State of Iowa v. Roland Ricardo Anderson ( 2016 )


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  •                     IN THE COURT OF APPEALS OF IOWA
    No. 15-1180
    Filed September 28, 2016
    STATE OF IOWA,
    Plaintiff-Appellee,
    vs.
    ROLAND RICARDO ANDERSON,
    Defendant-Appellant.
    ________________________________________________________________
    Appeal from the Iowa District Court for Black Hawk County, Bradley J.
    Harris, Judge.
    The defendant appeals from his convictions for attempted murder, willful
    injury causing bodily injury, intimidation with a dangerous weapon, going armed
    with intent, and possessing a firearm as a felon. AFFIRMED.
    Mark C. Smith, State Appellate Defender, and Melinda J. Nye, Assistant
    Appellate Defender, for appellant.
    Thomas J. Miller, Attorney General, and Louis S. Sloven, Assistant
    Attorney General, for appellee.
    Considered by Vogel, P.J., McDonald, J., and Blane, S.J.*
    *Senior judge assigned by order pursuant to Iowa Code section 602.9206 (2015).
    2
    BLANE, Senior Judge.
    Following a jury trial and guilty verdict, Roland Ricardo Anderson filed a
    motion to dismiss asserting a violation of the one-year speedy-trial requirement in
    Iowa Rule of Criminal Procedure 2.33(2)(c).       After a hearing, the trial court
    denied the motion.     Following sentencing, Anderson filed a timely notice of
    appeal. On direct appeal, he argues: (1) the trial court erred in denying his
    motion to dismiss for violation of his one-year speedy-trial rights; (2) his defense
    counsel was ineffective for failing to object to a number of jury instructions and
    verdict forms; and (3) at sentencing, the court impermissibly referenced the
    ongoing gun-control debate before announcing its decision to impose
    consecutive sentences.
    I. Procedural Background.
    The State filed a trial information on August 30, 2012, charging Anderson
    with attempted murder, willful injury causing bodily injury, intimidation with a
    dangerous weapon, going armed with intent, and possessing a firearm as a
    felon. Anderson was arraigned on September 13. Trial was originally set for
    November 6.
    On October 23, defense counsel moved for a continuance, asking for time
    to “finalize discovery and identify issues,” as well as moving to stay the
    proceedings pending a competency evaluation of Anderson. On November 6,
    the trial court entered an order granting the defendant’s motion and staying the
    proceedings while competency was being assessed. On November 30, the court
    ordered a psychiatric examination at defense counsel’s request.                The
    competency hearing was continued numerous times. When it was finally held on
    3
    February 15, 2013, defense counsel withdrew the motion for a competency
    hearing because the examining expert had concluded that Anderson was
    “competent to stand trial.” By order on February 19, the court lifted the stay and
    trial was set for February 26.
    On February 20, Anderson’s counsel moved for a trial continuance, noting,
    “The Defendant has waived speedy trial.” On the same day, Anderson filed a
    signed waiver of the ninety-day speedy-trial right in rule 2.33(2)(b). The court
    granted the motion, and trial was rescheduled for April 2. On March 28, defense
    counsel filed another motion to continue. Again, the motion was granted. Trial
    was rescheduled for April 23.     The order granting the motion noted that the
    defendant had waived speedy trial.
    On April 22, defense counsel requested a continuance and listed the
    reason as “expert still preparing.” That request was granted. On May 24, the
    parties jointly requested a continuance to pursue plea negotiations. Trial was
    reset for July 23. On July 19, the trial was continued again at the defense’s
    request, listing “schedule expert” as the reason for delay. Trial was reset for July
    30. On July 26, again at Anderson’s request, the court granted a continuance
    and rescheduled the trial for August 20.
    On August 1, defense counsel filed a second motion for psychiatric
    evaluation. A hearing was held and the State resisted the application for further
    psychiatric examination. On August 22, the court granted the defense’s motion,
    entered a stay, and ordered another evaluation to determine Anderson’s
    competency to stand trial.
    4
    At the State’s request, the court set a probable-cause-to-show-
    competency hearing for April 18, 2014.           Just prior to the April 18 hearing,
    defense counsel withdrew the motion for a determination of competency. On
    April 21, the court lifted the stay and set trial for June 24.
    On May 30, after a pretrial conference, the court entered an order stating,
    “The court is advised that the trial date of June 24, 2014 is no longer
    appropriate.” Counsel were directed to contact court administration to set a new
    trial date. An order was then entered on June 30, stating that “[p]er the order of
    May 30, 2014, this case is reset for trial on October 28, 2014.” A court order on
    October 7 affirmed this trial date.
    On October 24, defense counsel filed a motion to continue because he
    would be “undergoing knee surgery on October 30, 2014” and would be
    “unavailable for two weeks.” That motion included this statement: “3. The
    Defendant has filed his Waiver of Speedy Trial (One Year Rule) for this case.”
    The trial court granted the defendant’s motion to continue and rescheduled the
    trial for December 9.     The State then filed its only motion for a continuance
    because of the prosecutor’s conflict with another felony case that had been
    pending trial for over thirty months. The court granted the State’s motion and the
    trial was reset for and commenced on February 10, 2015. On February 17, the
    jury convicted Anderson of the charges.
    On April 10, Anderson filed a motion to dismiss, asserting the State’s
    failure to bring him to trial within one year required dismissal, pursuant to Iowa
    Rule of Criminal Procedure 2.33(2)(c). At the hearing, the State orally resisted
    5
    the motion but did not challenge its timeliness. In a written ruling, the district
    court denied Anderson’s motion, stating:
    The court hereby determines that the defendant waived his
    right to trial within 1 year by both a succession of motions for
    continuance and by erroneously advising the court that the
    defendant had waived his right to speedy trial within 1 year in the
    Motion to Continue filed on October 24, 2014. Trial in this matter
    was continued on five occasions prior to the final determination that
    the defendant was competent to stand trial. Four of those
    continuances were granted following defendant’s Motion to
    Continue. The fifth continuance was granted following a joint
    motion of the parties for a continuance.
    Following the defendant finally being found competent to
    stand trial, several trial dates were provided to the parties. Either
    defendant’s expert or defendant’s counsel were unavailable for the
    first four of those dates provided. Trial was therefore set upon the
    fifth such date.       That trial date was again continued upon
    defendant’s request. Defendant’s actions in this matter constitute a
    waiver of his right to speedy trial pursuant to Rule 2.33(2)(c).
    The court further finds that delay in this matter should be
    attributable to the defendant. All continuances with the exception of
    one were at the request of the defendant. At no time did defendant
    request additional trial dates. All continuances requested by the
    defendant were for good cause. The State has carried its burden of
    proving all exceptions to the 1-year speedy trial deadline set forth in
    Rule 2.33(2)(c). Defendant’s motion should therefore be denied.
    II. Preservation of “Speedy Trial” Issue.1
    On April 10, 2015, after the conclusion of his trial, Anderson filed his
    motion to dismiss raising the one-year speedy-trial issue. At the hearing on the
    motion, the assistant county attorney stated:
    I’m not going to stand here and suggest that the one-year speedy
    trial requirement and the ability to file for a dismissal is waived if not
    raised before trial. There are some old cases that would suggest
    that, but I think that’s probably inconsistent with the ruling of the
    1
    Anderson asserts that if this issue was not timely raised and therefore not properly
    preserved for appeal, he requests this court address it on appeal as an ineffective-
    assistance-of-counsel claim. Because we find the issue may be addressed directly, we
    find no need to address it as such.
    6
    new cases. But nobody had brought this up as an issue until the
    day of the first attempt at sentencing.[2]
    The Iowa Supreme Court addressed the timing of a motion to dismiss based
    upon speedy-trial violation in Paulsen, stating, “We have said that a defendant
    can waive his right to a speedy trial if he raises the issue after a verdict has been
    returned unless he is unrepresented by counsel and not admitted to bail during
    the course of the 
    proceedings.” 265 N.W.2d at 585
    (Iowa 1978) (emphasis
    added) (citation omitted).
    A review of the record discloses that although Anderson was incarcerated
    the entire time the case was pending, he was also represented by counsel.
    Thus, under the case law, Anderson was obligated to file his motion to dismiss
    before trial or else waive his right to speedy trial.
    However, in this case, the State not only did not raise the late filing as an
    issue, the assistant county attorney conceded—based upon his understanding of
    recent case law—that Anderson could file his motion after the trial. The trial
    court set the motion for hearing, held the hearing, and ruled on the motion. In the
    ruling, the court did not mention or rule on any timeliness issue.
    A motion not ruled on in the trial court, where there has been no
    request or demand for ruling, preserves no error. We would violate
    our function as a court of review if we were to pass upon the merits
    of a motion without at least a showing in the record that a trial court
    ruling was specifically requested, after which it failed or refused to
    rule.
    2
    Upon our review, we do not find any cases that overrule State v. Paulsen, 
    265 N.W.2d 581
    , 585 (Iowa 1978). However, as defendant points out in his brief, there are
    postconviction-relief cases that hold defense counsel is ineffective for not timely filing a
    motion to dismiss based upon violation of speedy trial. See Ennenga v. State, 
    812 N.W.2d 696
    , 709 (Iowa 2012).
    7
    State v. Schiernbeck, 
    203 N.W.2d 546
    , 547 (Iowa 1973) (citation omitted). The
    same rule applies when there is no ruling on an issue within a motion. State v.
    Manna, 
    534 N.W.2d 642
    , 644 (Iowa 1995). Since the trial court did not rule on
    the timeliness issue, we are not at liberty in this appeal to address whether
    Anderson waived his right to speedy trial by filing his motion to dismiss after trial.
    We proceed to consider the trial court’s ruling denying the motion.
    III. Standard of Review.
    “[T]he court’s application of procedural rules governing speedy trial” is
    reviewed for correction of errors at law. State v. Miller, 
    637 N.W.2d 201
    , 204
    (Iowa 2001). In that regard, “[t]he trial court’s findings of fact upon conflicting
    evidence are binding [on appeal] if supported by substantial evidence.” State v.
    Bond, 
    340 N.W.2d 276
    , 279 (Iowa 1983). However, review of rulings determining
    the reason for delay is for abuse of discretion. When speedy-trial grounds are at
    issue in a motion to dismiss, the discretion given to the district court narrows.
    State v. Winters, 
    690 N.W.2d 903
    , 907–08 (Iowa 2005).
    IV. Analysis.
    A. Speedy Trial.
    Speedy trial rights are guaranteed by the Iowa Constitution. Iowa Const.
    art. I, § 10.   This right is implemented in Iowa Rule of Criminal Procedure
    2.33(2)(c), which provides: “All criminal cases must be brought to trial within one
    year after the defendant’s initial arraignment pursuant to rule 2.8 unless an
    extension is granted by the court, upon a showing of good cause.” “[T]he State,
    not the defendant, has the responsibility for bringing the defendant to trial within
    the specified period.” State v. Phelps, 
    379 N.W.2d 384
    , 387 (Iowa Ct. App.
    8
    1985). The defendant may affirmatively waive his right to speedy trial. See Iowa
    R. Crim. P. 2.33(2)(b) (providing the defendant has a right to a speedy trial if the
    defendant “has not waived” the right); see also State v. Hinners, 
    471 N.W.2d 841
    , 845–46 (Iowa 1991) (holding the district court did not err in overruling
    motion to dismiss on the single ground that defendant signed a written waiver of
    his speedy-trial right). The mere “failure of an accused to affirmatively assert his
    speedy trial rights does not amount to a waiver of those rights.” 
    Ennenga, 812 N.W.2d at 701
    .
    “In applying this rule, we have recognized that, if trial does not commence
    within [the time set by the rule], the charge must be dismissed ‘unless the State
    proves (1) defendant’s waiver of speedy trial, (2) delay attributable to the
    defendant, or (3) ‘good cause’ for the delay.’” State v. Campbell, 
    714 N.W.2d 622
    , 627–28 (Iowa 2006) (citation omitted). “In determining whether there is
    good cause for a delay, we focus only on one factor, the reason for the delay.”
    
    Id. at 628.
    “The attending circumstances bear on that inquiry only to the extent
    they relate to the sufficiency of the reason itself.” 
    Id. Anderson argues
    that despite the continuances requested by him and the
    two periods where the case was stayed to have his competency to stand trial
    determined, he was not brought to trial within the one-year period prescribed in
    rule 2.33(2)(c). Specifically, Anderson contends that after the second stay was
    lifted, the court set the trial for June 24, 2014—by his calculation, the last trial
    date set within the one-year deadline. The court, on May 30, 2014, then entered
    an order stating the trial date was not available and ordered the parties to contact
    court administration to obtain a new trial date. Anderson argues there was no
    9
    basis for the court to cancel the June 24 trial date and order this continuance, it
    was not of Anderson’s making or request, and it pushed the trial beyond the one-
    year deadline—even taking into consideration the defense motions to continue
    and the two separate stay periods. Therefore, Anderson contends the case had
    to be dismissed.
    The State contends Anderson was timely brought to trial because good
    cause had been established for exceeding the one-year limit due to the
    continuances of the trial attributable to Anderson, the number of days the case
    was stayed for a competency determination calculated under Iowa Code section
    812.4 (2013), and the defense attorney’s erroneous representation to the court
    on October 24, 2014, that Anderson had signed a waiver of the one-year speedy
    trial requirement. Further, the State points out the June 24, 2014 continuance
    was necessary because the assigned judge was not available to preside over
    Anderson’s trial as scheduled on that date.
    The burden rests squarely on the State to prove the exception to the
    speedy-trial requirement. State v. 
    Miller, 637 N.W.2d at 204
    . The State argues
    that the one-year speedy-trial deadline was not breached based upon three of
    the exceptions—waiver of speedy trial, delay attributable to the defendant, and
    “good cause” for the delay. We will consider each below.
    1. Delays Attributable to the Defendant.
    There are two forms of delay attributable to Anderson: the numerous
    motions for continuance and the two motions under Iowa Code chapter 812 to
    determine Anderson’s competency to stand trial.         Upon a defendant’s 812
    motion, once the court finds probable cause exists to sustain the defendant’s
    10
    allegations he is not competent, the court is required to enter an order
    suspending (staying) further proceedings. Iowa Code § 812.3. The effect of the
    stay is set out in Iowa Code section 812.4, which states: “Pending the hearing,
    no further proceedings shall be taken under the complaint or indictment and the
    defendant’s right to a speedy indictment and speedy trial shall be tolled until the
    court finds the defendant competent to stand trial.” Both Anderson and the State
    compute the number of days tolled under section 812.4, but their calculations do
    not align.
    Our review of the record shows the following.              Arraignment was on
    September 13, 20123 and trial was set for November 6, 2012. The first order for
    a competency evaluation was on November 6, 2012, which stayed the
    proceedings. The period from September 13 to November 6 represents fifty-four
    days attributable to the one-year speedy-trial deadline.                   There were no
    continuances of the trial date during this period. The stay remained in effect until
    the order of February 19, 2013, lifting the stay. The ninety-one day stay is not
    included in the speedy trial calculation. Iowa Code § 812.4.
    By order on August 22, 2013, the court granted the defendant’s second
    chapter-812 request for a competency evaluation and stayed proceedings.
    Between February 19 and August 22, all trial dates were continued either at the
    defense’s motion or, on one occasion, by a joint motion. The time from February
    19 (fiftieth calendar day) to August 22 (235th calendar day) amounts to another
    185 days toward the one-year speedy-trial deadline.
    3
    The arraignment date initiates the one-year speedy-trial deadline in rule 2.33(2)(c).
    11
    The case remained stayed until the April 21, 2014 order lifting the stay and
    setting trial for June 24, 2014. Between August 22, 2013 and April 21, 2014
    (112th calendar day), are another 242 days excluded by section 812.4 from the
    calculation of the one-year speedy-trial deadline. 
    Id. Days attributable
    to the
    one-year deadline as of April 21, 2014 are 239 (54 + 185), leaving remaining 126
    days (365 minus 239) available of the one-year period, which was until August
    25, 2014 (112th day plus 126 days equals the 238th day of the year—August 25,
    2014).
    On June 2, 2014, the court entered an order that the June 24, 2014 trial
    date was “no longer appropriate.” The order does not give a reason. In their
    arguments on the motion to dismiss, the parties agree that around this time, the
    district court adopted a new procedure by which judges were specifically
    assigned to cases, and Judge Harris was assigned to Anderson’s trial. There is
    nothing in the record as to why Judge Harris was not available to hear the trial on
    June 24, 2014, which was still within the one-year speedy-trial deadline of August
    25, 2014. The order directed the attorneys to obtain a new trial date from court
    administration.
    At the hearing on the motion to dismiss, the State submitted two exhibits
    consisting of correspondence between the attorneys during this period in which
    they discussed trial dates.     Defense counsel’s letter of June 2, 2014 to the
    prosecutor indicates that the dates Judge Harris was available for trial were July
    22, July 29, September 29, October 6, October 27, and November 7, 2014. As to
    the two dates mentioned for trial before the August 25, 2014 deadline—July 22
    and 29—defense counsel advised that the defense expert witness was not
    12
    available. Defense counsel further advised that he was not available for trial on
    September 29. In his June 11, 2014 letter to the prosecutor, defense counsel
    explained that the reason he was not available on September 29 was due to a
    planned vacation to Ireland. Defense counsel suggested they agree on October
    27, 2014 as the trial date.4 This was conveyed to the court, and an order was
    entered on June 30, 2014, scheduling the trial for October 28, 2014.
    The attorneys both operated under the assumption that because Judge
    Harris was specifically assigned to this case, they could only select trial dates
    available on his calendar. However, the trial dates before the August 25, 2014
    one-year speedy-trial deadline available on the court’s calendar were not
    acceptable to the defense because either the defense expert or defense counsel
    was not available.
    Our supreme court has previously held, “[T]he general press of court
    business is insufficient to avoid dismissal under [our] speedy trial rule, even for
    the busy judge sitting in a high volume court.” 
    Miller, 637 N.W.2d at 205
    (quoting
    State v. Nelson, 
    600 N.W.2d 598
    , 602 (Iowa 1999)). The supreme court also
    previously stated in State v. Jennings, 
    195 N.W.2d 351
    , 356 (Iowa 1972):
    This does not mean, however, particularly under existing
    judicial districting, chronic crowded dockets, sickness of a trial
    judge, or unavailability of judges due to vacation schedules will
    alone suffice as good cause for trial delay. The public policy
    inherent in [rule 2.33(2)] requires [speedy trial] absent good cause,
    and it is the State’s duty to effectuate that policy.
    4
    Defense counsel does not suggest the October 6, 2014 trial date, which would have
    been only one week after he was not available on September 29 due to the vacation in
    Ireland.
    13
    Our research has not uncovered any cases discussing speedy trial in relation to
    when a trial is specifically assigned to a particular judge, but Jennings and Miller
    appear to apply.
    Regardless, the attorneys proceeded to determine a new trial date with
    the understanding Judge Harris had limited availability, both before and after the
    one-year speedy-trial deadline of August 25, 2014. It is unknown at this stage
    whether good cause would have prevented any other dates before August 25,
    2014 from being used. It is known which of the available dates for trial, as set
    out in defense counsel’s letters, were not acceptable to the defense due to
    conflicts with the defense expert and defense counsel, this being the reason why
    defense counsel suggested October 27, 2014 for trial.
    In considering acquiescence, a panel of this court stated:
    Likewise, the mere acquiescence to a trial date beyond the speedy
    trial deadline, standing alone, is insufficient to constitute waiver.
    “[H]owever, . . . acquiescence in the setting of a trial date beyond
    the speedy trial period is a factor which may be considered in
    determining whether a defendant has waived his speedy trial
    rights.”
    Adams v. State, No. 13-0011, 
    2014 WL 1999294
    , at *3 (Iowa Ct. App. May 14,
    2014) (citing 
    Phelps, 379 N.W.2d at 387
    ) (alteration in original) (citation omitted).
    The impact of acquiescence has also been addressed by our supreme court:
    In [State v.] Zaehringer, [
    306 N.W.2d 792
    , 795–96 (Iowa 1981),] we
    found waiver when the defendant not only failed to assert speedy
    trial rights but actively engaged in extensive use of the entire
    schedule set by the court, including numerous motions filed after
    the expiration of the speedy trial deadline. We concluded that
    under the circumstances, the defendant “actively participated in the
    events which delayed his retrial but later sought to take advantage
    of that delay to terminate the prosecution.”
    14
    State v. Taylor, 
    881 N.W.2d 72
    , 77–78 (Iowa 2016) (citations omitted). In the
    present case, defense counsel did not just acquiesce to the October 28, 2014
    trial date, but suggested it to the prosecution as the next available date (and first
    available date after the one-year speedy-trial deadline) and now seeks to take
    advantage of the delay.      This is not permitted under Zaehringer.        Up to the
    October 28, 2014 trial date, the delay was caused or attributable to the
    defendant, and there was no basis for a dismissal based upon the one-year
    speedy-trial rule in 2.33(2)(c).
    2. Waiver.
    On October 24, 2014, defense counsel filed a motion to continue the
    October 28 trial because he would be “undergoing knee surgery on October 30,
    2014” and would be “unavailable for two weeks.”           That motion included this
    statement: “3. The Defendant has filed his Waiver of Speedy Trial (One Year
    Rule) for this case.” The trial court granted the defendant’s motion to continue
    and rescheduled the trial for December 9, 2014. Such continuance was upon
    defense counsel’s request and constituted good cause to continue the trial.
    The defendant did not actually sign or file a written waiver of his one-year
    speedy-trial right. Nor did his attorney file such a waiver on Anderson’s behalf.
    Rather, defense counsel stated in his motion to continue the October 28, 2014
    trial date that such a waiver had been filed. As noted by the trial court in its ruling
    on the motion to dismiss:
    The court hereby determines that the defendant waived his
    right to trial within 1 year by both a succession of motions for
    continuance and by erroneously advising the court that the
    defendant had waived his right to speedy trial within 1 year in the
    Motion to Continue filed on October 24, 2014.
    15
    (Emphasis added.) It is therefore obvious the court was aware of the erroneous
    representation prior to its ruling. We further note that defense counsel had the
    authority to waive Anderson’s one-year speedy trial right.
    We therefore hold that the statutory right to a speedy trial
    under rule [2.33(2)] is not a personal right that can be waived only
    by the defendant. Defense counsel acting within the scope of his or
    her authority may waive this right on the defendant’s behalf without
    the defendant’s express consent. In the present case defense
    counsel expressly waived defendant’s right to a speedy trial;
    counsel also waived this right by the succession of continuance
    motions. Defense counsel’s action was within the scope of his
    authority, and the delay caused thereby was in no way attributable
    to the State.
    State v. LeFlore, 
    308 N.W.2d 39
    , 41 (Iowa 1981). Here, the trial court relied on
    defense counsel’s statement the one-year speedy-trial requirement had been
    waived when ruling on both the October 28 trial continuance as well as the
    State’s motion to continue the December 9 trial date. This constituted good
    cause for not bringing Anderson to trial at the earliest possible trial date after
    October 28, 2014.
    On November 26, 2014, defense counsel filed a motion for scheduling
    conference regarding the December 9 trial date. In the motion, he stated the
    prosecutor had informed the defense that the prosecutor intended to file a motion
    to continue the December 9, 2014 trial date.      The motion further stated that
    defense counsel informed the prosecutor that defense counsel would resist the
    motion. The record does not contain the State’s motion to continue. It is unclear
    whether a hearing was held. On December 19, 2014, the court filed an order
    which set a pre-trial conference and motion in limine for hearing on January 26,
    2015 and trial for February 10, 2015. At the hearing on the motion to dismiss
    16
    held after the trial, the prosecutor set out that he had informed both defense
    counsel and the court before the December 9, 2014 trial date was set that the
    prosecutor was not available on that date due a trial conflict—another felony
    case that had been pending trial for over thirty months.
    The question here is whether a prosecutor’s trial conflict with another trial
    constituted good cause for continuance of Anderson’s trial. This has not been
    directly addressed in Iowa. Courts in other states have held that a prosecutor’s
    trial conflict may constitute good cause for a continuance even when the
    defendant’s speedy-trial rights are impacted. See e.g., Hicks v. State, No. 741,
    2010, 
    2011 WL 2937393
    , at *2–3 (Del. July 21, 2011); Choate v. State, 
    75 A.3d 1003
    , 1015 (Md. 2013); State v. Toney, 
    553 A.2d 696
    , 703 (Md. 1989); State v.
    Pedockie, 
    95 P.3d 1182
    (Utah 2004); State v. Flinn, 
    110 P.3d 748
    , 751 (Wash.
    2005) (stating scheduling conflicts may justify a continuance beyond speedy-trial
    expiration date); State v. Williams, 
    17 P.3d 648
    , 652 (Wash. Ct. App. 2001)
    (stating prosecutor’s scheduling conflicts may constitute unforeseen or
    unavoidable circumstances warranting trial extension under speedy-trial rules).
    The court cannot accept every claimed conflict as good cause but must
    determine on a case-by-case basis whether the prosecutor’s conflict cannot be
    avoided, for example because the nature and complexity of the conflicting trial
    prevents another prosecutor from assuming responsibility.       In this case, the
    prosecutor explained that he was directly involved in the preparation of expert
    witnesses in the conflicting case.      These facts warrant a finding that the
    prosecutor’s trial conflict constituted good cause, especially when combined with
    17
    the court already having been informed that the defendant had waived his one-
    year speedy-trial right.
    Based upon our analysis, we find the trial court did not abuse its discretion
    in finding waiver, delay attributable to the defendant, and good cause for the
    delay. The trial court properly denied Anderson’s motion to dismiss.
    B. Ineffective Assistance: Jury Instructions and Verdict Forms.
    We review ineffective-assistance-of-counsel claims de novo.         State v.
    Clay, 
    824 N.W.2d 488
    , 494 (Iowa 2012).         This is because such claims are
    grounded in the Sixth Amendment to the United States Constitution. 
    Id. In a
    criminal case, a defendant may raise such a claim on direct appeal if he or she
    has “reasonable grounds to believe that the record is adequate to address the
    claim on direct appeal.” Iowa Code § 814.7(2). “We will resolve the claims on
    direct appeal only when the record is adequate.” 
    Clay, 824 N.W.2d at 494
    .
    To succeed on a claim of ineffective assistance of counsel, Anderson
    must establish by a preponderance of the evidence: “(1) his trial counsel failed to
    perform an essential duty, and (2) this failure resulted in prejudice.” State v.
    Adams, 
    810 N.W.2d 365
    , 372 (Iowa 2012) (citation omitted).               “Unless a
    defendant makes both showings, it cannot be said that the conviction . . .
    resulted from a breakdown in the adversary process that renders the result
    unreliable.” Strickland v. Washington, 
    466 U.S. 668
    , 687 (1984). Thus, reversal
    is warranted only where a claimant makes a showing of both of these elements.
    Simmons v. State Pub. Def., 
    791 N.W.2d 69
    , 75–76 (Iowa 2010). If we conclude
    a defendant has failed to establish either of these elements, we need not address
    the remaining element. See 
    Clay, 824 N.W.2d at 501
    n.2 (“The court always has
    18
    the option to decide the claim on the prejudice prong of the Strickland test,
    without deciding whether the attorney performed deficiently.”). Under the first
    prong, “we measure counsel’s performance against the standard of a reasonably
    competent practitioner.” 
    Id. at 495
    (citation omitted). It is presumed the attorney
    performed his or her duties competently, and the claimant must successfully
    rebut this presumption by establishing by a preponderance of the evidence that
    counsel failed to perform an essential duty.            
    Id. We assess
    counsel’s
    performance “objectively by determining whether [it] was reasonable, under
    prevailing professional norms, considering all the circumstances.”           State v.
    Thorndike, 
    860 N.W.2d 316
    , 320 (Iowa 2015) (alteration in original).
    On appeal, Anderson claims his trial counsel was ineffective for failing to
    object to several jury instructions and the verdict forms. Each instruction and
    verdict form will be considered separately.
    1. Instruction No. 21: Intoxication.5
    Anderson argues that the jury instruction on intoxication—the uniform jury
    instruction—misstates the law by stating in the second sentence: “The fact that a
    person is under the influence of intoxicants or drugs does not excuse nor
    aggravate his guilt.” The Iowa Code states that intoxication “neither excuses the
    person’s act nor aggravates the person’s guilt.” Iowa Code § 701.5.
    “Trial courts have a rather broad discretion in the language that may be
    chosen to convey a particular idea to the jury. Unless the choice of words results
    in an incorrect statement of law or omits a matter essential for the jury’s
    5
    Appellate counsel raises the challenge to the intoxication instruction. Anderson’s pro
    se brief raises the challenges to the remaining instructions and verdict form.
    19
    consideration, no error results.” Stringer v. State, 
    522 N.W.2d 797
    , 800 (Iowa
    1994). “The court may phrase the instructions in its own words as long as the
    instructions given fully and fairly advise the jury of the issues it is to decide and
    the law which is applicable.” State v. Liggins, 
    557 N.W.2d 263
    , 267 (Iowa 1996).
    The intoxication jury instruction given here matches the Iowa State Bar
    Association’s (ISBA) model instruction. Iowa Crim. Jury Instr. 200.14. Generally,
    Iowa appellate courts have been “reluctant to disapprove uniform instructions.”
    See State v. Weaver, 
    405 N.W.2d 852
    , 855 (Iowa 1987) (citing State v. Jeffries,
    
    313 N.W.2d 508
    , 509 (Iowa 1981)).          Further, the second paragraph of the
    intoxication instruction uses the word “act” in setting out the functional
    parameters of the intoxication defense. This second paragraph correctly defines
    the law surrounding the intoxication defense. See State v. Marin, 
    788 N.W.2d 833
    , 838 (Iowa 2010) (rejecting challenge to use of ISBA model instruction on
    intoxication because that stock instruction “informed the jury it could use Marin’s
    intoxication, whether voluntary or involuntary, to negate the state of mind
    necessary to be convicted”). As this second paragraph sets out the analytical
    framework for the jury in applying the law and is a correct statement of the law,
    the instruction is correct and defense counsel was not ineffective for not
    objecting. See State v. Graves, 
    668 N.W.2d 860
    , 881 (Iowa 2003) ("Trial counsel
    has no duty to raise an issue that has no merit.”).
    Even if this jury instruction was incorrect, Anderson suffered no prejudice.
    At trial, the defense’s intoxication expert admitted that Anderson, despite his
    intoxication, was capable of forming a specific intent before/while pulling the
    20
    trigger. Under this evidence, it is unlikely the intoxication instruction as worded
    influenced the guilty verdict.
    2. Instruction No. 22: Assault.
    Anderson argues that his trial counsel was ineffective for not objecting to
    the instruction defining “assault” because “it did not require the jury to find an
    intentional assault as an element of the offense of Willful Injury.” This argument
    ignores the marshalling instruction defining the elements of willful injury, which
    required the jury to find that “[t]he defendant specifically intended to cause a
    serious injury to Maurice Stovall” in order to find him guilty. When we review jury
    instruction, we consider them as a whole. See State v. Fintel, 
    689 N.W.2d 95
    ,
    104 (Iowa 2004) (“Jury instructions are not considered separately; they should be
    considered as a whole.”).
    The assault instruction provided a general definition of assault. Assault
    was not only an element of willful injury but was a lesser-included offense of
    attempt to commit murder (Count 1) and willful injury causing bodily injury (Count
    2). It had to be read in conjunction with other instructions. In isolation, it is a
    correct statement of the law.     The verdict indicates the jury found that the
    specific-intent element for willful injury had been proven beyond a reasonable
    doubt. Defense counsel had no duty to object to the assault instruction as given
    and therefore was not ineffective.     Since the assault instruction was proper,
    Anderson suffered no prejudice from his trial counsel’s failure to object.
    3. Instruction No. 34: Going Armed with Intent.
    Anderson argues that counsel should have objected to the instruction
    defining this offense because it “failed to require that the jury find proof of
    21
    movement—and that the intent must be present at the time the accused arms
    himself.” The instruction uses the word “went” instead of the word “going,” since
    it is the past tense of the word “go.” Went, The American Heritage Dictionary (2d
    college ed. 1982). The word implies movement. The instruction also refers to
    the specific intent required at the moment when the defendant “was armed.” As
    there was no error in the instruction, Anderson’s trial counsel had no basis to
    object and therefore was not ineffective. See 
    Graves, 668 N.W.2d at 881
    .
    In any event, even if this instruction were deficient, any deficiency was
    non-prejudicial for two reasons. First, it was uncontested at trial that Anderson
    chased the victim (Stovall) through the bar and out into the street, fired his gun
    as he ran, and dropped it when subdued by an officer—uncontested proof of
    movement and contemporaneous intent.             “Based upon the evidence and
    testimony at trial, there is no reasonable probability the jury would have found the
    movement element to be lacking.” State v. Demery, No. 10–1158, 
    2011 WL 3925714
    , at *9 (Iowa Ct. App. Sept. 8, 2011); see also State v. Harris, No. 15–
    0940, 
    2016 WL 1358653
    , at *2–3 (Iowa Ct. App. Apr. 6, 2016). Second, at
    sentencing Anderson’s conviction on this count merged with his conviction for
    intimidation with a dangerous weapon; thus, there was no prejudice.
    4. Instruction No. 31: Intimidation with a Dangerous Weapon with
    Intent.
    Anderson argues counsel should have objected to this instruction because
    it required the State to prove “[p]ersons actually experienced fear of serious
    injury,” whereas Iowa Code section 708.6 requires the State to prove people
    were placed in “reasonable apprehension of serious injury.”            Specifically,
    22
    Anderson complains the words “reasonable apprehension” in the statute should
    not be replaced in the jury instruction by “actually experienced fear.”
    Under this section, the state of mind of both the actor and the victim are
    elements. State v. White, 
    319 N.W.2d 213
    , 215 (Iowa 1982). “The actor must
    intend to injure or to provoke fear or anger in another.” 
    Id. Also, the
    victim must
    experience apprehension of serious injury.      
    Id. It is
    not sufficient to present
    evidence a reasonable person in the position of the victim would have been
    frightened.    
    Id. at 216.
      There must be evidence of the “actual effect of the
    shooting on this particular victim.” Id.; see also In re N.W.E., 
    564 N.W.2d 451
    ,
    454 (Iowa Ct. App. 1997) (noting the State must prove the victim actually
    experienced fear of serious injury from the defendant’s act).
    As can be seen, our supreme court has interpreted the statute to require
    that the State must prove the victim actually experienced fear of serious injury to
    fulfill the apprehension requirement.     See 
    White, 319 N.W.2d at 215
    .        The
    instruction mirrors this holding in White and is therefore a correct statement of
    the law. Anderson’s trial counsel was not ineffective for failing to object to this
    instruction.
    5. Instruction Nos. 18 and 19: General/Specific Intent
    Anderson concedes that instruction number eighteen on “general intent”
    and instruction number nineteen on “specific intent” were correct statements of
    the law.      He argues, however, these two instructions should not have been
    submitted to the jury in tandem because the jury “received no guidance as to how
    or where either intent instruction applied.”
    23
    The jury was required to consider both specific-intent crimes (attempt to
    commit murder, going armed with intent) and a general-intent crime (possession
    of a firearm by a felon).     Thus, the trial court was obligated to give both a
    general-intent and specific-intent instruction.
    As noted above, when reviewing jury instructions, we consider them as a
    whole, not separately. See 
    Fintel, 689 N.W.2d at 104
    . The term “specific intent”
    is used where applicable in the instructions that concern specific-intent crimes.
    Moreover, as defense counsel noted in an objection to the omission of the term
    “general intent” from instruction number eighteen, the jury needed a general-
    intent instruction in order to apply mens rea requirements for crimes charged
    without a specific intent element—i.e., possession of a firearm as a felon.
    Although it may have been clearer to specify which crimes called for general
    versus specific intent, the instructions were a correct statement of the law and
    when read as a whole were appropriate.            Again, since there was no error,
    Anderson’s trial counsel was not ineffective for failing to object on the basis now
    urged by Anderson.
    6. Jury Verdict Forms.
    Anderson argues his trial counsel should have requested verdict forms
    that would have allowed the jury to find him “not guilty by reason of diminished
    responsibility,” as provided by Iowa Rule of Criminal Procedure 2.22(8). Special
    verdict forms are not intended as a procedural protection for defendants—rather,
    they exist to enable the court to order involuntary commitment for evaluation and
    to conduct further inquiry into “whether the defendant is mentally ill and
    24
    dangerous to the defendant’s self or to others” as a result of the mental condition
    that caused him to commit the crime. See Iowa R. Crim. P. 2.22(8)(b).
    Here, even though the jury was instructed on the principles of diminished
    responsibility, it was based on the defense theory of intoxication and Anderson’s
    ability to form specific intent. Providing a verdict form allowing the jury to find him
    not guilty by reason of diminished responsibility was unnecessary where the
    primary defense was intoxication and the defendant was no longer dangerous
    because he was no longer intoxicated. The verdict option Anderson proposes
    would serve no purpose. Accordingly, rule 2.22(8) is not automatically triggered
    by use of an intoxication defense.
    Further, the jury was properly instructed on how to apply the intoxication
    defense, and it could have returned a “not guilty” verdict on any charge that
    required proof of specific intent if it had found that the State failed to meet its
    burden to overcome the intoxication defense.            “Consequently, even had the
    verdict form been given to the jury, it would not have been used.”            State v.
    Stewart, 
    445 N.W.2d 418
    , 422 (Iowa Ct. App. 1989). Under the instructions as
    given, if the jury had found Anderson had diminished responsibility due to
    intoxication, it would have returned a verdict of not guilty, and that would have
    been more favorable than a verdict of not guilty by reason of diminished
    responsibility, following which Anderson potentially would have been committed
    for evaluation under rule 2.22(8)(b). Since the jury found Anderson guilty, it may
    be concluded that it rejected his intoxication defense and similarly would have
    rejected the diminished-responsibility defense.      Anderson cannot demonstrate
    prejudice and his ineffective-assistance claim fails.
    25
    7. Structural Error.
    In his pro se brief, Anderson claims his convictions should be reversed
    due to “structural error” by his trial counsel. This unique appeal point has been
    discussed by our supreme court in Lado v. State, 
    804 N.W.2d 248
    , 252 (Iowa
    2011):
    Structural errors are not merely errors in a legal proceeding, but
    errors “affecting the framework within which the trial proceeds.” We
    have recognized structural error occurs when: (1) counsel is
    completely denied, actually or constructively, at a crucial stage of
    the proceeding; (2) where counsel does not place the prosecution’s
    case against meaningful adversarial testing; or (3) where
    surrounding circumstances justify a presumption of ineffectiveness,
    such as where counsel has an actual conflict of interest in jointly
    representing multiple defendants.
    Under these circumstances, “[n]o specific showing of
    prejudice [is] required” as the criminal adversary process itself is
    “presumptively unreliable.” Stated another way, when counsel
    commits a structural error, the defendant does not have to show he
    would have obtained a different outcome absent the counsel’s
    structural error because such an analysis “would be a speculative
    inquiry into what might have occurred in an alternate universe.” In
    cases where defense counsel fails to file an appeal against the
    defendant’s wishes, the Court has determined the “serious denial of
    the entire judicial proceeding itself . . . similarly demands a
    presumption of prejudice.” In sum, when a structural error occurs in
    a proceeding, the underlying criminal proceeding is so unreliable
    the constitutional or statutory right to counsel entitles the defendant
    to a new proceeding without the need to show the error actually
    caused prejudice.
    (Citations omitted.)     After a review of the record in this case, we find that
    Anderson has not established any of the required criteria for structural error. As
    noted above, his arguments concerning alleged errors committed by his trial
    counsel are found to have no merit.
    26
    C. Sentencing.
    “Appellate review of the district court’s sentencing decision is for an abuse
    of discretion.”   State v. Evans, 
    672 N.W.2d 328
    , 331–32 (Iowa 2003).
    “Sentencing decisions of the district court are cloaked with a strong presumption
    in their favor.” State v. Thomas, 
    547 N.W.2d 223
    , 225 (Iowa 1996). “An abuse
    of discretion is found only when the sentencing court exercises its discretion on
    grounds or for reasons clearly untenable or to an extent clearly unreasonable.”
    
    Id. Anderson challenges
    the trial court’s imposition of consecutive sentences
    based upon the following comments made by the court at sentencing:
    Mr. Anderson, the—the reason that’s being run consecutive
    which is the issue in this case is I think everyone is well aware of
    the gun violence problem that we have here. There are people on
    both sides of that who believe that we should restrict firearms and
    those who think we should not. One thing that those two groups
    agree on is that the people who have firearms should be people
    who are responsible and who are not felons. And it is one of the
    few things that we agree on, and simply, sir, you—you don’t fit
    either one of those. You are irresponsible with a firearm, and you
    are a convicted felon. This is the one area in which we can—we
    can try to take a stand on the improper and illegal use of firearms,
    and—and that’s what’s being done here.
    I understand that this is a long sentence. It is 17 years, 17
    and a half years that you’ll have to serve. I don’t know how the
    parole board will—will handle this. It is—it is my understanding that
    they will treat this as a 30-year sentence, that you’ll have to serve
    the 17 and a half, and Mr. Jacobsen is probably correct that it won’t
    make any difference in how long you actually serve. Mr. Frerichs
    may be correct. That’s up to the parole board. That’s not up—
    that’s not up to the court. But in either regard, you were convicted.
    You weren’t supposed to have a gun, and you had one, and that’s
    why the court has run that consecutive.
    (Emphasis added.) Anderson argues “the court’s concerns with how activists
    involved in the debate on gun restrictions view the suitability of Anderson’s
    27
    sentence or whether they agree that felons should not possess weapons are not
    proper considerations when sentencing a defendant.”
    When imposing sentence, the court owes a duty to both the defendant and
    the public. State v. Fink, 
    320 N.W.2d 632
    , 634 (Iowa Ct. App. 1982). After
    considering all pertinent sentencing factors, the court must select the sentencing
    option that would best accomplish justice for both society and the individual
    defendant. 
    Id. The punishment
    selected by the court should fit both the crime
    and the individual. State v. Hildebrand, 
    280 N.W.2d 393
    , 396 (Iowa 1979). The
    trial court must exercise its discretion. 
    Id. To ensure
    that the appellate court can
    review the sentencing court’s decision and determine whether the court
    exercised its discretion, the sentencing court must state on the record its reasons
    for imposing a particular sentence. Iowa R. Crim. P. 2.23(3)(d); State v. Jacobs,
    
    607 N.W.2d 679
    , 690 (Iowa 2000). The court may not base its decision on one
    factor alone. 
    Hildebrand, 280 N.W.2d at 396
    . The “minimal essential factors”
    that must be considered and weighed by the sentencing court include the nature
    of the offense; the attending circumstances; the defendant’s age, character,
    propensities, and chances of reform. Id.; see Iowa Code § 907.5.
    The imposition of consecutive sentences is a two-step process. First, the
    court may impose consecutive sentences when the offenses are separate and
    distinct. State v. Criswell, 
    242 N.W.2d 259
    , 260 (Iowa 1976); see also Iowa
    Code § 901.8. Second, in addition to determining that separate and distinct
    offenses are present, the district court must provide specific reasoning for why
    consecutive sentences are warranted in a particular case. 
    Jacobs, 607 N.W.2d at 690
    .
    28
    Here, the claimed offensive comment is not improper. The court noted the
    current public debate, but it did not indicate it was taking sides on that debate or
    relying on it in imposing sentence. Rather, the court commented that both sides
    agree that previously convicted felons who are not responsible with firearms
    should not possess them.      This was nothing more than recognizing that our
    legislature, which represents public sentiment in enacting law, has passed such a
    law and that Anderson was convicted by the jury of violating that law.         The
    sentencing court did not use an improper factor in imposing consecutive
    sentences. There is no reason to set aside the sentences.
    V. Conclusion.
    We have considered all of Anderson’s contentions in this appeal, and
    resolving them against him, we find the convictions and sentences should be
    affirmed.
    AFFIRMED.