuit court sentenced petitioner to natural life imprisonment on count
    I, alleging petitioner “without lawful justification and with the intent to kill or do
    great bodily harm to [the victim], repeatedly struck [the victim] on the head, thereby
    causing the death of [the victim].” Those allegations, as charged and prosecuted in
    petitioner’s criminal trial, are the proper focus of subsection (g)(3).
    ¶ 73       The State does not contest petitioner’s substantive argument that the new
    forensic DNA evidence demonstrates that petitioner did not repeatedly strike the
    victim on the head, as petitioner was originally charged and convicted. Thus, the
    State implicitly concedes that, if this court accepts petitioner’s interpretation of
    subsection (g)(3), petitioner has satisfied that provision. The parties also agree that
    petitioner has satisfied the remaining requirements for obtaining a certificate of
    innocence. For purposes of this controversy, that ends our inquiry. Petitioner is
    entitled to a certificate of innocence because he has satisfied all four statutory
    prerequisites. 735 ILCS 5/2-702(g)(1)-(4) (West 2018).
    ¶ 74       Although we have determined that petitioner is entitled to a certificate of
    innocence on that basis, we choose to address the parties’ arguments on the doctrine
    of judicial estoppel to provide guidance to the circuit court in future proceedings
    under section 2-702. This court has stated that “the uniformly recognized purpose
    of the doctrine is to protect the integrity of the judicial process by prohibiting parties
    from ‘deliberately changing positions’ according to the exigencies of the moment.”
    (Internal quotation marks omitted.) Seymour v. Collins, 
    2015 IL 118432
    , ¶ 36.
    Generally, judicial estoppel applies when the party to be estopped has (1) taken two
    positions (2) that are factually inconsistent (3) in separate judicial or quasi-judicial
    administrative proceedings, (4) intending for the trier of fact to accept the truth of
    the facts alleged and (5) having succeeded in the first proceeding and received some
    benefit from it. People v. Caballero, 
    206 Ill. 2d 65
    , 80 (2002). We review a court’s
    decision on whether to apply the doctrine of judicial estoppel for an abuse of
    discretion. Seymour, 
    2015 IL 118432
    , ¶ 48.
    ¶ 75       The State concedes that the five requisite factors for applying judicial estoppel
    are present in this case. Nonetheless, the State contends that estoppel should not
    - 18 -
    apply here because this court has held that, when “the discovery of new facts
    justifies a change in position, and there is no indication of bad faith, judicial
    estoppel does not apply.” People v. Runge, 
    234 Ill. 2d 68
    , 133 (2009). The State
    argues that “the inconsistent positions [taken by the State on petitioner’s guilt]
    represented an honest change of position based on new DNA evidence, which was
    unavailable in the earlier criminal proceeding.”
    ¶ 76       In our view, it is inaccurate to claim that the forensic DNA evidence obtained
    by petitioner is new evidence for purposes of judicial estoppel. To the contrary, that
    evidence was collected from under the victim’s fingernails and from the bags that
    covered his hands during the murder investigation and was available at the time of
    petitioner’s criminal trial. Although the State chose not to test that evidence for use
    at petitioner’s trial, that does not render the evidence new for purposes of judicial
    estoppel.
    ¶ 77        More critically, the forensic analysis of that evidence excludes petitioner as the
    principal offender in the victim’s murder, directly contradicting the State’s original
    theory of petitioner’s guilt. The State cannot now change course in a subsequent
    proceeding and assert the exact opposite of what it asserted at petitioner’s criminal
    trial. As we have explained, “[j]udicial estoppel applies in a judicial proceeding
    when litigants take a position, benefit from that position, and then seek to take a
    contrary position in a later proceeding.” Seymour, 
    2015 IL 118432
    , ¶ 36. That is
    precisely what occurred in this case, and judicial estoppel forecloses the State’s
    changed position. The lower courts abused their discretion by rejecting petitioner’s
    argument on judicial estoppel.
    ¶ 78       Because we have determined that petitioner is required to establish his
    innocence of the offense only as it was charged and prosecuted in his criminal trial
    under subsection (g)(3), we do not address petitioner’s remaining claim that his due
    process rights were violated by the lower courts’ broader construction of subsection
    (g)(3). It is settled that a court will not address constitutional issues when a case
    can be decided on another basis. People v. Austin, 
    2019 IL 123910
    , ¶ 27.
    - 19 -
    ¶ 79                                    III. CONCLUSION
    ¶ 80       For these reasons, we conclude that petitioner is entitled to a certificate of
    innocence under section 2-702 of Code (735 ILCS 5/2-702 (West 2018)). We
    reverse the judgments of the circuit court and the appellate court reaching the
    opposite conclusion, and we remand to the circuit court with directions to enter an
    order granting his petition for certificate of innocence.
    ¶ 81      Reversed and remanded with directions.
    ¶ 82      JUSTICE MICHAEL J. BURKE, specially concurring:
    ¶ 83       I join the majority’s holding that judicial estoppel bars the State from
    introducing its accountability theory of guilt in petitioner’s certificate of innocence
    proceeding. I also join the majority in reversing the judgments of the circuit court
    and the appellate court and remanding the cause to the circuit court with directions
    to issue petitioner a certificate of innocence.
    ¶ 84       However, I cannot endorse the majority’s interpretation of section 2-702(g)(3)
    of the Code of Civil Procedure (735 ILCS 5/2-702(g)(3) (West 2018)) because it
    departs from the plain and ordinary meaning of the unambiguous statutory language
    and incorporates extrinsic matters from petitioner’s criminal trial, including the
    State’s initial theory of guilt and the evidence presented to the jury. The majority
    tailors its interpretation to account for the State pivoting from one theory of guilt to
    another. But by defining section 2-702(g)(3) in terms of what occurred at
    petitioner’s trial, the majority contravenes our well-settled rules of statutory
    construction. See Gaffney v. Board of Trustees of the Orland Fire Protection
    District, 
    2012 IL 110012
    , ¶ 56. This unwarranted interpretation is also unnecessary,
    because judicial estoppel is suited to prevent the State from deliberately changing
    positions in certificate of innocence proceedings. Respectfully, I specially concur.
    ¶ 85                                  A. Section 2-702(g)(3)
    ¶ 86       To win a certificate of innocence, a petitioner must prove, by a preponderance
    of the evidence, the four propositions of section 2-702(g), including that “[(1)] the
    - 20 -
    petitioner is innocent of the offenses charged in the indictment or information or
    [(2)] his or her acts or omissions charged in the indictment or information did not
    constitute a felony or misdemeanor against the State.” 735 ILCS 5/2-702(g)(3)
    (West 2018).
    ¶ 87       Petitioner argues he proved the first proposition of subsection (g)(3), in that he
    is innocent of “the offenses charged in the indictment or information.” 
    Id.
    Petitioner’s conviction of first degree murder is based on count I of the information,
    which alleged that petitioner “without lawful justification and with the intent to kill
    or do great bodily harm to [the victim], repeatedly struck [the victim] on the head,
    thereby causing the death of [the victim].”
    ¶ 88       Petitioner argues the phrase “the offenses charged in the indictment or
    information” in subsection (g)(3) means the acts constituting the offense as alleged
    in the information: in this case, the act of personally striking the victim in the head
    and, as argued at trial, doing so with a hammer. The State argues it means “first
    degree murder,” regardless of whether petitioner committed the offense as the
    principal or as an accomplice.
    ¶ 89       From these two positions, the majority distorts the issue by framing it as
    whether subsection (g)(3) “require[s] a petitioner seeking a certificate of innocence
    to prove that he or she was innocent of the offense only as it was originally charged
    or innocent of every conceivable theory of criminal liability for that offense.”
    (Emphasis added.) Supra ¶ 1. The State did not raise “every conceivable theory of
    criminal liability” when it challenged the petition below and does not claim
    statutory authority to do so in future proceedings. The issue presented is limited to
    the State’s alternative theory of accountability.
    ¶ 90       By overstating the State’s position, the majority displays a reasonable concern
    about the State grasping at alternative theories of guilt to defeat a certificate of
    innocence petition, but that concern has clouded what should be a straightforward
    interpretation of section 2-702(g)(3). This court need not resort to an erroneous
    reading of the statute to prevent the State from deliberately changing positions to
    meet the exigencies of the moment, because the doctrine of judicial estoppel is
    suited to prevent the State from raising “every conceivable theory of guilt” to defeat
    a certificate of innocence petition.
    - 21 -
    ¶ 91       The majority adopts petitioner’s interpretation of the phrase “the offenses
    charged in the indictment or information” (735 ILCS 5/2-702(g)(3) (West 2018))
    as meaning the acts constituting the offenses as alleged in the indictment or
    information. I respectfully disagree with this statutory construction.
    ¶ 92       The State correctly concludes that the phrase means the title of the offense, in
    this case “first degree murder,” regardless of whether the defendant committed the
    offense as a principal or as an accomplice. The State’s interpretation is consistent
    with the plain and ordinary meaning of section 2-702, the principle that
    accountability is not a separate offense but merely an alternative manner of proving
    a defendant guilty of the substantive offense, and the goal of avoiding the absurd
    result of awarding a certificate of innocence to an accomplice who is just as
    blameworthy as the principal perpetrator of the crime.
    ¶ 93                         1. “Offenses” and “Acts or Omissions”
    ¶ 94       Section 2-702(g) must be afforded its plain, ordinary, and popularly understood
    meaning (People v. Hammond, 
    2011 IL 110044
    , ¶ 53), and “[i]t is well-settled that
    when the legislature uses certain language in one instance of a statute and different
    language in another part, we assume different meanings were intended” (People v.
    Goossens, 
    2015 IL 118347
    , ¶ 12). The statute itself differentiates the offense from
    the means of committing the offense.
    ¶ 95       A petitioner must prove one of two alternative propositions to satisfy section 2-
    702(g)(3): “the petitioner is innocent of the offenses charged in the indictment or
    information” or “his or her acts or omissions charged in the indictment or
    information did not constitute a felony or misdemeanor against the State.”
    (Emphases added.) 735 ILCS 5/2-702(g)(3) (West 2018). If the General Assembly
    had intended “the offenses charged in the indictment or information” to mean the
    acts constituting the offense as alleged in the charging instrument, the first and
    second propositions of subsection (g)(3) would contain the same words. One would
    expect both propositions to refer to the “acts or omissions charged in the indictment
    or information.” Instead, the General Assembly recognized the difference between
    “offenses” and “acts or omissions” and drafted the two alternative propositions of
    section 2-702(g)(3) accordingly.
    - 22 -
    ¶ 96       The majority disregards the acts-or-omissions proposition of subsection (g)(3),
    stripping the term “offenses” of context. Further, the majority does not explain why
    the General Assembly would use different terms—“offenses” and “acts or
    omissions”—in the same sentence to describe the same text of the charging
    instrument. By using certain language in one instance of subsection (g)(3) and
    different language in another part, we assume different meanings were intended.
    Goossens, 
    2015 IL 118347
    , ¶ 12. Petitioner offers no argument to overcome the
    assumption.
    ¶ 97       The majority relies on subsection (d), which concerns the contents of a petition.
    Like subsection (g)(3), it contains the phrase “the offenses charged in the
    indictment or information.” 735 ILCS 5/2-702(d) (West 2018). Petitioner argues
    that the repetition of the modifying phrase “charged in the indictment or
    information” in subsections (g)(3) and (d) indicates a legislative intent to require a
    petitioner to prove his or her innocence only of those acts alleged in the charging
    document. Supra ¶ 60.
    ¶ 98      In fact, subsection (d) undermines that position, because it mirrors the two
    propositions of subsection (g)(3). Subsection (d) provides,
    “[t]he petition shall state facts in sufficient detail to permit the court to find that
    the petitioner is likely to succeed at trial in proving that the petitioner is innocent
    of the offenses charged in the indictment or information or his or her acts or
    omissions charged in the indictment or information did not constitute a felony
    or misdemeanor against the State of Illinois.” (Emphases added.) 735 ILCS 5/2-
    702(d) (West 2018).
    The repetition of the two distinct phrases reinforces my conclusion that the General
    Assembly did not intend to use “offenses” and “acts or omissions” interchangeably
    in section 2-702. I respectfully conclude that the General Assembly’s deliberate use
    of different terms in the same sentence indicates that “offenses” does not mean
    “acts or omissions.”
    - 23 -
    ¶ 99                                2. Petitioner’s Criminal Trial
    ¶ 100       Petitioner argues “offenses” means the acts constituting the offense as alleged
    in the information, but the majority goes a step further, holding “[t]hose allegations,
    as charged and prosecuted in petitioner’s criminal trial, are the proper focus of
    subsection (g)(3).” (Emphasis added.) Supra ¶ 72. “We will not depart from the
    plain statutory language by reading into it exceptions, limitations, or conditions that
    conflict with the expressed intent of the legislature.” Gaffney, 
    2012 IL 110012
    , ¶ 56.
    Further, we will not use extrinsic aids of statutory interpretation unless the statutory
    language is unclear or ambiguous. 
    Id.
    ¶ 101       The majority correctly concludes that the statutory language is unambiguous.
    Yet the majority emphasizes that “[i]t is undisputed that this [accountability] theory
    of petitioner’s guilt was never charged or presented to the trier of fact in the
    underlying criminal proceedings” and “the record is devoid of any meaningful
    evidence or argument to assist a reviewing court in deciding whether first degree
    murder as an accomplice has been disproven by petitioner in this case.” Supra
    ¶¶ 66-67. These points are germane to judicial estoppel and to the ultimate
    determination of whether petitioner proved his innocence by a preponderance of
    the evidence (see 735 ILCS 5/2-702(f) (West 2018) (permitting judicial notice of
    the underlying criminal proceeding)), but not to ascertaining the meaning of
    “offenses” as that term is used in section 2-702(g)(3). Extrinsic matters such as the
    State’s initial theory of guilt and the evidence presented in the criminal trial have
    no bearing on the meaning of the statute’s unambiguous language.
    ¶ 102                       3. Accountability Is Not a Separate Offense
    ¶ 103       Furthermore, committing murder by personally beating the victim is not a
    different offense from doing so by aiding and abetting someone else’s act of
    beating. Illinois courts have long held there is no requirement that a defendant be
    charged with a crime in the language of accountability. See e.g., People v. Ruscitti,
    
    27 Ill. 2d 545
    , 546-47 (1963) (the conviction did not deny the defendant due process
    when he was indicted as a principal, while the evidence showed he was an
    accomplice). An indictment against an accomplice need not “describe the
    circumstances as they actually occurred,” and an indictment is sufficient if the
    accomplice is charged with “the legal effect of the acts performed by him.” 
    Id.
     A
    - 24 -
    defendant may be charged as a principal even though the evidence proves the
    defendant was only an accomplice because accountability is not a separate offense
    but merely an alternative manner of proving a defendant guilty of the substantive
    offense. People v. Ceja, 
    204 Ill. 2d 332
    , 361 (2003).
    ¶ 104       The majority concludes Ceja does not support the State’s interpretation of
    section 2-702(g)(3) because (1) Ceja was a direct appeal involving jury
    instructions, while this is a separate action for a certificate of innocence; (2) Ceja
    held a defendant may be charged as a principal and convicted as an accomplice “if
    supported by the evidence” (id.), while no evidence of accountability was presented
    at petitioner’s trial; (3) the State prosecuted Ceja under a theory of accountability,
    while the State introduced its accountability theory for the first time in the
    certificate of innocence proceedings; and (4) the State declined to retry petitioner
    as an accomplice. The distinctions the majority draws between Ceja and this case
    are based on the State changing its position in this certificate of innocence
    proceeding. These points relate more to judicial estoppel and to whether petitioner
    sustained his burden of proof than to the plain and ordinary meaning of section 2-
    702(g)(3).
    ¶ 105       Ceja holds that a defendant may be charged as a principal even though the
    evidence proves he was an accomplice, but the majority holds that a petitioner
    satisfies section 2-702(g)(3) by proving his innocence of committing the offense
    only as it was charged. The majority decision may be read as requiring the State to
    now charge a defendant as an accomplice to preserve an accountability theory in
    the event the defendant subsequently initiates proceedings under section 2-702.
    ¶ 106                                    4. Absurd Results
    ¶ 107       Finally, it would be absurd and unjust to interpret section 2-702(g)(3) to award
    a certificate of innocence to someone who, though exonerated of being the principal
    in a murder, cannot prove by a preponderance of the evidence that he or she was
    innocent of being an accomplice to the murder. The majority’s interpretation
    entitles a suspected lookout, for example, to compensation (see 705 ILCS 505/8(c),
    11(b) (West 2018)) and benefits (see 20 ILCS 1015/2 (West 2018)) to which a
    certificate of innocence would entitle its holder. Such a result is not “consistent
    with the legislature’s express goal of providing those individuals who are
    - 25 -
    wrongfully convicted with ‘an available avenue to obtain a finding of innocence so
    that they may obtain relief through a petition in the Court of Claims.’ ” Supra ¶ 64
    (quoting 735 ILCS 5/2-702(a) (West 2018)). The General Assembly did not intend
    to reward an accomplice for obtaining an acquittal as a principal; the law views an
    accomplice as just as blameworthy as the principal perpetrator of the crime.
    ¶ 108       I respectfully disagree with the majority’s conclusion that the State’s
    interpretation would “defeat the legislative purpose of section 2-702 by effectively
    imposing a technical legal obstacle on a petitioner seeking relief from a wrongful
    conviction.” Supra ¶ 65. The State’s interpretation has limited effect, because no
    obstacle exists where the State does not argue accountability and the evidence often
    will not support the theory. Moreover, when the State advocates an accountability
    theory that was not presented at trial, the petitioner may argue the State is judicially
    estopped from introducing the novel theory.
    ¶ 109       I conclude the appellate court soundly interpreted section 2-702(g)(3). In a
    certificate of innocence proceeding where the petitioner claims he is “innocent of
    the offenses charged in the indictment or information,” the State may hold the
    petitioner to his statutory burden to prove, by a preponderance of the evidence, that
    he was neither a principal nor an accomplice in the commission of the charged
    offenses.
    ¶ 110                                    B. Judicial Estoppel
    ¶ 111       The majority addresses judicial estoppel to provide guidance in future
    proceedings under section 2-702, but I conclude the analysis is necessary to resolve
    the appeal. Judicial estoppel is an equitable doctrine invoked by the court at its
    discretion. New Hampshire v. Maine, 
    532 U.S. 742
    , 750 (2001); People v. Runge,
    
    234 Ill. 2d 68
    , 132 (2009). It is rooted in the principle that, “ ‘[w]here a party
    assumes a certain position in a legal proceeding, and succeeds in maintaining that
    position, he may not thereafter, simply because his interests have changed, assume
    a contrary position, especially if it be to the prejudice of the party who has
    acquiesced in the position formerly taken by him.’ ” New Hampshire, 
    532 U.S. at 749
     (quoting Davis v. Wakelee, 
    156 U.S. 680
    , 689 (1895)). “[T]he uniformly
    recognized purpose of the doctrine is to protect the integrity of the judicial process
    by prohibiting parties from ‘deliberately changing positions’ according to the
    - 26 -
    exigencies of the moment.” Seymour v. Collins, 
    2015 IL 118432
    , ¶ 36 (quoting New
    Hampshire, 
    532 U.S. at 749-50
    ).
    ¶ 112       Judicial estoppel generally applies when the party to be estopped (1) has taken
    two positions (2) that are factually inconsistent, (3) in separate judicial or quasi-
    judicial administrative proceedings, (4) intending for the trier of fact to accept the
    truth of the facts alleged, and (5) has succeeded in the first proceeding and received
    some benefit from it. People v. Caballero, 
    206 Ill. 2d 65
    , 80 (2002). The existence
    of the five factors does not always require application of judicial estoppel. Seymour,
    
    2015 IL 118432
    , ¶ 47. A court may consider additional factors, such as the intent
    to deceive or mislead, inadvertence or mistake in taking the contrary positions, and
    the significance or impact of the party’s action in the first proceeding. 
    Id.
     (citing
    New Hampshire, 
    532 U.S. at 753
    ). Judicial estoppel, like all estoppels, must be
    proved by clear and convincing evidence, which accounts for a degree of caution
    with which the doctrine should be considered and applied. Id. ¶ 39. The decision
    on whether to apply judicial estoppel is reviewed for an abuse of discretion. Id.
    ¶ 48.
    ¶ 113       The State concedes the existence of the five factors for applying judicial
    estoppel, stating “one cannot be both an accessory and a principal in the
    commission of a murder, so the State’s respective positions in the criminal trial and
    in the proceeding for a [certificate of innocence] are factually inconsistent. And the
    State did prevail at the criminal trial on the first position.”
    ¶ 114       Despite its concession, the State argues judicial estoppel is an “extraordinary”
    measure that must be “applied with caution to avoid impinging on the truth-seeking
    function of the court.” The State contends its change in position is justified by the
    discovery of “new facts” where, as here, there is no indication of bad faith. The
    State concludes “the inconsistent positions represented an honest change of position
    based on new DNA evidence, which was unavailable in the earlier, criminal
    proceeding.”
    ¶ 115       In Runge, we articulated the reason for relaxing the application of judicial
    estoppel when a party changes its position based on newly discovered evidence.
    Runge cited State v. Pendleton, 
    706 N.W.2d 500
     (Minn. 2005), for the proposition
    that “the justification for the application of judicial estoppel is at best uncertain
    where a party changes its position after the previous proceedings due to the
    - 27 -
    discovery of new evidence, as parties who change their theories after they discover
    new evidence bearing upon the issue are not acting in bad faith.” Runge, 
    234 Ill. 2d at
    133 (citing Pendleton, 706 N.W.2d at 508). “It seems self-evident that a party’s
    position cannot be deemed ‘factually inconsistent’ with a former stance if new facts
    provide an objective justification for a different position.” Id. Allowing a party to
    change positions based on the discovery of new evidence is consistent with the
    court’s truth-finding role. Id. In such a situation, that party is not playing “fast and
    loose” with the court, the kind of conduct the doctrine is intended to address. Id.
    ¶ 116       The majority correctly rejects the State’s characterization of the DNA evidence
    as “new evidence.” Here, the police collected DNA from under the victim’s
    fingernails and on the bags that covered his hands. The DNA was collected during
    the murder investigation and was available for testing at the time of petitioner’s
    criminal trial. Petitioner does not allege that the State acted in bad faith, but the
    State’s decision not to test the DNA for use at trial stands in stark contrast with the
    way the State treated petitioner’s shoes.
    ¶ 117       Jennifer Lu, the State’s forensic scientist, testified that she did not test the
    fingernail scrapings but she examined the shoes twice. The first examination of the
    shoes disclosed several reddish-brown stains, but they tested negative for blood.
    The second examination was prompted by the Decatur Police Department, which
    asked Lu to “tear the shoes apart and examine them for blood.” Under a piece of
    mesh, Lu discovered three stains that tested positive for human blood and matched
    the victim’s DNA. Lu described her first examination of the shoes as “thorough”
    and explained that the second examination was “not usual procedure.”
    ¶ 118        In contrast to petitioner’s shoes, the exculpatory DNA was not tested before
    trial despite the State’s awareness of its existence. The only thing “new” about this
    evidence was the postconviction testing, which the State opposed. I agree with the
    majority that, under the unique facts of this case, the DNA testing does not render
    the evidence “new” for purposes of relaxing judicial estoppel.
    ¶ 119       Moreover, applying judicial estoppel in this case does not impinge on the truth-
    seeking function of the court. The postconviction DNA testing excluded petitioner
    as the principal offender, directly contradicting the State’s trial theory. The DNA
    evidence also failed to support a theory that he is guilty as an accomplice. By
    contrast, the prosecution’s change in position in Pendleton was justified by “new
    - 28 -
    and significant direct evidence [that] came to light identifying [the defendant] as
    the individual who actually fired the fatal shot that killed [the victim].” Pendleton,
    706 N.W.2d at 508. Here, the DNA evidence has no bearing on accountability,
    except to the extent that it excludes petitioner as the principal offender.
    ¶ 120       I further note that the application of estoppel principles in criminal proceedings
    is not without precedent. The appellate court has held the State may be judicially
    estopped in a subsequent proceeding from taking a contrary position regarding
    chemical testing. In People v. Wisbrock, 
    223 Ill. App. 3d 173
    , 174 (1991), a
    motorist arrested for driving under the influence (DUI) attempted to take a breath
    test, but the test apparatus issued a result reading “ ‘.11 deficient sample.’ ” The
    motorist’s driving privileges were suspended based on the State’s position that his
    failure to provide a sufficient sample was equivalent to a refusal to submit to the
    test. The State subsequently attempted to introduce the test result in the criminal
    prosecution for DUI. 
    Id.
     The Wisbrock court held the State was judicially estopped
    from doing so, reasoning as follows:
    “In the instant case, the State initially took the position that the defendant
    had refused to take the breathalyzer test. On that basis, the Secretary of State
    summarily suspended his driver’s license. It then took an inconsistent position
    in the DUI proceeding by attempting to use the result of the test to help convict
    the defendant. Under these circumstances, we find that the State was judicially
    estopped from using the breathalyzer result in the DUI trial.” Id. at 175.
    Furthermore, a defendant who claims actual innocence in a successive
    postconviction petition based on “newly discovered” material must present “ ‘new
    reliable evidence—whether it be exculpatory scientific evidence, trustworthy
    eyewitness accounts, or critical physical evidence—that was not presented at
    trial.’ ” People v. Edwards, 
    2012 IL 111711
    , ¶ 32 (quoting Schlup v. Delo, 
    513 U.S. 298
    , 324 (1995)). “Newly discovered evidence” in the postconviction context is
    “ ‘evidence that was unavailable at trial and could not have been discovered sooner
    through due diligence.’ ” Id. ¶ 34 (quoting People v. Harris, 
    206 Ill. 2d 293
    , 301
    (2002)). It would be incongruous to impose a due-diligence requirement on
    postconviction petitioners claiming actual innocence based on new exculpatory
    evidence, while allowing the State to change positions in this certificate of
    - 29 -
    innocence proceeding because the State decided not to test the exculpatory DNA
    before trial.
    ¶ 121       I agree with the majority that the State’s novel accountability theory in the
    certificate of innocence proceedings was a deliberate change in position to meet the
    exigencies of the moment; it was not based on an honest change of position based
    on newly discovered evidence that tended to prove the accountability theory. The
    State may not benefit from its position at trial that petitioner acted as the principal
    offender and then take a contrary position in the certificate of innocence
    proceeding, causing significant prejudice to petitioner. Seymour, 
    2015 IL 118432
    ,
    ¶ 47. Where the State introduces accountability as a new theory of guilt in
    certificate of innocence proceedings, a defendant may invoke judicial estoppel, and
    the circuit court may exercise its discretion in applying the doctrine. Under the
    circumstances here, the decision not to apply judicial estoppel was an abuse of
    discretion.
    ¶ 122      JUSTICES GARMAN and OVERSTREET join in this special concurrence.
    - 30 -
    

Document Info

Docket Number: 125621

Citation Numbers: 2021 IL 125621

Filed Date: 4/15/2021

Precedential Status: Precedential

Modified Date: 4/15/2021