Com. v. Cope, S. ( 2023 )


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  • J-S14029-23
    NON-PRECEDENTIAL DECISION - SEE SUPERIOR COURT O.P. 65.37
    COMMONWEALTH OF PENNSYLVANIA                 :   IN THE SUPERIOR COURT OF
    :        PENNSYLVANIA
    :
    v.                             :
    :
    :
    STEVEN MICHAEL COPE, JR.                     :
    :
    Appellant               :   No. 942 WDA 2022
    Appeal from the Judgment of Sentence Entered July 25, 2022
    In the Court of Common Pleas of Westmoreland County Criminal Division
    at No(s): CP-65-CR-0000830-2021
    BEFORE:      PANELLA, P.J., BENDER, P.J.E., and PELLEGRINI, J.*
    MEMORANDUM BY BENDER, P.J.E.:                       FILED: August 18, 2023
    Appellant, Steven Michael Cope, Jr., appeals from the judgment of
    sentence of 23 to 46 years of incarceration, imposed following his jury trial
    convictions for several sexual assault crimes committed against two male
    minors. Appellant challenges the admission of uncharged allegations of sexual
    abuse against a third minor, as well as the admissibility of hearsay statements
    under the Tender Years Hearsay Act (“TYHA”), 42 Pa.C.S. § 5985.1.           We
    affirm.
    Appellant is the half-brother of the victims, D.C. and T.S. The alleged
    abuse occurred in May of 2018, when D.C. was ten years old and T.S. was
    five.   By the time of trial, the victims were fourteen and ten.      The abuse
    occurred one evening in the March of 2018, when Appellant, who lived in the
    residence, watched the children overnight while their mother, J.C., was in New
    ____________________________________________
    * Retired Senior Judge assigned to the Superior Court.
    J-S14029-23
    York City. When J.C. returned, T.S. told her that Appellant had tried to touch
    him in a sexual manner. The following morning, J.C. demanded that Appellant
    leave the residence. In 2019, D.C. disclosed that Appellant had touched him
    in his private area, and T.S. likewise disclosed that Appellant had abused him,
    prompting J.C. to report the abuse.
    T.S. testified that Appellant masturbated in front of him and offered him
    fifty dollars if T.S. gave Appellant oral sex. Both T.S. and D.C. testified that
    Appellant put his mouth on their penises. Both victims were interviewed by a
    forensic specialist in May of 2019, the recordings of which were introduced at
    trial under the TYHA. In those interviews, D.C. stated that Appellant put his
    penis in D.C.’s anus.   Both children stated that the incidents started with
    Appellant touching their penises.
    Authorities learned that Appellant allegedly abused a five-year-old child,
    Z.G., while attempting to serve his arrest warrant. On February 10, 2021,
    Trooper David Wineland visited Z.G.’s home and spoke to his mother, T.T.
    During the ensuing conversation, Trooper Wineland stated that Appellant was
    wanted for sexual abuse. T.T. asked if she should ask her children if Appellant,
    who babysat Z.G. for several months while T.T. worked, had abused them.
    Trooper Wineland advised her to let the investigation continue and told her
    not to ask. T.T. testified that she ignored this advice and, immediately after
    the trooper departed, asked Z.G. if Appellant had touched him. Z.G. pointed
    to his crotch and made a circular motion with his finger. She reported this to
    authorities and, five days later, Z.G. sat for a forensic interview where he
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    again indicated that Appellant had touched his penis.        The Commonwealth
    decided not to pursue charges against Appellant concerning Z.G.’s allegations.
    The trial court inquired about this during the pre-trial hearing and Trooper
    Charles Irvin explained, “Due to [Z.G.]’s age, even though he made some
    disclosures, his ability to articulate in more detail, he didn’t have the maturity
    at the time to do that.         The District Attorney’s Office felt it was not an
    appropriate time to go forward.” N.T., 4/20/22, at 32.
    Appellant was convicted following a jury trial and sentenced as stated.
    On August 18, 2022, Appellant filed a timely notice of appeal and complied
    with the court’s order to file a Pa.R.A.P. 1925(b) concise statement of matters
    complained of on appeal. The trial court authored an opinion in response, and
    we now review Appellant’s claims:
    1. Whether the court commit[t]ed reversible error by improperly
    admitting certain evidence pursuant to Pa.R.E. 404(b), specifically
    the testimony of [T.T.], juvenile, Z.G., and Detective Irvin of the
    Greensburg police department, as well as the forensic interview
    conducted with Z.G., thereby denying … [A]ppellant of a fair trial
    as guaranteed by both the federal constitution and the
    [C]onstitution of the Commonwealth of Pennsylvania?
    2. Whether the court commit[t]ed reversible error by improperly
    admitting evidence pursuant to the [TYHA] … specifically the
    testimony of alleged victims, T.S., D.C., and 404(b) witness, Z.G.,
    thereby denying … [A]ppellant of a fair trial as guaranteed by the
    federal constitution and the [C]onstitution of the Commonwealth
    of Pennsylvania?
    3. Whether the sentence, ordering Appellant to comply with the
    rules and regulations of SORNA[1] as a lifetime registrant is an
    ____________________________________________
    1 The Sexual Offender Registration and Notification Act (“SORNA”), 42 Pa.C.S.
    §§ 9799.10-9799.42
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    illegal sentence, as that requirement exceedes [sic] the maximum
    statutory sentence for any offense for which … [A]ppellant was
    convicted?
    Appellant’s Brief at 7.
    Appellant’s first issue challenges the admission of Z.G.’s allegations of
    abuse. Pennsylvania Rule of Evidence 404(b) “embodies our pre-codification
    jurisprudence acknowledging the inadmissibility of propensity evidence.”
    Commonwealth v. Yale, 
    249 A.3d 1001
    , 1018 (Pa. 2021). The common law
    rule held “that a distinct crime, unconnected with that laid in the indictment,
    cannot be given in evidence against a prisoner. It is not proper to raise a
    presumption of guilt, on the ground, that having committed one crime, the
    depravity it exhibits makes it likely he would commit another.” Shaffner v.
    Commonwealth, 
    72 Pa. 60
    , 65 (Pa. 1872).           The reason for barring this
    evidence is not one “of relevance, but of policy, i.e., because of a fear that
    such evidence is so powerful that the jury might misuse the evidence and
    convict based solely upon criminal propensity.” Commonwealth v. Dillon,
    
    925 A.2d 131
    , 137 (Pa. 2007).
    The text of Rule 404(b) codifies this general prohibition. “Evidence of
    any other crime, wrong, or act is not admissible to prove a person’s character
    in order to show that on a particular occasion the person acted in accordance
    with the character.” Pa.R.E. 404(b)(1). The Rule authorizes exceptions for
    “another purpose, such as proving motive, opportunity, intent, preparation,
    plan, knowledge, identity, absence of mistake, or lack of accident.” Pa.R.E.
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    404(b)(2). The Commonwealth must establish that “the probative value of
    the evidence outweighs its potential for unfair prejudice.” 
    Id.
    The admission of evidence is reviewed for an abuse of discretion.
    Commonwealth v. Drumheller, 
    808 A.2d 893
    , 904 (Pa. 2002). “An abuse
    of discretion is not merely an error of judgment, but is rather the overriding
    or misapplication of the law, or the exercise of judgment that is manifestly
    unreasonable, or the result of bias, prejudice, ill-will or partiality, as shown by
    the evidence of record.” Commonwealth v. Harris, 
    884 A.2d 920
    , 924 (Pa.
    Super. 2005) (citation omitted).
    The threshold question for a Rule 404(b) analysis is whether the
    evidence is relevant to something other than propensity.          In its Pa.R.A.P.
    1925(a) opinion, the trial court explained that the evidence was relevant to
    show a “common plan, scheme, or design.”
    Rule 404(b) allows evidence of other crimes “when it tends to
    prove a common plan, scheme, or design embracing the
    commission of two or more crimes so related to each other that
    proof of one tends to prove the others.”          Pa.R.E. 404(b);
    Commonwealth v. Saez, 
    225 A.3d 169
    , 178 (Pa. Super. 2019);
    Commonwealth v. O’Brien, 
    836 A.2d 966
     (Pa. Super. 2003)
    (two prior sexual assaults on minor boys admissible under
    common-scheme-or-plan exception in trial relating to assault on
    third minor boy). To determine whether bad acts evidence is
    admissible as evidence of a common plan or scheme, the trial
    court should ascertain “the details and surrounding circumstances
    of each criminal incident to assure that the evidence reveals
    criminal conduct which is distinctive and so nearly identical as to
    become the signature of the same perpetrator.” Commonwealth
    v. G.D.M., Sr., 
    926 A.2d 984
    , 987 (Pa. Super. 2007) (citation
    omitted). Some factors relevant to this inquiry include the types
    of victims chosen by the perpetrator, the time and place of
    committing the crimes, as well as the “patterns of action or
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    J-S14029-23
    conduct” by the perpetrator to commit the crime. G.D.M., Sr.[,]
    
    926 A.2d at 987
    .
    In this case, all three victims were males aged ten and under. The
    sexual assaults all happened in the victims’ homes while the
    children’s parents were away and … [Appellant] was acting as a
    babysitter. Also, … [Appellant] had known all three victims for a
    substantial period of time before assaulting them. The assaults
    all started with … [Appellant] touching [each] victim’s penis. The
    assault on Z.G. ended at that point but the assaults on D.C. and
    T.S. progressed beyond that act. This [c]ourt found that these
    similarities were sufficient to show that the sexual assaults on D.C.
    and T.S. were part of a common plan or scheme which continued
    through the assault on Z.G.[,] and that evidence of each crime
    was relevant and admissible to prove the other.
    Trial Court Opinion, 10/12/22, at 12-13 (citation omitted).
    Appellant responds that this ruling constitutes an abuse of discretion
    because, “while there is a somewhat detailed account of the allegations that
    gave rise to the criminal charges, there is a near complete lack of detail with
    respect to the disclosure made by Z.G.” Appellant’s Brief at 13. Appellant
    agrees there are “broad commonalties between the allegations and the 404(b)
    material, [but] there is no nexus connecting them to the ‘same perpetrator.’”
    Id. at 14. Specifically, Appellant argues that the allegations pertaining to Z.G.
    are not sufficiently similar to the allegations concerning D.C. and T.S.
    Yes, Appellant was in the care of the minors [sic], outside the
    presence of their respective parents, and all were under the age
    of ten. However, two of the victims were … Appellant’s half-
    brothers. To say that he knew them for a substantial period of
    time would be a mischaracterization. Appellant knew, or at least
    knew of[,] each of them for the entirety of their lives. There was
    no evidence that … Appellant made any attempt to bring these
    two minors into his orbit for the purpose of sexually abusing them.
    They were his family. Moreover, there was no testimony that …
    Appellant knew Z.G. for any period of time beyond that which he
    was babysitting for [T.T]. As far as the time and place of
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    committing these crimes, the [c]ourts in the Commonwealth
    understand that crimes of a sexual nature often take place in
    isolation. For the [t]rial [c]ourt to latch onto this only draws
    … Appellant into the larger pool of those who commit sexual
    violence. Plainly stated, the attendant commonalities are too
    remote for the stringent requirements of 404(b).
    Id. at 12-13 (emphasis added).
    Appellant thus offers that little distinguishes the alleged assaults against
    Z.G. from acts committed by any other sexual offender, and therefore there
    is no specific plan that may be attributed to Appellant as a distinctive method
    of committing sexual assault.           Accordingly, Appellant maintains that the
    evidence was used for a forbidden propensity purpose, as absent a common
    plan,2 the introduction of Z.G.’s allegations, if believed by the fact-finder,
    established only that Appellant had a propensity for abusing children.
    Initially, we note that Appellant concedes that the trial court properly
    determined that the evidence was relevant to a non-propensity purpose.
    “Based on the nature of the allegations, and the disclosure of Z.G., the [t]rial
    [c]ourt properly concluded that the 404(b) evidence at issue pointed to the
    ‘common plan, scheme, or design’….” Id. at 12. This concession accepts that
    the evidence was relevant for the purpose of establishing a “common plan,
    scheme, or design,” with a corresponding legal question of whether the
    allegations concerning Z.G. had the requisite degree of similarity demanded
    by caselaw.
    ____________________________________________
    2 This exception tends to be described as “common plan, scheme, or design.”
    For ease of reference, we shall at times generically refer to it as the common
    plan exception.
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    The degree of similarity required when admitting evidence of other acts
    that are similar to the crimes alleged is a difficult question.      Appellant’s
    argument that there is an inadequate degree of similarity between the
    incidents has some force, in that the trial court stated, in a portion of its
    opinion, that it is obligated to determine whether the conduct “is distinctive
    and so nearly identical as to become the signature of the same perpetrator.”
    Id. (quoting TCO at 12). At this juncture, we discuss the caselaw regarding
    “signature” crimes.
    In certain fact patterns, evidence concerning other crimes may be
    relevant to establish identity, i.e., that the person charged is likely to be the
    perpetrator due to similarities between the charged crime and those other
    acts. Consider the infamous London serial killer known as Jack the Ripper,
    who gruesomely killed women working as prostitutes in a certain area of
    London. The discovery of an additional victim who worked as a prostitute and
    who died in the same gruesome fashion would logically lead one to suspect
    that the identity of the killer was Jack the Ripper. Each individual aspect of
    the crime—the occupation of the victim, a gruesome death, the location of the
    crime—would not create this logical inference. Instead, it is the combination
    of those circumstances that supply the “signature” aspect of the crime.
    Introducing evidence of other acts on this basis logically requires a very high
    degree of similarity, at least when the purpose is to show that the defendant
    must have been the perpetrator of an unsolved crime bearing the same
    hallmarks.
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    Evidence relevant to the common plan exception is grounded in the
    notion that some crimes are so related that proof of one tends to prove the
    others. Commonwealth v. Hughes, 
    555 A.2d 1264
    , 1282 (Pa. 1989) (“The
    general rule, however, allows evidence of other crimes to be introduced to
    prove … a common scheme, plan or design embracing commission of two or
    more crimes so related to each other that proof of one tends to prove the
    others.”) (ellipsis in original).    Decisions discussing this theory sometimes
    require less than a true “signature” between the Rule 404(b) evidence and the
    charges at issue. In Commonwealth v. Arrington, 
    86 A.3d 831
     (Pa. 2014),
    Arrington was convicted of the first-degree murder of his girlfriend.        The
    Commonwealth argued that other-act evidence was admissible to establish a
    common plan “to control girlfriends through violence and intimidation.” Id.
    at 842.     The Commonwealth was permitted to introduce “evidence that
    [Arrington] physically assaulted three other girlfriends when they attempted
    to break up with him or interacted with other men.” Id. The Court agreed
    that the evidence was admissible to support the cited common plan. “The
    testimony    concerning     [Arrington]’s     treatment   of   other   girlfriends
    demonstrated repeated efforts to preserve intimate relationships through
    harassment, intimidation, and physical violence culminating in the use of a
    deadly weapon.” Id. at 844. Each of the three incidents shared common
    facts, and “[g]iven the shared characteristics of each relationship,” the
    evidence was admissible.       Id.    The Court characterized the Rule 404(b)
    evidence as “admissible to establish a common scheme to aid in ascertaining
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    the killer’s identity.” Id. at 845. Arrington found no abuse of discretion in
    admitting Rule 404(b) evidence of a “common plan” comprised of prior acts
    committed by the defendant to establish “identity,” even though those acts
    did not qualify as a true “signature.”
    Results like Arrington are criticized on the grounds that where the
    identity of the perpetrator is not meaningfully contested, the risk that the jury
    will consider the common plan evidence for the forbidden propensity purpose
    naturally increases. “It is natural and well-nigh inevitable … that a juror will
    conclude that, if a person has assaulted women before, he likely will do so
    again.” Commonwealth v. Hicks, 
    156 A.3d 1114
    , 1157 (Pa. 2017) (Wecht,
    J., dissenting). The occasional conflation of these two Rule 404(b) exceptions
    is illustrated by the divergent opinions in Hicks, wherein the Justices deeply
    split on the admissibility of Rule 404(b) evidence.          There, authorities
    recovered several garbage bags containing the body parts of Deanna Null,
    with the exception of her hands. Authorities ultimately identified Hicks as a
    suspect based on, inter alia, a man stating that he had introduced Null to
    Hicks, with Hicks looking for prostitutes and drugs. Hicks acknowledged that
    he was a cocaine addict and knew the victim to be a prostitute. A search
    warrant for Hicks’ home led to the discovery of several inculpatory items,
    including Null’s hands.
    The Commonwealth sought “to introduce evidence of prior bad acts
    through the testimony of eight women with whom [Hicks] had a sexual and/or
    prostitution-type relationship, which also involved the use of illegal narcotics
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    such as crack cocaine.” 
    Id. at 1119
    . The Commonwealth argued the evidence
    would establish “motive, identity and intent, as well as to rebut any defense
    based on accidental death.” 
    Id.
     The proposed witnesses would all testify that
    Hicks committed various assaults, which the Commonwealth argued “would
    demonstrate a common scheme ... to victimize prostitutes, or women
    engaging in prostitution to satisfy their addictions to controlled substances,
    such as the victim in the present case.” 
    Id.
     The Commonwealth maintained
    that the other incidents were sufficiently factually similar to Null’s murder for
    these reasons:
    [T]heir experiences with [Hicks] bore striking similarities to the
    victim’s murder for the following reasons: all were women who
    had engaged in prostitution and drug use with [Hicks], who had
    admitted to having sex and using drugs with the victim; the
    witnesses were assaulted primarily by being beaten or choked
    with [Hicks’] hands, and the blunt force trauma suffered by the
    victim was consistent with this type of assault; several of the
    witnesses were threatened with edged weapons, and the victim
    suffered numerous injuries by edged weapons; disputes arising
    out of a sexual encounter appeared to be the motive for many of
    the assaults, and [Hicks] admitted having a sexual relationship
    with the victim.
    
    Id.
    The trial court permitted the Commonwealth to admit evidence
    pertaining to seven of the eight, and the prosecution chose to introduce the
    testimony of three of these women.        Hicks was convicted of murder and
    sentenced to death.    Justice Dougherty, joined by then-Justice, now Chief
    Justice, Todd and Justice Mundy, concluded that the evidence was properly
    admitted under Rule 404(b) on the basis that the other-crimes evidence
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    showed both a “striking similarity—or logical connection—between the
    proffered prior bad acts and the underlying charged crime.” 
    Id. at 1125
    . The
    evidence concerning Hicks’ “prior relationships with and assaults upon [the
    three women] showed they were strikingly similar to the circumstances
    surrounding his relationship with the victim, her injuries, and her subsequent
    death, such that there was a logical connection between them.” 
    Id. at 1127
    .
    The Court cited five specific facts justifying this conclusion: Hicks was
    introduced to women with drug dependencies who shared “similar body
    types”; he showed sexual interest in the women, some of which involved
    prostitution; he resorted to violence with these women; he injured each
    woman by targeting their necks with his hands or a sharp object; and he
    verbally threatened to kill each woman. 
    Id. at 1123
    . These three Justices
    found that these similarities “not only establish the required logical
    connection[,] … they also present a ‘virtual signature’ for purposes of proving
    common scheme, intent and identity.” 
    Id. at 1128
    .
    Then-Chief Justice Saylor and Justices Donohue and Wecht disagreed
    with the foregoing analysis, with then-Chief Justice Saylor concurring in the
    result and Justices Donohue and Wecht dissenting on the Rule 404(b) issue,
    concluding that the trial court erroneously introduced the evidence.3
    Beginning with the dissents, Justice Donohue opined that the plurality’s
    ____________________________________________
    3 Justice Baer stated that “the substantive evidentiary ruling in this case
    presents a close call,” but found it unnecessary to reach the issue on the basis
    that any error in introducing the evidence was harmless beyond a reasonable
    doubt. 
    Id. at 1139
     (Baer, J., concurring).
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    identification of the five shared factual categories fell short of establishing a
    “signature” crime.4 “The absence of a signature is particularly apparent from
    the extraordinarily broad categories the Majority creates in its strained effort
    to elucidate the required ‘striking similarities.’”       Id. at 1154 (Donohue, J.,
    dissenting). Justice Donohue further discussed the distinction between using
    Rule 404(b) evidence for purposes of establishing identity versus proving a
    common scheme. “Although there is significant overlap between the various
    404(b)(2) purposes … a ‘signature’ does not itself establish a ‘common
    scheme,’ even though a ‘signature’ and a ‘common scheme’ may, for example,
    both prove identity.”      Id. at 1144 n.3.        Her opinion argued that other-act
    evidence may be introduced “to show motive, plan, design or scheme (which
    in turn may tend to show identity, intent, absence of accident, or some other
    fact in issue),” but only if those acts were part of an overarching plan. Id. at
    1144. Justice Donohue reviewed caselaw at length and criticized decisions
    like Arrington, which the three-Justice plurality heavily relied upon, for
    conflating the theories.         “Arrington, in my view, is the unfortunate
    culmination of the conflation of the requirements to establish a signature crime
    with those necessary to establish a common scheme or plan[;] … where the
    similarities are insufficient to establish a signature crime, and there is no true
    ____________________________________________
    4 Justice Wecht joined Justice Donohue’s Rule 404(b) analysis and wrote
    separately to address the Commonwealth’s decision to abandon a harmless
    error argument.
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    plan, the evidence shows only the defendant’s propensity and must be
    prohibited.” Id. at 1151-52.
    On these points, then-Chief Justice Saylor agreed with Justice
    Donohue’s criticisms.   “I agree with Justice Donohue that various majority
    opinions of this Court, like the decisions of a number of other courts, have
    incorrectly blended various distinct grounds for relevance associated with
    proffered, uncharged misconduct.”     Id. at 1130 (Saylor, C.J., concurring).
    With respect to admitting other-crime evidence for purposes of establishing
    identity, he agreed that “majority opinions of this Court … have substantially
    diluted the putatively stringent standard associated with at least one of these,
    namely, proof of identity via a modus operandi theory.” Id. He agreed that
    “the threshold for the use of uncharged misconduct as evidence of identity
    should remain high, in accordance with the signature-crimes analysis related
    by Justice Donohue.” Id. (emphasis in original). But where the uncharged
    misconduct is introduced to establish something other than identity, he argued
    that the higher standard associated with proof of identity need not necessarily
    apply. In Hicks, the other evidence did not “truly implicat[e] an identity-
    based theory of relevance,”; instead, the “evidence of [Hicks]’ other assaults
    upon women went toward negating his defense that the death was an
    accident.” Id. at 1131. Thus, the evidence established the actus reus by
    corroborating the Commonwealth’s evidence that the death resulted from a
    homicide. He cited the “doctrine of chances” theory, see generally id. at
    1131-34, as representing a “non-character-based path of logical reasoning
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    that sufficiently comports with the ideals underlying Rule of Evidence 404, as
    well as its express terms.” Id. at 1134.
    These criticisms of the Rule 404(b) precedents demonstrate that
    Appellant’s fundamental claim that the Commonwealth failed to show a
    “signature” crime is not unfounded, as the circumstances of the three assaults
    do not include any combination of traits that are so sufficiently specific to
    Appellant that they could be said to be a true “signature.”5 Moreover, identity
    was not seriously contested, as Appellant did not dispute that he babysat the
    victims but instead claimed that he did not commit the acts.
    Notwithstanding, Appellant concedes that the evidence would be
    relevant to establishing a common plan, and based on precedents like
    Arrington, which the three-Justice plurality followed in Hicks, and several
    decisions we now address, we conclude that the Z.G. incident was sufficiently
    ____________________________________________
    5 Courts often describe the common plan exception and the identity exception
    as requiring nearly identical degrees of similarity.       For example, in
    Commonwealth v. Cosby, 
    224 A.3d 372
     (Pa. Super. 2019), vacated on other
    grounds, 
    252 A.3d 1092
     (Pa. 2021), the Commonwealth argued that the
    comedian Bill Cosby had a pattern of sexual abuse that was “so distinct … that
    they are all recognizable as [his] handiwork,” thereby permitting the
    admission of testimony from 19 victims who would testify to sexual
    misconduct by Cosby. Id. at 398. Alternatively, the Commonwealth alleged
    that this testimony was admissible as a “common scheme.” Id. at 397. We
    stated that “under both exceptions, the standard for admission is virtually the
    same. The … evidence must be distinctive and so nearly identical as to
    become the signature of the same perpetrator, and its probative value must
    not be undermined by the lapse in time between incidents.” Id. at 401
    (quotation marks and citation omitted).
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    similar to the assaults against the other two victims to justify its admission
    under that theory.
    In one of the cases cited by the Commonwealth at the pre-trial hearing
    and relied upon by the trial court in its opinion, Commonwealth v. O’Brien,
    
    836 A.2d 966
     (Pa. Super. 2003), O’Brien was charged with raping a ten-year-
    old boy in 1996, and the Commonwealth sought to admit that O’Brien had a
    prior conviction for sexually assaulting two male children in 1982 and 1985.
    The trial court denied the motion on the basis that “the facts were insufficient
    to establish a ‘signature[.]’”   
    Id. at 970
    .   We reversed, agreeing with the
    Commonwealth that the cases relied upon by the trial court were
    distinguishable. “In those cases, the relevance of that evidence was to be
    used to identify the perpetrator, while here the admission of the evidence of
    the prior crimes was relevant to establish a common scheme, plan or design
    and, thus, bolster the victim’s credibility.” 
    Id.
    O’Brien cited in support Commonwealth v. Luktisch, 
    680 A.2d 877
    (Pa. Super. 1996), which likewise involved sexual crimes against children.
    Luktisch was charged with raping his eleven-year-old stepdaughter. The trial
    court permitted the Commonwealth to introduce testimony from the victim’s
    stepsister, who was Luktisch’s biological daughter, regarding prior abuse.
    That witness was twenty-nine years old at the time of trial and testified that
    the abuse occurred when she was between 5 and 8 years old. 
    Id. at 878
    . A
    second stepdaughter testified that she had also been abused by Luktisch.
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    On appeal, Luktisch argued that the evidence was too remote to qualify
    for admission “under the common scheme, plan, design or course of conduct
    exception….”    
    Id.
         We disagreed, stating that the time gap “is inversely
    proportional to the similarity of the crimes in question.” 
    Id. at 879
     (quoting
    Commonwealth v. Miller, 
    664 A.2d 1310
    , 1319 (Pa. 1995)). We determined
    that the abuse against all the victims was “nearly identical.” 
    Id.
     The “acts
    committed … were strikingly similar. The three victims were near the same
    age when Luktisch molested them; they all had the relationship of daughter
    or step[]daughter to Luktisch; all three were living with [Luktisch] when the
    acts occurred; and the nature of the acts were almost identical.” 
    Id.
     (quoting
    trial court opinion).    While the case did not directly involve an analysis of
    whether the crimes qualified as a “signature,” our conclusion that the crimes
    were “nearly identical” was conducted in terms of a common plan analysis.
    Thus, we accepted that the similarities of abuse warranted their admission.
    Our decision in Commonwealth v. Smith, 
    635 A.2d 1086
     (Pa. Super.
    1993), also lends support as we again reversed the order of the trial court
    barring the Commonwealth from admitting Rule 404(b) evidence, concluding
    that the court abused its discretion.          A ten-year-old girl, S.S., notified
    authorities that her father, James Smith, had sexually molested her on
    multiple occasions. The Pennsylvania State Police interviewed Smith’s other
    two daughters, E.S. and M.N. E.S., who was then sixteen years old, stated
    that Smith abused her from age five through age ten. M.N., who was then
    twenty-seven, stated that Smith had abused her from age seven through
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    J-S14029-23
    sixteen. The Commonwealth filed charges naming E.S. as the victim, and
    sought to introduce the testimony of S.S. and M.N. The trial court permitted
    S.S.’s testimony but barred M.N.’s, largely due to the passage of time. We
    reversed. “At first glance” we were inclined to agree with the remoteness
    analysis. 
    Id. at 1089
    . However, we stated that remoteness is less important
    where “the details of each criminal incident are nearly identical,” which was
    the case. 
    Id.
     Describing the other act evidence as “strikingly similar,” 
    id. at 1090
    , we pointed out that the abuse of all three daughters started when the
    girls were quite young, and the abuse of M.N. ended right as E.S. turned five
    or six, when her abuse started. Thus, the remoteness was not dispositive and
    the allegations were sufficiently similar to justify their admission as a common
    plan.
    Finally, in Cosby, supra, we agreed that “a criminal ‘plan’ may be
    analogized to a script or playbook of criminal tactics that worked for the
    offender when committing past crimes.” Cosby, 224 A.3d at 402 (quoting
    Brief of the Office of the Attorney General of Pennsylvania as Amicus Curiae).
    “It is the pattern itself, and not the mere presence of some inconsistencies
    between the various assaults, that determines admissibility under these
    exceptions.” Id.
    These cases support the trial court’s ruling, and we find no abuse of
    discretion. The “script” that Appellant followed was to exploit his position of
    trust placed in him as a babysitter, which sufficiently distinguishes this from
    a “common” sexual assault. See Commonwealth v. Bidwell, 
    195 A.3d 610
    ,
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    J-S14029-23
    618–19 (Pa. Super. 2018) (“Similarities cannot be confined to insignificant
    details that would likely be common elements regardless of the individual
    committing the crime.”). We also agree with the trial court that additional
    facts serve to distinguish Appellant’s circumstances from “common elements”
    of these crimes; namely, that Appellant knew the family members for a
    substantial period of time and that the abuse of all three victims commenced
    with Appellant’s touching each victim’s penis. While we agree with Appellant
    that the victims are dissimilar in that he did not share any kind of familial
    relationship with Z.G., the law does not require that all prior encounters be
    identical.   “It is impossible for two incidents of sexual assault involving
    different victims to be identical in all respects.” Cosby, 224 A.3d at 402.
    That we found the trial courts abused their discretion in not admitting
    the evidence in O’Brien and Smith supports the trial court’s ruling here. We
    do not imply the Commonwealth would have succeeded on appeal had the
    trial court denied its motion in limine. Rather, we observe that those cases,
    in finding the trial court abused its discretion in not allowing Rule 404(b)
    evidence, establishes that the court operated within the boundaries of its
    discretionary authority established by caselaw.
    Finally, we acknowledge that our determination that the law does not
    require a strict degree of similarity implicates the criticisms raised by various
    Justices in the Hicks decision. It may be the case that a focused argument
    attacking Rule 404(b) precedents as departing from the common-law rules
    may one day succeed, and/or the Supreme Court may revisit the issue in a
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    J-S14029-23
    manner favorable to Appellant’s position. However, at present, the trial court
    did not abuse its discretion in following the authorities discussed.
    Having concluded that the evidence was offered for a valid purpose that
    was not relevant only to establish propensity, we address whether the
    evidence should have been excluded due to its prejudicial impact.         The
    foregoing cases likewise address this inquiry. We quote our O’Brien decision
    on this point:
    In [Commonwealth v.] Gordon [
    673 A.2d 866
     (Pa. 1996)], the
    Commonwealth sought the admission of the defendant’s
    conviction of similar crimes in its prosecution on two indecent
    assault charges. The Supreme Court found that the … prior
    conduct was relevant to prove, inter alia, a common scheme or
    plan and then discussed the prejudicial effect … as follows:
    Whether relevant evidence is unduly prejudicial is a function
    in part of the degree to which it is necessary to prove the
    case of the opposing party. Here, the Commonwealth was
    required to prove that a non-consensual touching occurred,
    the purpose of which was sexual gratification. Gordon
    denies that the touching occurred, and since the
    uncorroborated testimony of the alleged victim in this case
    might reasonably lead a jury to determine that there was a
    reasonable doubt as to whether Gordon committed the
    crime charged, it is fair to conclude that the other crimes
    evidence is necessary for the prosecution of the case.
    Without doubt, the other crimes evidence would be
    prejudicial to Gordon. That is what it is designed to be. On
    the facts of this case, however, it is not unduly prejudicial,
    as it is required for the Commonwealth’s case. It was an
    abuse of discretion for the trial court to deny the
    Commonwealth’s motion for the admission of this evidence.
    Id. at 870 (footnote omitted).
    O’Brien, 
    836 A.2d at 972
    .
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    J-S14029-23
    We conclude that, on these facts, the admission of Z.G.’s accusations
    was not unduly prejudicial. As reflected by the discussion in Gordon, we must
    consider the value of the evidence in proving the Commonwealth’s case, as
    child abuse cases typically occur behind closed doors and frequently lack
    corroboration.6 This presents a close call, as we agree with Appellant that the
    fact the Commonwealth declined to charge Appellant for abusing Z.G. is a
    relevant consideration, suggesting that the Commonwealth may not have
    believed it could sustain a verdict beyond a reasonable doubt yet chose to
    introduce the evidence anyway.             Because Z.G. testified and was made
    available for cross-examination, and his testimony if believed would support
    a verdict, it is not entirely clear why the Commonwealth declined to pursue
    charges.     However, we recognize that there are many reasons why the
    Commonwealth would have declined prosecution.                In any case, Z.G.’s
    accusations were just that: accusations.           This was not a case where the
    Commonwealth introduced prior convictions.             Additionally, the jury was
    instructed that the Z.G. testimony was offered for a limited purpose. TCO at
    ____________________________________________
    6 Then-Chief Justice Saylor’s concurring opinion in Hicks argued that the
    doctrine of chances is a valid, non-propensity rationale, and discussed, inter
    alia, Professor Mark Cammack’s article Using the Doctrine of Chances to Prove
    Actus Reus in Child Abuse and Acquaintance Rape: People v. Ewoldt
    Reconsidered, 29 U.C. DAVIS. L. REV. 355 (1996). Therein, Professor
    Cammack observes that, “[b]ecause the probability that an innocent person
    will be falsely accused of child abuse or rape is low, evidence that a defendant
    on trial for one of those crimes has previously been accused of the same thing
    suggests that some force other than chance is at work in producing this
    improbable outcome.” Id. at 357. While this theory was cited to establish a
    non-propensity rationale, its logic applies equally to this point.
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    J-S14029-23
    13 (quoting jury instruction). We therefore find no abuse of discretion, and
    Appellant is not entitled to relief on this issue.
    Appellant’s second issue challenges the trial court’s ruling permitting the
    Commonwealth to introduce hearsay under the TYHA.                      The trial court
    permitted the introduction of hearsay statements under the TYHA as to all
    three victims.    However, Appellant’s brief addresses only Z.G. and we
    therefore limit our discussion to that witness.
    The TYHA permits the introduction of an “out-of-court statement made
    by a child victim or witness, who at the time the statement was made was 16
    years of age or younger,” describing certain offenses including the ones at
    issue herein, provided that the trial court “finds, in an in camera hearing, that
    the evidence is relevant and that the time, content and circumstances of the
    statement    provide   sufficient   indicia     of   reliability[.]”   42   Pa.C.S   §
    5985.1(a)(1)(i-ii). “The statute requires ‘indicia of reliability’ which ‘include,
    inter alia, the spontaneity of the statements, consistency in repetition, the
    mental state of the declarant, use of terms unexpected in children of that age,
    and the lack of a motive to fabricate.’” Interest of D.C., 
    263 A.3d 326
    , 335
    (Pa. Super. 2021) (quoting Commonwealth v. Strafford, 
    194 A.3d 168
    , 173
    (Pa. Super. 2018)).
    Referencing the testimony from T.T. that Z.G. disclosed the abuse in
    response to her questioning, Appellant claims that the statements lacked
    sufficient indicia of reliability because “at least a portion of the … testimony
    was tainted.”    Appellant’s Brief at 14.       Additionally, he argues that Z.G.’s
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    J-S14029-23
    statements were not sufficiently reliable with respect to the factors listed in
    Strafford:
    Addressing those factors, there is no spontaneity of statements.
    Z.G.[’s] initial disclosure came after questioning by his mother
    after she met with a police officer at her residence. Further
    statements from Z.G. were [given] during a forensic interview, or
    during the competency hearing as noted supra. There is no
    consistency in the statements, except for the vague circular
    motion around the groin. Z.G. stated several times that he was
    not touched, and then it was “yes and no.” Certainly, this is not
    any measure of consistency. There appeared to be no use of
    terms that would be unfamiliar to a child of Z.G.’s age. With
    respect to a motive to fabricate, counsel for … Appellant argues
    that indirectly [T.T.], Z.G.’s mother[,] had a motive to fabricate.
    Counsel argued that her testimony, wherein she admitted to lying,
    or “being less than truthful.” [sic]. [T.T.] had pending felony
    charges at the time of her testimony. Appellant asserts she had
    a motive to get Z.G. to testify in a certain manner, in order to help
    in her own case.
    Id. at 16-17 (citation to transcript omitted).
    The trial court’s Rule 1925(a) opinion notes that Z.G. was examined in
    camera and cites “the opportunity to personally see, hear, and assess [Z.G.]”
    as supporting its determination that the statements bore sufficient indicia of
    reliability. TCO at 16. The court also cites the forensic interview, which it
    considered in finding adequate indicia of reliability.
    We agree that the lack of spontaneity favors Appellant, as T.T. asked
    Z.G. whether Appellant had abused him. However, the other points either
    favor the Commonwealth or are effectively neutral.          Beginning with the
    consistency of the statements, Z.G. consistently indicated that Appellant had
    touched him by making a circular motion around his groin.            Appellant’s
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    J-S14029-23
    problem with this statement is not with its consistency but rather its lack of
    detail.   However, Z.G. did state that he was touched, and that Appellant
    rubbed his private parts. Additionally, T.T. testified that Z.G. “remains afraid
    to talk about his contact” with Appellant. Id. at 5 (quoting transcript). The
    trial court observed the testimony of Z.G., including a recording of the forensic
    interview, and factored its firsthand observations of Z.G. into its decision. Cf.
    Commonwealth v. Dowling, 
    883 A.2d 570
    , 577 (Pa. 2005) (explaining that,
    in ruling on a witness’ competency to testify, the trial court may rely “on
    criteria other than specifically-targeted questions, criteria such as the
    witness’s   demeanor,    alertness,   thoughtfulness,   sincerity   and   general
    responses and testimony.”).
    Regarding T.T.’s felony charges, we do not agree that this supplies Z.G.
    with a motive to lie. It supplies a motive for why T.T. may have urged Z.G.
    to make disclosures, and Z.G. in turn may well have a motive to please his
    mother. Such matters ultimately go to the credibility of the witnesses. This
    is not a case where the child himself had an identifiable motive to lie on his
    own behalf, such as an ongoing custody dispute where there is evidence the
    child may have preferred one parent over another.
    In addition, we note that the trial court reviewed the videotaped forensic
    interview and relied in part on that interview in making its ruling. “Based on
    my review of the mother’s testimony and based on my review of the DVD, I
    think [there] was sufficient indicia of reliability to support out of court
    statements.”   N.T., 4/20/22, at 81.     We agree that the forensic interview
    - 24 -
    J-S14029-23
    process is a relevant consideration.           In Idaho v. Wright, 
    497 U.S. 805
    (1990), the United States Supreme Court addressed whether the admission
    of hearsay statements made by a child to a pediatrician examining the child
    for sexual assault violated the defendant’s right to confront his accuser. The
    Court addressed whether the statements bore sufficient “particularized
    guarantees of trustworthiness” such that the evidence was admissible under
    Ohio v. Roberts, 
    448 U.S. 56
     (1980), abrogated by Crawford v.
    Washington, 
    541 U.S. 36
     (2004).7 The courts had excluded the statements
    “in large measure because the statements resulted from an interview lacking
    certain procedural safeguards. The court below specifically noted that [the
    pediatrician] failed to record the interview on videotape, asked leading
    questions, and questioned the child with a preconceived idea of what she
    should be disclosing.” Wright, 
    497 U.S. at 818
    . The United States Supreme
    Court stated, “Although the procedural guidelines propounded by the
    court    below     may     well    enhance      the   reliability   of   out-of-court
    statements of children regarding sexual abuse, we decline to read into
    the Confrontation Clause a preconceived and artificial litmus test for the
    procedural propriety of professional interviews….”           
    Id.
     (emphasis added).
    Thus, the trial court was permitted to consider the reliability of the forensic
    ____________________________________________
    7 Wright deals with the Confrontation Clause, and as Z.G. was available for
    cross-examination, that legal concept is not at issue.
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    J-S14029-23
    interview procedure in finding that the evidence was admissible under the
    TYHA.8
    Finally, Appellant’s third claim alleged that his sentence was illegal on
    the basis that he is required to register under the Sexual Offender Registration
    and Notification Act (“SORNA”), 42 Pa.C.S. §§ 9799.10-9799.42, for a period
    of life, which exceeds the otherwise allowable statutory maximum.            In
    Strafford, 
    supra,
     we rejected that claim:
    SORNA’s registration requirements are an authorized punitive
    measure separate and apart from [the] term of incarceration. The
    legislature did not limit the authority of a court to impose
    registration requirements only within the maximum allowable
    term of incarceration; in fact, the legislature mandated the
    opposite and required courts to impose registration requirements
    in excess of the maximum allowable term of incarceration.
    Strafford, 
    194 A.3d at 173
    .
    Despite both parties citing Strafford elsewhere in their briefs with
    respect to the TYHA issue, neither Appellant nor the Commonwealth address
    that holding.     Instead, Appellant’s brief states: “Counsel raised this issue,
    albeit prematurely, wanting to preserve the right to appeal. This issue is still
    pending before the appellate courts in Pennsylvania. As such, counsel for …
    Appellant withdraws this issue from consideration.” Appellant’s Brief at 17.
    Appellant does not specify a case, and it is unclear whether he is seeking to
    ____________________________________________
    8 In Commonwealth v. Walter, 
    93 A.3d 442
     (Pa. 2014), our Supreme Court
    approvingly cited the Wright Court’s “particularized guarantees of
    trustworthiness” standard in determining whether the “time, content and
    circumstances” of hearsay statements possessed “sufficient indicia of
    reliability” as demanded by the TYHA.
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    J-S14029-23
    present a broader challenge to the legality of his sentence. We note that in
    Commonwealth v. Thorne, 
    276 A.3d 1192
     (Pa. 2022), our Supreme Court
    held that a constitutional challenge to SORNA’s lifetime period of registration
    based on an assertion that SORNA “effectively extends [the] maximum
    sentence without a jury’s finding of future dangerousness in violation of
    Apprendi v. New Jersey, 
    530 U.S. 466
     (2000),” was not subject to waiver
    and remanded to this Court.          We, in turn, remanded to the trial court for
    further factual development pursuant to Commonwealth v. Torsilieri, 
    232 A.3d 567
     (Pa. 2020). See Commonwealth v. Thorne, 
    285 A.3d 908
     (Pa.
    Super. filed Sept. 7, 2022).9
    We are mindful that we “may address, and even raise sua sponte,
    challenges to the legality of an appellant’s sentence even if the issue was not
    preserved in the trial court.” Commonwealth v. Armolt, 
    294 A.3d 364
    , 376
    (Pa. 2023). Thus, Appellant’s decision to abandon the claim does not end the
    matter.    However, in Armolt, the Court acknowledged that this does not
    obligate the courts to develop the claim for an appellant. “[R]egardless of
    whether a particular claim implicates the legality of a sentence, it is well
    settled that an appellant bears the burden of sufficiently developing his
    arguments to facilitate appellate review.” 
    Id.
     As Appellant has withdrawn
    this claim and offered no further advocacy, we will not develop an argument
    ____________________________________________
    9 The 2020 Torsilieri decision remanded the case to the trial court for further
    development, and the Supreme Court heard oral argument on the case on
    May 23, 2023.
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    J-S14029-23
    on his behalf. Additionally, the fact that ongoing litigation may touch on other
    aspects of his sentence calls for us to wait the resolution of those cases, which
    have benefited from advocacy devoted to their specific issues. We thus accept
    Appellant’s withdrawal of any challenge to the legality of his sentence.
    Judgment of sentence affirmed.
    Judgment Entered.
    Joseph D. Seletyn, Esq.
    Prothonotary
    Date: 8/18/2023
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