People of Michigan v. Aaron Lee Paulitch ( 2018 )


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  •                           STATE OF MICHIGAN
    COURT OF APPEALS
    PEOPLE OF THE STATE OF MICHIGAN,                                   UNPUBLISHED
    July 26, 2018
    Plaintiff-Appellee,
    v                                                                  No. 337949
    Mackinac Circuit Court
    AARON LEE PAULITCH,                                                LC Nos. 2016-003708-FH;
    2016-003709-FH
    Defendant-Appellant.
    Before: MURRAY, C.J., and HOEKSTRA and GADOLA, JJ.
    PER CURIAM.
    Following a jury trial, defendant was convicted of two counts of delivery of less than 50
    grams of morphine, MCL 333.7401(2)(a)(iv), and two counts of maintaining a drug house, MCL
    333.7405(1)(d). He was sentenced as a third-offense habitual offender, MCL 769.11, to
    concurrent terms of 30 to 480 months’ imprisonment for each delivery conviction and 24 to 48
    months’ imprisonment for each maintaining a drug house conviction. Defendant appeals as of
    right. We affirm, but remand lower court docket number 2016-003708-FH to the trial court for
    correction of the judgment of sentence.
    I. FACTS
    The TRIDENT task force of the Sault Tribe Police investigates suspected drug activity in
    the eastern region of Michigan’s Upper Peninsula. Because of the Upper Peninsula’s tightly knit
    community environment, drug dealers typically only sell to individuals they know personally.
    The task force therefore conducts many of its investigations by arranging controlled purchases of
    drugs by confidential informants (CIs). In the present case, TRIDENT Detective James McLeod
    testified that CI Lindsay Andrews notified him that she would be able to purchase morphine
    tablets from Gina Briggs and Ashley Moses, intermediaries who purchased from defendant.
    During trial, Andrews explained that she used Briggs and Moses as intermediaries because
    defendant had previously refused to deal directly with her.
    A controlled purchase involving Briggs, Andrews, and a second CI was arranged for
    October 6, 2015. McLeod testified that before each controlled purchase, CIs are searched for
    drugs and money, are fitted with a recording device, and are provided prerecorded money with
    which to make the purchase. Briggs, Andrews, and the second CI met at a McDonald’s parking
    lot and drove in Briggs’ vehicle to defendant’s residence. Briggs instructed Andrews and the
    second CI to lie down in the vehicle to avoid detection by defendant while Briggs entered and
    -1-
    remained in defendant’s house for several minutes. Andrews testified that when Briggs returned
    to the vehicle, she handed Andrews three 60-milligram morphine tablets. McLeod testified that,
    when the transaction was complete, Andrews turned the three morphine tablets over to him.
    On October 9, 2015, two more controlled purchases took place. The first occurred
    between Briggs and the second CI. Surveilled by TRIDENT agents, Briggs initially drove alone
    to defendant’s home, where she testified she obtained morphine tablets from defendant. She then
    met with the second CI to deliver two morphine tablets, which were thereafter turned over to the
    agents. The second controlled purchase occurred between Moses and Andrews. Andrews
    testified that she picked up Moses and that the two drove down a dead end road, where defendant
    met them. TRIDENT agents confirmed identifying both defendant and his truck at the dead end.
    According to Andrews’ testimony, Moses exited the vehicle and made the exchange with
    defendant. Following the transaction, Andrews turned over to McLeod two 60-milligram tablets
    of morphine.
    As a result of the October 6 and second October 9 transactions, defendant was charged
    with two counts of delivery of less than 50 grams of morphine, MCL 333.7401(2)(a)(iv); two
    counts of conspiracy to deliver morphine, MCL 750.157a; two counts of maintaining a drug
    house, MCL 333.7405(1)(d); one count of using a computer to commit a crime, MCL 752.796;
    and one count of delivery of a Schedule 1, 2, or 3 controlled substance, MCL 333.7401(2)(b)(ii).
    However, after the close of its proofs during trial, the prosecution dismissed the two conspiracy
    charges and the single charge for delivery of a Schedule 1, 2, or 3 controlled substance.
    Following trial, the jury acquitted defendant of using a computer to commit a crime but found
    him guilty of two counts of delivery of less than 50 grams of morphine and two counts of
    maintaining a drug house.
    II. ANALYSIS
    A. AUDIO RECORDINGS
    During trial, the prosecution played audio recordings of the controlled purchases, which
    included statements made by Briggs, Moses, and the second CI. Defendant broadly contends
    that the recorded statements constituted inadmissible hearsay and that the non-testifying second
    CI’s statements in particular violated defendant’s right to confrontation under the Sixth
    Amendment. We disagree with each of these arguments.
    Whether to admit or exclude evidence is a decision that falls within the trial court’s
    discretion and is reviewed for an abuse of discretion. People v Katt, 
    468 Mich. 272
    , 278; 662
    NW2d 12 (2003). An abuse of discretion occurs when the trial court chooses an outcome falling
    outside the range of principled outcomes. People v Duenaz, 
    306 Mich. App. 85
    , 94; 854 NW2d
    531 (2014). Preliminary questions of law regarding whether an evidentiary rule applies to the
    facts are reviewed de novo. 
    Id. Whether certain
    statements presented at trial violate a
    defendant’s Sixth Amendment right to confrontation is a question of constitutional law that this
    Court reviews de novo. People v Fackelman, 
    489 Mich. 515
    , 524; 802 NW2d 552 (2011).
    However, defendant failed to preserve his challenge under the Confrontation Clause, and this
    Court thus reviews the issue for plain error affecting substantial rights. See People v Walker,
    -2-
    
    273 Mich. App. 56
    , 65-66; 728 NW2d 902 (2006). To avoid forfeiture of a claim under the plain
    error rule, three elements must be satisfied:
    1) error must have occurred, 2) the error was plain, i.e., clear or obvious, 3) and
    the plain error affected substantial rights. The third requirement generally
    requires a showing of prejudice, i.e., that the error affected the outcome of the
    lower court proceedings. It is the defendant rather than the Government who
    bears the burden of persuasion with respect to prejudice. Finally, once a
    defendant satisfies these three requirements, an appellate court must exercise its
    discretion in deciding whether to reverse. Reversal is warranted only when the
    plain, forfeited error resulted in the conviction of an actually innocent defendant
    or when an error seriously affect[ed] the fairness, integrity or public reputation of
    judicial proceedings’ independent of the defendant’s innocence. [Id. at 66
    (quotation marks and citations omitted).]
    Hearsay is a statement made by a declarant outside the context of trial or a hearing
    offered to prove the truth of the matter asserted. MRE 801(c). Generally, hearsay is
    inadmissible absent an established exception. MRE 802. When a defendant fails to articulate
    with particularity which statements he contends constitute inadmissible hearsay, he has
    abandoned the issue on appeal. People v Martin, 
    271 Mich. App. 280
    , 315; 721 NW2d 815
    (2006) (holding that a defendant abandoned his hearsay challenges on appeal because he failed to
    clarify what objectionable statements, if any, were made on video recordings and failed to
    explain how the allegedly inadmissible testimony prejudiced him). In his brief on appeal,
    defendant broadly objects to the admission of the audio recordings containing statements by
    Briggs and Moses without identifying a single statement made by either declarant that he claims
    to be hearsay. Accordingly, defendant has failed to adequately brief this issue and has
    abandoned the issue on appeal relative to statements made by Briggs and Moses. See 
    id. With respect
    to the second CI’s recorded statements, defendant has challenged only one
    with any specificity: a statement made by the CI during the October 6, 2015 controlled purchase
    regarding defendant’s refusal to sell to him after prior negotiations fell through.1 Thus, we
    examine whether this statement amounts to inadmissible testimonial hearsay and whether its
    admission constitutes plain error affecting defendant’s substantial rights.
    Both the United States and Michigan constitutions entitle criminal defendants to the right
    “ ‘to be confronted with the witnesses against him . . . .’ ” People v Nunley, 
    491 Mich. 686
    , 697;
    821 NW2d 642 (2012), quoting US Const Am VI and Const 1963, art 1, § 20. One protection
    afforded by the Confrontation Clause includes the inadmissibility of hearsay evidence that is
    “testimonial” in nature, unless the declarant appears at trial or the defendant had a previous
    1
    Contrary to defendant’s assertions in his brief on appeal, the second CI’s statement did not
    convey an offer to trade defendant tramadol for morphine. Rather, speaking to Andrews and
    Briggs, the second CI explained that he had previously discussed a trade with defendant but
    stated, “I don’t know what we should do, like, at this point because he won’t sell me any
    [morphine] because he wants the tram[adol]s from me . . . .”
    -3-
    opportunity to cross-examine the declarant. 
    Id., citing Crawford
    v Washington, 
    541 U.S. 36
    , 51,
    53-54; 
    124 S. Ct. 1354
    ; 
    158 L. Ed. 2d 177
    (2004). The United States Supreme Court has defined
    “testimony” in the following manner:
    “Testimony,” in turn, is typically [a] solemn declaration or affirmation made for
    the purpose of establishing or proving some fact. An accuser who makes a formal
    statement to government officers bears testimony in a sense that a person who
    makes a casual remark to an acquaintance does not.
    * * *
    Whatever else the term covers, it applies at a minimum to prior testimony at a
    preliminary hearing, before a grand jury, or at a former trial; and to police
    interrogations. 
    [Crawford, 541 U.S. at 51
    , 68 (quotation marks and citations
    omitted).]
    Testimony that is not offered to prove the truth of the matter asserted does not present a hearsay
    or Confrontation Clause violation. People v Chambers, 
    277 Mich. App. 1
    , 11; 742 NW2d 610
    (2007). In particular, statements offering background information explaining how certain events
    unfolded or why certain individuals acted as they did are admissible. Id.; see also United States
    v Cromer, 389 F3d 662, 676 (CA 6, 2004).
    Here, the CI’s statement regarding his prior negotiations with defendant does not offend
    the Confrontation Clause because it was offered to establish background context surrounding the
    controlled purchase. Specifically, the statement establishes why Andrews and the second CI
    were unable to directly transact with defendant and, consequently, why it was necessary to use
    Briggs as an intermediary. Andrews’ trial testimony that she used intermediaries because
    defendant refused to deal directly with her further bolstered the second CI’s statement. The
    second CI’s statement was not offered, as defendant suggests, to prove that a drug transaction
    occurred. In fact, the CI never stated that he successfully purchased or traded drugs with
    defendant, only that the two had discussed it. Because the second CI’s statement was used to
    establish background context explaining why he and Andrews acted as they did, we conclude it
    does not constitute hearsay and therefore does not implicate the Confrontation Clause.
    Further, as the CI’s statement was made not to government officials but rather to two
    alleged co-conspirators, it is unclear whether this statement qualifies as testimony. As the
    prosecution observes, the United States Supreme Court, the Michigan Supreme Court, and this
    Court have yet to resolve whether recorded statements made by a CI to a co-conspirator are
    testimonial. See, e.g., Ohio v Clark, __ US __ ; 
    135 S. Ct. 2173
    , 2182; 
    192 L. Ed. 2d 306
    (2015)
    (declining “to adopt a rule that statements to individuals who are not law enforcement officers
    are categorically outside the Sixth Amendment” while acknowledging that such statements “are
    significantly less likely to be testimonial than statements given to law enforcement officers”).
    However, as we conclude that the statements presently at issue are not hearsay, we need not
    resolve the issue of whether they are testimonial. Accordingly, the trial court did not abuse its
    discretion when it admitted the second CI’s recorded statement.
    -4-
    Even if defendant was deprived of his right of confrontation, the admission of the second
    CI’s recorded statement would constitute harmless error. A violation of the Confrontation
    Clause may be considered harmless error “if the minds of an average jury would [not] have
    found the prosecution’s case significantly less persuasive” absent the improper statements.
    People v Spinks, 
    206 Mich. App. 488
    , 493; 522 NW2d 875 (1994) (quotation marks omitted).
    That is, the reviewing court must be satisfied that it is “clear, beyond a reasonable doubt, that the
    jury verdict would have been the same absent the error.” People v Shepherd, 
    472 Mich. 343
    , 348;
    697 NW2d 144 (2005). Statements that violate a defendant’s right to confront their accusers
    amount to harmless error when the remaining evidence against the defendant is overwhelming.
    People v Banks, 
    438 Mich. 408
    , 427; 475 NW2d 769 (1991).
    In the present case, the remaining evidence overwhelmingly supports the jury’s verdict.
    Not only did Andrews’, Briggs’, and Moses’ testimony demonstrate that defendant sold
    morphine to Briggs on October 6, 2015, and to Moses on October 9, 2015, but their testimony
    was also corroborated by that of the surveilling officers. Defendant attempts to undermine the
    credibility of the remaining evidence by arguing that Andrews, Briggs, and Moses are drug
    addicts who were incentivized to testify in exchange for leniency with respect to their own
    sentences. However, defendant’s argument is unavailing, as credibility determinations are
    reserved for the jury and will not be disturbed by this Court. See People v Unger, 
    278 Mich. App. 210
    , 222; 749 NW2d 272 (2008) (“[W]e will not interfere with the jury’s determinations
    regarding the weight of the evidence and the credibility of the witnesses.”). In the face of such
    compelling evidence, we are persuaded that the jury’s verdict would have remained unchanged.
    Thus, had the second CI’s recorded statement amounted to inadmissible hearsay, its admission
    was harmless beyond a reasonable doubt.
    B. PRIOR OR CONTEMPORANEOUS ACTS
    Next, defendant contends that the trial court erred when it admitted testimony by
    Andrews and Moses describing previous drug transactions with defendant. Additionally,
    defendant challenges the trial court’s admission of testimony from Briggs concerning the
    October 9, 2015 transaction involving the second CI. Defendant argues that each witness’s
    testimony was irrelevant and unfairly prejudicial. Although we agree that Moses’s statements
    were inadmissible under MRE 404(b)(1), we hold that the resulting error was ultimately
    harmless, and therefore does not warrant reversal. Moreover, we hold that Andrews’ and Briggs’
    testimony was properly admitted.
    When an evidentiary issue is preserved, this Court reviews a trial court’s decision to
    admit evidence for an abuse of discretion but reviews preliminary questions of law, such as
    whether a rule of evidence precludes admissibility, de novo. People v Chelmicki, 
    305 Mich. App. 58
    , 62; 850 NW2d 612 (2014). When an evidentiary issue is unpreserved, it is reviewed for
    plain error affecting substantial rights. 
    Id. As a
    preliminary matter, defendant objected to
    Andrews’ and Moses’ testimony only on the basis of relevance but not prejudice. Accordingly,
    defendant’s arguments regarding prejudice are unpreserved. See People v Aldrich, 246 Mich
    App 101, 113; 631 NW2d 67 (2001), citing MRE 103(a)(1) (“To preserve an evidentiary issue
    for review, a party opposing the admission of evidence must object at trial and specify the same
    ground for objection that it asserts on appeal.”). Likewise, defendant’s arguments concerning
    -5-
    Briggs’ testimony are unpreserved, as defendant failed to make objections during trial. See 
    id. We thus
    review these matters for plain error affecting defendant’s substantial rights.
    In accordance with MRE 404(b)(1), “[e]vidence of other crimes, wrongs, or acts is not
    admissible to prove the character of a person in order to show action in conformity therewith.”
    However, Rule 404(b)(1) also provides that evidence of prior acts may be admitted for other
    “noncharacter” purposes, including
    proof of motive, opportunity, intent, preparation, scheme, plan, or system in doing
    an act, knowledge, identity, or absence of mistake or accident when the same is
    material, whether such other crimes, wrongs, or acts are contemporaneous with,
    or prior or subsequent to the conduct at issue in the case.
    Our Supreme Court has held that this list is nonexhaustive and that the rule generally “permits
    the admission of evidence on any ground that does not risk impermissible inferences of character
    to conduct.” People v Starr, 
    457 Mich. 490
    , 496; 577 NW2d 673 (1998). In evaluating whether
    evidence of prior acts avoids such impermissible inferences, courts apply a four-prong standard:
    First, that the evidence be offered for a proper purpose under Rule 404(b); second,
    that it be relevant under Rule 402 as enforced through Rule 104(b); third, that the
    probative value of the evidence is not substantially outweighed by unfair
    prejudice; fourth, that the trial court may, upon request, provide a limiting
    instruction to the jury. [Id., quoting People v VanderVliet, 
    444 Mich. 52
    , 55; 508
    NW2d 114 (1993).]
    The prosecution contends that Andrews’ and Moses’ testimony was relevant to and
    offered for the proper purpose of rebutting defendant’s attack on their credibility. 2 Our Supreme
    Court has held that a witness’s testimony concerning prior acts was admissible when it was
    offered for the purpose of rebutting a defendant’s claim that the allegations underlying the
    charges had been fabricated. 
    Id. at 501.
    In Starr, the defendant denied charges of criminal
    sexual conduct, claiming that the allegations were fabricated by the victim’s mother two years
    after they had allegedly occurred. 
    Id. However, the
    trial court permitted the prosecution to
    introduce testimony from defendant’s half-sister, who stated that defendant sexually abused her
    and that sharing this information with the victim’s mother prompted the victim ultimately to
    reveal the abuse at issue. 
    Id. at 501-502.
    Our Supreme Court determined that the evidence was
    necessary for the prosecution to effectively refute the defendant’s claims of fabrication, as
    2
    Defendant makes passing reference in his brief on appeal that the prosecution did not file a
    pretrial motion seeking admission of the prior acts evidence as required by MRE 404(b)(2).
    However, because defendant does not elaborate on how his defense would have differed had the
    prosecution given notice, it is impossible for this Court to determine the actual impact the lack of
    notice may have had. See People v Hawkins, 
    245 Mich. App. 439
    , 455-456; 628 NW2d 105
    (2001). Thus, reversal on this ground is not warranted. See 
    id. -6- “[w]ithout
    such evidence, the fact finder would be left with a chronological and conceptual void
    regarding the events . . . .” 
    Id. at 502-503
    (quotation marks and citations omitted).3
    In the present case, defendant similarly maintained his innocence while primarily
    attacking the credibility of Andrews, Briggs, and Moses. Specifically, defendant emphasized
    that the three witnesses were drug addicts who were incentivized to cooperate with the
    prosecution in the hopes of obtaining leniency with respect to their own sentences. Defendant
    argued that the prosecution presented no evidence apart from this testimony directly linking him
    to the transactions, given that Andrews purchased the morphine from Briggs and Moses. Thus,
    defendant maintained that the witnesses fabricated their allegations against him and that the
    drugs were supplied from another source.
    In response to defendant’s challenge to the lack of evidence directly linking him to the
    controlled purchases, Andrews referenced her previous drug transactions with defendant in order
    to explain why she used Briggs and Moses as intermediaries as opposed to purchasing drugs
    directly from defendant:
    Q. Was Mr. Paulitch somebody that you knew you could get drugs from?
    A. Yes.
    Q. Okay. Had you bought from him before?
    A. Yes.
    Q. You directly or through somebody else?
    A. Directly.
    Q. Okay. And what did you buy from him?
    A. Purple morphine thirties.
    * * *
    Q. Okay. All right. Now, why did you have to give the money to Gina
    [Briggs] to have her go into Mr. Paulitch’s house?
    A. The other CI that was with me is prescribed tramadols.
    Q. Okay.
    3
    This analysis has been applied not only in the context of criminal sexual conduct but also in a
    case involving premeditated first-degree murder and felony firearm. See People v Johnigan, 
    265 Mich. App. 463
    , 466-467; 696 NW2d 724 (2005).
    -7-
    A. And he wanted to do a trade, and he wouldn’t do the trade, so he
    wouldn’t sell to us.
    * * *
    Q. If, if you hadn’t had somebody who wouldn’t trade, you know,
    tramadols for morphine or whatever, if it had just been normally just you by
    yourself would Mr. Paulitch always sell to you?
    A. Not always. After I got in trouble the last time, it was like a little while
    before he would deal with me again.
    Andrews could not have adequately explained the necessity of using intermediaries unless she
    referenced the previous deal with defendant that resulted in her “getting in trouble.” Without this
    testimony, the jury would have been left with a conceptual void as to why Briggs and Moses
    were involved in the controlled purchase and why Andrews was not dealing directly with
    defendant. Left unaddressed, this void could have cast doubt on Andrews’ testimony as well as
    on defendant’s connection to the transaction. Accordingly, this testimony was necessary to rebut
    defendant’s claims of fabrication and that the drugs were supplied from another source.
    Moreover, the probative nature of this testimony is not substantially outweighed by the
    risk of unfair prejudice. Undoubtedly, evidence that a criminal defendant has previously
    committed the same offense for which he currently stands trial raises a significant risk that jurors
    will improperly conclude that “the defendant is a bad person, a convicted criminal, and that if he
    ‘did it before he probably did it again.’ ” 
    Crawford, 458 Mich. at 398
    , quoting United States v
    Johnson, 27 F3d 1186, 1193 (CA 6, 1994). However, reference to Andrews’ previous dealings
    with defendant was necessary to effectively explain the role of the intermediaries. Andrews did
    not offer inflammatory testimony, nor did she testify in detail regarding the number of previous
    transactions she made with defendant, the amount or price of drugs she purchased, or her
    awareness of others with whom defendant transacted. Rather, the prosecution narrowly confined
    Andrews’ testimony to those matters necessary to rebut defendant’s attack on her credibility.
    Thus, we conclude that the trial court did not err by admitting Andrews’ testimony.
    Next, we turn to Moses’ testimony that she had been purchasing morphine from
    defendant “for a few years.” Arguably, Moses’ testimony regarding her history with defendant
    lends credence to her assertion that defendant supplied the morphine she subsequently sold to
    Andrews. However, unlike the testimony at issue in Starr, Moses’ testimony was not necessary
    to effectively rebut defendant’s argument that her account regarding the October 9, 2015
    transaction was fabricated. Rather, both Andrews and TRIDENT Agent Todd Gallagher
    corroborated Moses’ allegation that she purchased the morphine from defendant, as each testified
    that they positively identified defendant during the transaction. Accordingly, Moses’ testimony
    regarding her previous transactions with defendant was unduly prejudicial and was not admitted
    for the proper purpose of rebutting defendant’s attack on her credibility. Therefore, this
    testimony constitutes error in violation of MRE 404(b).
    Although admission of Moses’ testimony amounts to error, it was nonetheless harmless,
    as defendant has not demonstrated that it affected the outcome of trial such that reversal is
    -8-
    warranted. See 
    Walker, 273 Mich. App. at 66
    . Indeed, the unchallenged and admissible evidence
    against defendant overwhelmingly favored conviction. See People v Jackson, 
    498 Mich. 246
    ,
    280; 869 NW2d 253 (2015) (holding that overwhelming admissible evidence of a defendant’s
    guilt was sufficient to render a violation of Rule 404(b) harmless). As discussed above,
    defendant failed to rebut Andrews’, Briggs’, and Moses’ admissible, unchallenged testimony
    establishing his involvement in the October 6 and October 9, 2015 controlled purchases.
    Defendant also failed to rebut the testimony of the surveilling officers, who corroborated the
    events as detailed by these three witnesses, or the physical evidence produced at trial (i.e., the
    morphine tablets). Because the overwhelming weight of admissible evidence supported the
    jury’s verdict, we conclude that Moses’ improperly admitted testimony was not outcome
    determinative, and reversal is not warranted. See People v Denson, 
    500 Mich. 385
    , 409; 902
    NW2d 306 (2017).
    Finally, we turn to defendant’s objection to Briggs’ testimony. Briggs testified that on
    October 9, 2015, she facilitated a transaction between the second CI and defendant for the
    purchase of morphine. Although defendant was not charged for delivery under MCL
    333.7401(2)(a) for this transaction, the parties agree that it served as the basis for one of the two
    conspiracy charges. Because the prosecution voluntarily dismissed both conspiracy charges at
    the close of its proofs, defendant maintains that Briggs’ testimony with respect to this transaction
    was irrelevant and unduly prejudicial. However, Briggs testified before the conspiracy charges
    were voluntarily dismissed. Contrary to defendant’s suggestions, there is no indication of bad
    faith on the part of the prosecution. Nothing in the record supports an inference that either the
    prosecution or the trial court knew, at the time of Briggs’ testimony, that the conspiracy charges
    would be dismissed. Accordingly, at the time it was delivered, Briggs’ testimony did not run
    afoul of MRE 404(b), as it formed the basis of one of the charges at issue in the case and did not
    constitute “another” crime, wrong, or act. Additionally, the testimony was relevant under MRE
    401 with respect to the existence of a conspiracy between defendant and Briggs, as it tended to
    demonstrate a pattern whereby Briggs served as a contact or intermediary for those seeking to
    purchase drugs from defendant. See MCL 750.157a.
    Further, defendant made no objection to Briggs’ testimony at the time it was delivered,
    nor did he request that the jury be given a limiting instruction after the prosecution dismissed the
    conspiracy charges. “Counsel may not harbor error as an appellate parachute,” People v Riley,
    
    465 Mich. 442
    , 448; 636 NW2d 514 (2001) (quotation marks and citations omitted), by failing to
    object or request a limiting instruction but thereafter seek to set aside his conviction in favor of a
    new trial. We thus conclude that the trial court did not err in admitting Briggs’ testimony.
    C. PROSECUTORIAL DISQUALIFICATION
    Defendant next argues that the trial court erred by failing to disqualify the prosecutor
    because of his previous representation of defendant in a 2012 criminal case resulting in
    defendant’s convictions for delivery of narcotics and maintaining a drug house. We disagree.
    This Court reviews a trial court’s findings of fact regarding a motion for disqualification
    of counsel for clear error. People v Tesen, 
    276 Mich. App. 134
    , 141; 739 NW2d 689 (2007).
    “Clear error exists when the reviewing court is left with the definite and firm conviction that a
    mistake has been made.” People v Thompson (On Remand), 
    314 Mich. App. 703
    , 720; 887
    -9-
    NW2d 650 (2016) (quotation marks omitted). The application of the relevant law to the facts is
    reviewed de novo. 
    Tesen, 276 Mich. App. at 141
    . “[T]he application of ‘ethical norms’ to a
    decision whether to disqualify counsel is also reviewed de novo.” 
    Id. Under MRPC
    1.9(a), “[a] lawyer who has formerly represented a client in a matter shall
    not thereafter represent another person in the same or a substantially related matter in which that
    person’s interests are materially adverse to the interests of the former client unless the former
    client consents after consultation.” There is no dispute that the prosecutor’s interests are
    materially adverse to those of defendant in the present matter. Further, the prosecution concedes
    that, in accordance with the presumption established by Michigan case law, the trial prosecutor
    received confidential information in the course of his previous representation of defendant. See
    In re Osborne Minor, 
    237 Mich. App. 597
    , 609; 603 NW2d 824 (1999). However, the
    prosecution maintains that the present case is not “substantially related” to the 2012 charges.
    This Court has employed a three-pronged test to determine whether an attorney’s adverse
    subsequent representation is substantially related to the previous representation of a former
    client. Alpha Capital Mgt, Inc v Rentenbach, 
    287 Mich. App. 589
    , 605; 792 NW2d 344 (2010).
    A court must ascertain (1) the nature and scope of the prior representation; (2) the nature of the
    present lawsuit against the former client; and (3) in the course of the prior representation,
    whether the client might have disclosed to his attorney confidences which could be relevant to
    the present action and could be detrimental to the former client. 
    Id. With respect
    to its
    evaluation of the third element, courts are cautioned against “allow[ing] [their] imagination[s] to
    run free with a view to hypothesizing conceivable but unlikely situations in which confidential
    information ‘might’ have been disclosed which would be relevant to the present suit.” 
    Id. at 606
    (quotation marks and citations omitted). Additionally, a court may conclude that a subsequent
    case is substantially related to a previous matter if “the factual contexts of the two
    representations are similar or related.” People v Waterstone, 
    287 Mich. App. 368
    , 385; 789
    NW2d 669 (2010), rev’d on other grounds 
    486 Mich. 942
    (2010).
    Although little detail is provided regarding the scope and nature of the prosecutor’s
    previous representation of defendant, that matter concerned criminal charges resulting in
    defendant’s 2012 convictions for delivery of narcotics and maintaining a drug house. The
    charges at issue in both the previous and present cases are identical; however, the factual bases
    underlying them are unrelated. The present charges stem from discrete transactions that occurred
    on October 6 and October 9, 2015. The factual circumstances underlying defendant’s 2012
    convictions stem from conduct that occurred in 2011, four years before the offenses currently at
    issue. The mere fact that the previous charges served as a basis for defendant’s status as a third-
    degree habitual offender is immaterial, as defendant’s criminal history is a matter of public
    record. Accordingly, it cannot be said that the two cases are substantially related. See id.; Alpha
    Capital Mgt, 
    Inc, 287 Mich. App. at 605-606
    .
    Defendant contends that he need not prove actual bad faith on the part of the prosecution,
    as the mere “appearance of impropriety” is sufficient to justify disqualification. See People v
    Doyle, 
    159 Mich. App. 632
    , 642-644; 406 NW2d 893 (1987). As noted in Doyle, the “appearance
    of impropriety” standard was set forth by Canon 9 of the former Michigan Code of Professional
    Responsibility. 
    Id. at 642.
    However, this standard is no longer applicable, as discussed by the
    comment to MRPC 1.9:
    -10-
    Two problems can arise under this rubric. First, the appearance of impropriety
    might be understood to include any new client-lawyer relationship that might
    make a former client feel anxious. If that meaning were adopted, disqualification
    would become little more than a question of subjective judgment by the former
    client. Second, since “impropriety” is undefined, the term “appearance of
    impropriety” begs the question. Thus, the problem of imputed disqualification
    cannot readily be resolved either by simple analogy to a lawyer practicing alone
    or by the very general concept of appearance of impropriety.
    A rule based on a functional analysis is more appropriate for determining
    the question of vicarious disqualification. Two functions are involved: preserving
    confidentiality and avoiding positions adverse to a client.
    Defendant’s reliance on this standard is therefore misplaced, and we conclude that the trial court
    did not err in declining to disqualify the prosecutor.
    D. CORRECTION OF JUDGMENT OF SENTENCE
    Lastly, defendant asserts that his sentence for the conviction of one count of delivery of a
    controlled substance in lower court docket number 2016-003708-FH incorrectly indicates that he
    was sentenced to a minimum term of 39 months’ imprisonment. We agree, as does the
    prosecution. The record reflects that trial court sentenced defendant to a minimum term of 30
    months’ imprisonment for this offense. Remand for the ministerial task of correcting the
    judgment of sentence is appropriate when the judgment does not accurately reflect the sentence
    imposed by the trial court. See People v Shipley, 
    256 Mich. App. 367
    , 379; 662 NW2d 856
    (2003); People v Katt, 
    248 Mich. App. 282
    , 312; 639 NW2d 815 (2001). We remand for
    correction of the judgment of sentence.
    Affirmed, but lower court docket number 2016-003708-FH is remanded for the
    ministerial task of correcting the judgment of sentence. We do not retain jurisdiction.
    /s/ Christopher M. Murray
    /s/ Joel P. Hoekstra
    /s/ Michael F. Gadola
    -11-