State of Minnesota v. Marlon Terrell Pratt ( 2015 )


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  •                          This opinion will be unpublished and
    may not be cited except as provided by
    Minn. Stat. § 480A.08, subd. 3 (2014).
    STATE OF MINNESOTA
    IN COURT OF APPEALS
    A14-0463
    State of Minnesota,
    Respondent,
    vs.
    Marlon Terrell Pratt,
    Appellant.
    Filed April 6, 2015
    Affirmed
    Reyes, Judge
    Hennepin County District Court
    File No. 27CR0844935
    Lori Swanson, Attorney General, St. Paul, Minnesota; and
    Michael O. Freeman, Hennepin County Attorney, Lee W. Barry, Assistant County
    Attorney, Minneapolis, Minnesota (for respondent)
    Marlon Terrell Pratt, Minneapolis, Minnesota (pro se appellant)
    Considered and decided by Cleary, Presiding Chief Judge; Bjorkman, Judge; and
    Reyes, Judge.
    UNPUBLISHED OPINION
    REYES, Judge
    Appellant raises several arguments regarding his two trials for multiple counts of
    theft by swindle. We affirm.
    FACTS
    In 2009, a jury found appellant Marlon Terrell Pratt guilty of 17 counts of theft by
    swindle and two counts of racketeering for his role in a mortgage-loan-fraud scheme.
    The underlying facts are summarized in the supreme court’s review of Pratt’s first trial,
    State v. Pratt, 
    813 N.W.2d 868
     (Minn. 2012). The supreme court found that the district
    court judge who presided over Pratt’s first trial was disqualified under the Code of
    Judicial Conduct because he had been retained by the Hennepin County Attorney’s
    Office to serve as an expert witness in a different case. 813 N.W.2d at 872-73. As a
    result, the supreme court reversed Pratt’s convictions and remanded for further
    proceedings. Id. at 878-79.
    On remand, the district court granted Pratt’s motion to proceed pro se for his
    second trial. But the district court appointed advisory counsel from the Hennepin County
    Public Defender’s Office to assist Pratt as needed. On August 7, 2013, Pratt’s November
    2013 trial was assigned to Judge Stephen Swanson, with motions for continuances
    assigned to Judge Toddrick Barnette.
    At a pretrial hearing on October 29, Pratt properly presented a motion for a
    continuance before Judge Barnette. Pratt explained his many objections to the second
    trial, including that it was double jeopardy, that his advisory counsel was an informant,
    that the court lacked jurisdiction, and that the prosecutors had failed to meet their
    discovery obligations. Judge Barnette denied Pratt’s motion for a continuance.
    On November 5, Pratt again moved for a continuance, but at a pretrial hearing
    before Judge Swanson. Eventually, Judge Swanson recessed the hearing so that Pratt
    2
    could contact Judge Barnette’s office. Because Judge Barnette was unavailable, Judge
    Mark Wernick heard Pratt’s motion for a continuance. Pratt repeated his earlier
    explanation, and also explained that his wife had been diagnosed with stage-three cancer.
    In response, Judge Wernick explained that Judge Barnette had previously resolved Pratt’s
    motion for a continuance based on discovery problems so he would only consider Pratt’s
    motion for a continuance based on his wife’s diagnosis. Judge Wernick denied Pratt’s
    motion for a six-month continuance, explaining that he could not continue Pratt’s case
    indefinitely while Pratt’s wife dealt with this serious and potentially long-term health
    problem. The parties then resumed their pretrial hearing before Judge Swanson, who
    denied Pratt’s motions to dismiss for lack of subject-matter jurisdiction, lack of probable
    cause, lack of personal jurisdiction, prosecutorial misconduct, failure to produce
    evidence, double jeopardy, and res judicata.
    After this hearing, Pratt alleged that his advisory counsel, the prosecutor, and
    Judge Wernick had engaged in improper ex-parte communications. Pratt explained that,
    as he was waiting outside Judge Barnette’s chambers on November 5, he saw the
    prosecutors and his advisory counsel enter the judge’s chambers through a back entrance.
    According to Pratt, he learned from a law clerk that the attorneys were discussing Pratt’s
    continuance motion with Judge Wernick. But Pratt’s advisory counsel disputed Pratt’s
    allegation:
    Before we do go off the record, I want to comment on
    what happened out of the court’s presence regarding Judge
    Barnette’s chambers.
    3
    At no time, counsel can verify for me, did we have any
    communication with the court regarding Mr. Pratt’s request
    for continuance.
    The only person we communicated with was a clerk
    searching for the judge that would handle Mr. Pratt’s motion.
    Judge Wernick later submitted a statement, in which he explained:
    Prior to taking the bench [to hear Pratt’s continuance motion],
    neither the prosecutor nor [Pratt’s] advisory counsel came
    back to the [c]ourt’s chambers. This [c]ourt had no “off the
    record” conversations with either the prosecutor or [Pratt’s]
    advisory counsel about [Pratt’s] continuance motion.
    [Pratt’s] claim to the contrary is categorically false.
    The district court later denied Pratt’s motion for an evidentiary hearing to develop the
    record regarding his ex-parte-communication allegation.
    After jury selection had begun on Pratt’s second trial, Pratt again moved for a
    continuance and filed several motions regarding evidentiary issues. All of his motions
    were denied. A few days later, the parties presented a settlement agreement to the
    district court, in which they agreed to a stipulated-facts trial under Minn. R. Crim. P.
    26.01, subd. 3, on counts 3, 4, 5, 6, and 8 of the amended complaint. If the district court
    accepted the agreement and entered a guilty judgment to all five counts, the state agreed
    to dismiss the remaining charges with prejudice and to recommend a sentence that would
    not require Pratt to return to incarceration. After Pratt waived his trial rights on the
    record, the district court accepted the agreement and received exhibits for the stipulated-
    facts trial.
    On December 2, 2013, the district court filed a written order finding Pratt guilty of
    the five counts presented in the stipulated-facts trial. That same day, Pratt filed a motion
    4
    to rescind the agreement, arguing that he was tricked into accepting it. Pratt repeated this
    motion the next day and moved to dismiss all charges with prejudice.
    On December 4, the district court held a hearing to pronounce its judgments, and
    denied Pratt’s motions as untimely. Two days later, Pratt moved to void the district
    court’s judgment. At Pratt’s sentencing hearing, the district court denied this motion, and
    sentenced Pratt to 1,022 days in prison with credit for 1,022 days served. The state then
    agreed to dismiss all remaining charges against Pratt, and the district court ordered
    dismissal. This appeal followed.
    DECISION
    I.     Denial of Pratt’s motion for a continuance
    Pratt first challenges the denial of his second motion for a continuance, which was
    heard before Judge Wernick on November 5, 2013. We review the denial of a motion for
    continuance for a clear abuse of discretion. State v. Rainer, 
    411 N.W.2d 490
    , 495 (Minn.
    1987). But “[a] defendant must show prejudice to justify reversal” of the district court’s
    denial. 
    Id.
    Pratt argues that Judge Wernick should have been prevented from ruling on the
    continuance motion because he was a material witness in Pratt’s case, he was biased
    against Pratt, and he had an interest in the outcome of Pratt’s case. See Minn. Code Jud.
    Conduct Rule 2.11(A) (stating that a judge should disqualify himself if he has bias or
    prejudice concerning a party, personal knowledge of the facts, or is “likely to be a
    material witness in the proceeding”). But the record does not support Pratt’s assertions.
    Pratt placed Judge Wernick on his list of potential witnesses for his second trial because
    5
    Judge Wernick presided over several hearings before Pratt’s first trial. The district court
    denied Pratt’s request to subpoena Judge Wernick because he had no information relevant
    to the jury or to the charges in the complaint. There is no evidence that Judge Wernick
    was a “material witness” with an interest in the outcome of Pratt’s trial, as Pratt suggests.
    Moreover, our review of the motion-hearing transcript does not uncover any bias
    on the part of Judge Wernick.1 Judge Wernick listened to Pratt’s lengthy request for a
    continuance before denying Pratt’s motion because, even though his wife’s medical
    condition was very serious, his trial could not be postponed indefinitely. He then told
    Pratt that he could ask Judge Swanson for accommodations during trial if he needed time
    to handle his family obligations. The mere fact that Judge Wernick had previously issued
    rulings in Pratt’s case and in the case of Pratt’s codefendant does not render him biased
    against Pratt. See State v. Dorsey, 
    701 N.W.2d 238
    , 249 (Minn. 2005) (“[J]udges are
    presumed to have the ability to set aside nonpersonal knowledge and make decisions
    based solely on the merits of cases before them.” (quotation omitted)); State v. Kramer,
    
    441 N.W.2d 502
    , 505 (Minn. App. 1989) (“A judge’s prior adverse ruling in a case is not
    sufficient to show prejudice which would disqualify the judge.”), review denied (Minn.
    Aug. 9, 1989); Olson v. Olson, 
    392 N.W.2d 338
    , 341 (Minn. App. 1986) (“Prior adverse
    rulings . . . cannot constitute bias.”).
    Pratt also suggests that Judge Wernick’s ruling on the continuance motion violated
    his due-process rights. But, unlike the situation in Pratt’s cited caselaw, there is no
    1
    Pratt suggests that this transcript is inaccurate. But the accuracy of a transcript is an
    issue for the district court. See Doty v. Doty, 
    533 N.W.2d 72
    , 75 (Minn. App. 1995)
    (“We will not resolve a factual dispute about the accuracy of the transcript.”).
    6
    evidence of actual or potential bias on the part of Judge Wernick. See Caperton v. A.T.
    Massey Coal Co., Inc., 
    556 U.S. 868
    , 872, 881, 884, 
    129 S. Ct. 2252
    , 2257, 2262-64
    (2009) (finding that “due process requires recusal” and “there is a serious risk of actual
    bias” when a judge receives a large campaign contribution from a party). There is also
    no evidence that denial of the November 5 continuance motion prejudiced the outcome of
    Pratt’s trial, particularly because Judge Wernick did not preside over Pratt’s trial and
    because Pratt brought other motions for continuances, which were also denied. We
    therefore conclude that Judge Wernick was not precluded from ruling on Pratt’s
    continuance motion, and did not abuse his discretion in denying the motion.
    II.    Ex-parte communications
    Pratt argues that his advisory counsel, the prosecutor, and Judge Wernick engaged
    in an improper ex-parte communication on November 5.2 Both judges and lawyers are
    generally prohibited from engaging in ex-parte communications. Minn. Code Jud.
    Conduct Rule 2.9; Minn. R. Prof. Conduct 3.5(g).
    Pratt is correct that any ex-parte communication regarding his motion for a
    continuance would have constituted an error. See State v. Schlienz, 
    774 N.W.2d 361
    , 367
    (Minn. 2009) (explaining that the judge’s communication with the prosecutor regarding
    2
    The state argues that Pratt has waived this argument because he “provides no
    documented factual support, makes no legal argument, and fails to cite any legal
    authority in support of his allegation of error.” We disagree. In his appellate brief, Pratt
    provides documentation and cites Minnesota caselaw. Pratt has provided an adequate
    record for our review. See Thorp Loan and Thrift Co. v. Morse, 
    451 N.W.2d 361
    , 363
    (Minn. App. 1990) (“When an appellant acts as attorney pro se, appellate courts are
    disposed to disregard defects in the brief, but that does not relieve appellants of the
    necessity of providing an adequate record and preserving it in a way that will permit
    review.”), review denied (Minn. Apr. 13, 1990).
    7
    the defendant’s plea-withdrawal motion was an error). But there is simply no evidence to
    corroborate Pratt’s claim that an ex-parte communication occurred. Both Pratt’s advisory
    counsel and Judge Wernick stated on the record that no ex-parte communication took
    place.
    And, even if an ex-parte communication had occurred, the error was harmless
    beyond a reasonable doubt. See State v. Kelley, 
    517 N.W.2d 905
    , 908 (Minn. 1994)
    (“[T]he defendant is not entitled to relief if the error was harmless beyond a reasonable
    doubt.”). There is no evidence that the alleged ex-parte communication affected the
    outcome of Pratt’s trial or the denial of Pratt’s many other motions for continuance. See
    
    id.
     Pratt is not entitled to a new trial based on his ex-parte-communication allegation.
    III.     Prosecutorial misconduct
    Pratt argues that the prosecutor committed prejudicial misconduct by failing to
    disclose the first trial judge’s conflict of interest. When reviewing a claim of
    prosecutorial misconduct, we “will reverse only if the misconduct, when considered in
    light of the whole trial, impaired the defendant’s right to a fair trial.” State v. Powers,
    
    654 N.W.2d 667
    , 678 (Minn. 2003). “If the misconduct was serious, the misconduct is
    harmless beyond a reasonable doubt if the verdict rendered was surely unattributable to
    the error. For less serious misconduct, the standard is whether the misconduct likely
    played a substantial part in influencing the jury to convict.” 
    Id.
     (quotations and citations
    omitted).
    The record reveals that the prosecutor disclosed the first judge’s potential conflict
    of interest the day after he learned of it. We conclude that there is therefore no evidence
    8
    of prosecutorial misconduct. In addition, the supreme court already granted Pratt a
    remedy for the first judge’s disqualification by remanding for a new trial. Pratt, 813
    N.W.2d at 878-79. In doing so, the supreme court did not suggest that there was any
    misconduct on the part of the prosecutor. Pratt cites no caselaw that a prosecutor who
    properly discloses a judge’s potential conflict is barred from prosecuting a second trial on
    remand. Because there is no evidence of prosecutorial misconduct, let alone serious
    misconduct, Pratt is not entitled to another new trial based on the first trial judge’s
    conflict of interest. See Powers, 654 N.W.2d at 678.
    IV.    Destruction or concealment of evidence
    Pratt next argues that the prosecutors violated their discovery obligations under
    Minn. R. Crim. P. 9.01 by destroying or concealing material and exculpatory evidence.
    Rule 9.01 requires prosecutors to disclose evidence to defendants, including evidence
    “that tends to negate or reduce the defendant’s guilt.” Minn. R. Crim. P. 9.01, subd. 1(6).
    We review de novo whether a discovery violation has occurred. State v. Boldman, 
    813 N.W.2d 102
    , 109 (Minn. 2012). A defendant must show that the discovery violation
    prejudiced him by affecting the outcome of the trial. 
    Id.
     A determination regarding
    prejudice “rests within the discretion of the trial judge, whose determination will only be
    reversed when the discovery violation, viewed in the light of the whole record, appears to
    be inexcusable and so prejudicial that the defendant’s right to a fair trial was denied.” 
    Id.
    The district court found that “there is nothing in the record that indicates in any
    way any impropriety or wrong-doing on the state’s part in terms of honoring [Pratt’s]
    requests for discovery.” We agree. The record reveals that the state made all of its
    9
    evidence available for Pratt to view at his convenience, and that Pratt never requested an
    opportunity to do so. The district court also repeatedly explained the state’s discovery
    obligation and Pratt’s obligation to perform his own investigation. Eventually, the
    district court asked the state to provide additional information to Pratt, which he could
    have reviewed earlier, because Pratt “need[ed] some assistance,” not because the state
    had violated a discovery obligation. We can find no evidence that the state improperly
    concealed evidence from Pratt.
    The district court also found that “[t]here’s nothing that [Pratt has] produced that
    would suggest in any way that the state has destroyed any exculpatory evidence.” When
    analyzing a destruction-of-evidence claim, “we consider whether the destruction was
    intentional and whether the exculpatory value of the lost or destroyed evidence was
    apparent and material.” State v. McDonough, 
    631 N.W.2d 373
    , 387 (Minn. 2001). Pratt
    is correct that certain physical items, including a gun and computers, were lost or
    destroyed before his second trial. But there is no evidence in the record that the
    destruction was intentional. In addition, there is no evidence that the items were material
    to Pratt’s trial. The computer files were copied and made available to Pratt. And the
    district court found that the gun was not relevant, particularly in light of Pratt’s
    concession that it was not introduced into evidence or even mentioned at his first trial.
    Because the allegedly destroyed evidence was either irrelevant or provided to Pratt in a
    different form, there is no indication that the evidence was exculpatory or material to
    Pratt’s trial. See 
    id.
    10
    Pratt also appears to suggest that the destruction of the evidence created a Brady
    violation. A Brady violation occurs when (1) evidence favorable to the accused because
    it is exculpatory or impeaching; (2) is willfully or inadvertently suppressed by the state;
    and (3) causes prejudice to the accused. Pederson v. State, 
    692 N.W.2d 452
    , 459 (Minn.
    2005). As stated above, there is no evidence that the missing items were exculpatory or
    favorable to Pratt and there is no evidence that Pratt suffered prejudice. See 
    id.
     There is
    therefore no evidence of a Brady violation, and no evidence that the prosecutors violated
    their discovery obligations under Minn. R. Crim. P. 9.01.
    V.     Sufficiency of the evidence
    “In assessing the sufficiency of the evidence, we review the evidence to determine
    whether the facts in the record and the legitimate inferences drawn from them would
    permit the jury to reasonably conclude that the defendant was guilty beyond a reasonable
    doubt of the offense of which he was convicted.” State v. Al-Naseer, 
    788 N.W.2d 469
    ,
    473 (Minn. 2010) (quotation omitted). Pratt argues that the evidence was insufficient to
    prove that he engaged in a felonious swindle scheme because the jury in his first trial
    found that the lenders suffered $0 in damages. But the supreme court rejected this
    argument in Pratt’s previous appeal. See Pratt, 813 N.W.2d at 875 (stating that Pratt’s
    argument that the evidence did not show that the lenders were deprived of their loan
    funds had “no merit” because “‘permanent deprivation’ is not an element of theft by
    swindle”).
    In this appeal, Pratt appears to suggest that he is entitled to the jury’s finding of $0
    in damages due to the principles of double jeopardy, res judicata, and collateral estoppel.
    11
    But double jeopardy does not bar retrial when a conviction is reversed based on a trial
    error. State v. Harris, 
    533 N.W.2d 35
    , 36 (Minn. 1995). And res judicata and collateral
    estoppel apply only after claims or issues have been adjudicated. Hauschildt v.
    Beckingham, 
    686 N.W.2d 829
    , 837 (Minn. 2004). Here, Pratt’s guilt was not previously
    adjudicated because he was granted a new trial, and the district court was free to reach a
    judgment without consulting the previous jury verdict. In addition, the jury’s finding of
    no damages was irrelevant to the determination of Pratt’s guilt. See State v. Lone, 
    361 N.W.2d 854
    , 860 (Minn. 1985) (“In theft by swindle, value becomes irrelevant.”); see
    also Pratt, 813 N.W.2d at 875.
    Pratt does not appear to challenge the sufficiency of the evidence for any element
    of theft by swindle. The elements of theft by swindle are: (1) the owner of property gave
    up possession due to a swindle; (2) the defendant intended to obtain possession of the
    property for himself or someone else; and (3) the defendant’s act was a swindle. See
    
    Minn. Stat. § 609.52
    , subd. 2(4) (2010); 10 Minnesota Practice, CRIMJIG 16.10 (2006).
    In his second trial, Pratt stipulated to evidence that he negotiated loan transactions above
    the price of the property with the excess money transferred to him and that the lenders
    were not advised of this arrangement. The district court concluded that the lenders would
    likely have rejected the loan applications had they known of the payments to Pratt and
    that the lenders therefore forwarded money due to Pratt’s swindle. Based on our review
    of the record, the stipulated evidence was sufficient for the district court to conclude that
    Pratt was guilty of the five theft-by-swindle offenses. See Al-Naseer, 788 N.W.2d at 473;
    see also Pratt, 813 N.W.2d at 875 (stating that the only reasonable inference was that the
    12
    lenders would not have approved the loans “if they had known of the falsehoods and
    misrepresentations contained within them”).
    VI.    Pratt’s waiver of trial rights
    Pratt next appears to argue that his waiver of trial rights under rule 26.01,
    subdivision 3, was inadequate.3 “When a defendant waives a jury trial or agrees to a trial
    on stipulated facts, the Minnesota Rules of Criminal Procedure require that the defendant
    make an express waiver of specified trial rights.” State v. Knoll, 
    739 N.W.2d 919
    , 921
    (Minn. App. 2007) (citing Minn. R. Crim. P. 26.01, subds. 1, 3). A defendant “must
    acknowledge and personally waive the rights to: (1) testify at trial; (2) have the
    prosecution witnesses testify in open court in the defendant’s presence; (3) question those
    prosecution witnesses; and (4) require any favorable witnesses to testify for the defense
    in court.” Minn. R. Crim. P. 26.01, subd. 3(a). Failure to obtain a valid waiver of each
    right may result in the reversal of a defendant’s conviction. State v. Antrim, 
    764 N.W.2d 67
    , 71 (Minn. App. 2009).
    Here, Pratt’s waiver was made orally on the record. See Minn. R. Crim. P. 26.01,
    subd. 3(b) (“The agreement and the waiver must be in writing or be placed on the
    record.”). The district court explained that it had a number of questions for Pratt pursuant
    to the rules of criminal procedure and that Pratt would need to knowingly and voluntarily
    waive his trial rights. The district court then stated: “You have asserted over the last
    3
    Pratt may instead be arguing that the district court erred by denying his first motion to
    rescind the agreement. Pratt argued to the district court that, under the Truth in Lending
    Act (TILA), he had 72 hours to rescind his agreement. But TILA does not apply to an
    agreement in a criminal case. See 
    12 C.F.R. § 226.1
    (b) (explaining that TILA “gives
    consumers the right to cancel certain credit transactions”).
    13
    weeks and days that you are suffering from such emotional distress that you cannot think
    clearly. If I were to think that that was the case today, then I could not accept any
    waivers and we could not go forward with this agreement.” After consulting with his
    advisory counsel, Pratt stated: “Today I am in the correct state of mind to agree to these
    stipulations.” Following this statement, the district court asked Pratt several questions to
    ensure that he was thinking clearly, was not under the influence of medication, and
    wanted to enter the plea agreement. Pratt again consulted his advisory counsel before the
    district court led Pratt through the following waiver of his rights:
    THE COURT:            All right. Well, then let me go through
    the requirements of the rule and let me read it right out here in
    the record. This is 26.01, subd. 3, trial on stipulated facts,
    subsection (a). The defendant and the prosecutor may agree
    that a determination of defendant’s guilt may be submitted to
    and tried by the court based on stipulated facts. Before
    proceeding the defendant must acknowledge and personally
    waive the following rights. And I’ll just go through these
    rights with you right now. Because this is a stipulated facts
    trial, by definition you are giving up some rights. Do you
    understand?
    PRATT:         Mm-hmm.
    THE COURT:            All right. The first right is you are
    giving up the right to testify at trial. Do you understand that
    right?
    PRATT:         Are you . . . speaking of this trial right now
    today?
    THE COURT:            Yes.
    PRATT:         Okay.
    THE COURT:            Because . . . this is a stipulated facts trial,
    you won’t have the opportunity to sit in the witness stand and
    testify.
    PRATT:         Got you.
    THE COURT:            Do you understand that?
    PRATT:         Yes, sir.
    THE COURT:            Do you give up that right?
    PRATT:         Yes.
    14
    THE COURT:            Do you also understand that you give up
    the right to have the prosecution witnesses testify in open
    court in your presence?
    PRATT:        Yes, I understand and I give up the right today
    to have the witnesses testify on behalf of the prosecutor.
    THE COURT:            Do you also understand that you are
    giving up your right to question the prosecution witnesses?
    PRATT:        Yes.
    THE COURT:            And do you understand that you are
    giving up the right to have the court issue a subpoena to
    require witnesses favorable to your side to appear here in
    court?
    PRATT:        Yes.
    THE COURT:            You also understand that you are giving
    up your right to a jury trial?
    PRATT:        Yes.
    THE COURT:            Because that’s what we’re about to
    begin. You understand?
    PRATT:        Yes.
    THE COURT:            All right. Mr. Pratt, all these rights that
    you have indicated that you are giving up today, are you
    doing this freely and voluntarily?
    PRATT:        Yes.
    Pratt and the district court then discussed Pratt’s waiver and the effect of this waiver for
    several more minutes.
    We conclude that the parties here did not conduct a proper stipulated-facts trial
    under rule 26.01, subdivision 3 because, rather than presenting stipulated facts to the
    district court, they presented a body of evidence for the district court to consider. See
    Dereje v. State, 
    837 N.W.2d 714
    , 720 (Minn. 2013) (distinguishing between an
    agreement “regarding the actual event or circumstance” and an agreement regarding “the
    material to be submitted to the trial court”). “[T]he submission of documentary evidence
    presenting contradictory versions of events cannot constitute a valid trial on stipulated
    facts under Minn. R. Crim. P. 26.01, subd. 3.” Id. at 721. Nevertheless, the parties met
    15
    the requirements for a bench trial under rule 26.01, subdivision 2. See id. Based on the
    above record, we conclude that Pratt validly waived all of his jury-trial rights. See Minn.
    R. Crim. P. 26.01, subd. 1(2). Contrary to Pratt’s allegation, there is no evidence that
    Pratt was coerced into the agreement by his advisory counsel, the prosecutors, or the
    district court. Because Pratt’s waiver of his rights was adequate, the district court did not
    err by denying Pratt’s motion to vacate or void the agreement.
    VII.   Jurisdiction
    Finally, Pratt argues that the district court lacked jurisdiction “to hear [his] case.”
    As evidence, Pratt cites a notarized deed of trust and consent judgment that he submitted
    to the district court and a certificate from the Minnesota Secretary of State certifying the
    notary public who notarized this document. Pratt suggests that, through the certificate,
    the secretary of state authenticated Pratt’s documents, and that somehow the documents
    eliminated the district court’s jurisdiction. But, as the district court explained several
    times to Pratt, the consent-judgment concept does not apply in criminal cases. See City of
    Barnum v. Sabri, 
    657 N.W.2d 201
    , 205-06 (Minn. App. 2003) (explaining that parties can
    negotiate an agreement in a civil case and enter a consent decree, which “does not
    represent the judgment of the court”). And by certifying a notary public, the secretary of
    state did not certify the legality of Pratt’s documents. Cf. Barnard v. Schuler, 
    100 Minn. 289
    , 292, 
    110 N.W. 966
    , 968 (1907) (explaining that a notary must certify that the party
    before her is the person executing the document, but does not certify “the absolute
    correctness” of the document).
    16
    “Jurisdiction” refers to a court’s “power to hear and decide disputes.” State v.
    Smith, 
    421 N.W.2d 315
    , 318 (Minn. 1988). In a criminal case, a district court has
    jurisdiction over anyone charged with committing an offense within the state. 
    Minn. Stat. § 609.025
    (1) (2010); Sykes v. State, 
    578 N.W.2d 807
    , 811 (Minn. App. 1998), review
    denied (Minn. July 16, 1998). Pratt was charged with and convicted of committing theft
    by swindle in Hennepin County, and he does not challenge the location of his crimes.
    The district court therefore had jurisdiction over Pratt’s case.
    Affirmed.
    17