State of Tennessee v. Robert Jason Allison ( 2019 )


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  •                                                                                         08/29/2019
    IN THE COURT OF CRIMINAL APPEALS OF TENNESSEE
    AT NASHVILLE
    January 17, 2019 Session
    STATE OF TENNESSEE v. ROBERT JASON ALLISON
    Appeal from the Criminal Court for Davidson County
    No. 2010-C-2264 Mark J. Fishburn, Judge
    ___________________________________
    No. M2017-02367-CCA-R3-CD
    ___________________________________
    Defendant, Robert Jason Allison, was indicted for two counts of delivery of marijuana;
    possession with intent to distribute over ten pounds of marijuana in a drug-free school
    zone; possession of a firearm during the commission of a dangerous felony; and two
    counts of money laundering. Following a jury trial, at which Defendant represented
    himself, he was convicted as charged. Following a sentencing hearing, the trial court
    imposed partial consecutive sentencing resulting in an effective 25-year sentence. In this
    appeal as of right, Defendant contends that: 1) the evidence was insufficient to support
    his convictions for money laundering; 2) the indictment conflated two subsections of the
    money laundering statute; 3) the trial court failed to instruct the jury on all of the
    elements of money laundering; 4) Defendant’s convictions for money laundering violate
    double jeopardy; 5) the money laundering statute is unconstitutionally vague; 6)
    Defendant was deprived his right to a speedy trial; 7) the trial court erred by denying
    Defendant’s motion to suppress evidence seized as a result of his warrantless arrest; 8)
    the trial court erred by denying Defendant’s motion to suppress evidence seized as a
    result of a search warrant; 9) the trial court erred in finding that Defendant waived his
    right to the assistance of counsel at trial; 10) the trial court abused its discretion in
    ordering consecutive sentencing; and 11) Defendant’s fines are excessive. Having
    reviewed the entire record and the briefs of the parties, we find no error and affirm the
    judgments of the trial court.
    Tenn. R. App. P. 3 Appeal as of Right; Judgments of the Criminal Court Affirmed
    THOMAS T. WOODALL, J., delivered the opinion of the court, in which ROBERT L.
    HOLLOWAY, JR. and TIMOTHY L. EASTER, JJ., joined.
    Richard C. Strong, Nashville, Tennessee (on appeal) and Robert Jason Allison, Pro Se,
    (at trial).
    Herbert H. Slatery III, Attorney General and Reporter; David H. Findley, Senior
    Assistant Attorney General; Glenn R. Funk, District Attorney General; and Andrea
    Green, Assistant District Attorney General, for the appellee, State of Tennessee.
    OPINION
    Pretrial motions
    Motions to suppress
    Prior to trial, Defendant filed pro se motions to suppress his statement to police
    and evidence seized during the search of a home associated with one of the drug buys.
    Defendant argued that the search warrant was not supported by probable cause because
    the confidential informant was not credible and because Defendant’s sister, not
    Defendant, was the owner of the property to be searched. In one of his pro se motions to
    suppress, Defendant asserted that his statement to police should be suppressed because he
    requested an attorney “at le[a]st (5) five times” during the interview. In his motion for
    new trial, however, Defendant argued that his statement should have been suppressed
    because it was made following a warrantless arrest.
    At a hearing on Defendant’s motions, Detective Scott Cothran testified that a
    confidential informant bought marijuana from Defendant on two separate occasions. On
    both occasions, Defendant also fronted additional marijuana to the informant with the
    expectation that the informant would pay Defendant after the fronted marijuana was sold.
    The informant later paid Defendant for the fronted marijuana using money provided by
    the police. The transactions involving Defendant occurred either at a home on Elkins
    Avenue or a home on James Avenue. The transactions were monitored and recorded.
    Detective Cothran testified that Defendant lived at the home on Elkins Avenue and that
    Defendant’s girlfriend lived at the home on James Avenue.
    Detective Cothran obtained a search warrant for the home on Elkins Avenue. He
    testified that surveillance teams watched the home for an hour before the warrant was
    executed. Defendant was standing “at the back of the property” behind the house.
    Detective Cothran did not see Defendant arrive, but as soon as police saw Defendant
    behind the house, Defendant was placed under arrest. During a search of Defendant’s
    person, police found “around $2,400” that was used to purchase marijuana in the
    controlled buys. During a search of the residence, police found approximately 47 pounds
    of marijuana in a Rubbermaid tub in the garage. They found “several pistols, one of
    which was stolen” in a bedroom in the home. Defendant gave a statement to police. The
    interview, which was recorded, occurred in the garage, and Defendant was handcuffed
    during the interview. Detective Cothran testified that Defendant was “absolutely”
    -2-
    forthcoming in the interview. Defendant admitted that he knew what was inside the
    Rubbermaid tub. Defendant told the police that the guns belonged to his sister, and he
    kept them in his closet because he had heard threats that he might be robbed.
    On cross-examination, Detective Cothran acknowledged that he did not have a
    warrant for Defendant’s arrest. He also acknowledged that Defendant was near the trash
    cans in an alley behind the house, and Detective Cothran could not say whether
    Defendant “had a foot” on the property. Detective Cothran advised Defendant of his
    Miranda rights outside by the trash cans when he was handcuffed. Detective Cothran
    was present when the search warrant was signed, but the judge waited to give it to
    another officer, Andrae Starling, who was at the Elkins Avenue residence during the
    execution of the search warrant.
    Lisa Smithson, Defendant’s sister, testified that she inherited the Elkins Avenue
    property from her mother. She wrote a check to pay the property taxes on it about a week
    after the search. She testified that the guns found inside the home belonged to her. On
    cross-examination, Ms. Smithson testified that she did not know why Metro tax assessor
    records, dated about two months before the search, listed Defendant as one of the
    property owners.
    Motion for speedy trial
    No proof was presented at the hearing on Defendant’s motion to dismiss based on
    a violation of his right to a speedy trial. Defense counsel argued, “I don’t know what the
    problem has been with [Defendant] and the other attorneys. He has been nothing but a
    gentleman with [co-counsel] and myself, maybe it’s in part he just needed someone who
    would be willing to listen to him and would be willing to file motions that have merit in
    the case.”
    Trial court’s order
    In a written order denying both of Defendant’s motions, the trial court found the
    testimony of Detective Cothran to be credible. The court found that Defendant “was
    within sufficient boundary of the residence to include him as an individual on the
    premises subject to arrest by virtue of the search warrant.” The trial court also found that
    there was sufficient independent corroboration of the informant’s information to justify
    the issuance of a search warrant. Regarding Defendant’s speedy trial violation motion,
    the trial court noted that Defendant had “demanded continuances and new counsel on at
    least eight occasions.” The court found that the “entirety of the delay in this matter has
    been caused by the Defendant himself.” The court also found that Defendant was not
    prejudiced by the delay.
    -3-
    Trial
    Detective Scott Cothran testified that police used an informant to make two
    controlled purchases of marijuana from Defendant. The first purchase occurred on
    January 9, 2009. It was supposed to happen at the home on Elkins Avenue, but
    Defendant became suspicious and the location was changed to the home on James
    Avenue. The informant was given $5,000 to purchase five pounds of marijuana from
    Defendant. Defendant “fronted” the informant three additional pounds, which the
    informant was expected to sell and return the money from the sale to Defendant.
    Detective Cothran arranged to have the informant pay $3,000 to Defendant for the
    “fronted” drugs on January 13, 2009, at the Elkins Avenue home, which was across the
    street from a school.
    Detective Cothran testified that Detective Steve Parks arranged the second
    controlled buy, which occurred on January 16, 2009, at the Elkins Avenue address. The
    informant purchased six pounds of marijuana, and Defendant “fronted” her an additional
    four pounds. Payment was made to Defendant for the “fronted” amount at the James
    Avenue address on January 20, 2009.
    Detective Cothran testified that during one of the controlled buys, Defendant told
    the informant that he expected “another load [to be] coming in.” Police obtained search
    warrants for the Elkins Avenue and James Avenue addresses. The search warrants were
    executed on January 21, 2009. A surveillance team at the Elkins Avenue address
    reported seeing Defendant arrive in a truck and carry a green tub into a detached garage
    at the back of the property. The search warrant was executed, and Detective Cothran and
    another officer took Defendant into custody. During a search incident to arrest, they
    discovered $2,460 of the controlled buy money on Defendant.
    Detective Cothran testified that the Elkins Avenue home had belonged to
    Defendant’s mother, who had passed away. Inside one of the bedrooms, police found
    two pistols. The plastic tub inside the garage contained approximately 46 pounds of
    marijuana. Defendant waived his Miranda rights and gave a recorded statement to
    police. He told police that the guns belonged to his sister, and he had them in his closet
    because he had recently been threatened. Detectives asked Defendant what he did for a
    living, and Defendant said, “I ain’t got nothing [sic] going on right now.”
    Special Agent Glen Glenn, of the Tennessee Bureau of Investigation (TBI) Crime
    Lab, testified regarding the chain of custody requirements when evidence was submitted
    for testing. Agent Glenn testified that the State’s exhibits were delivered to his lab on
    May 14, 2009. He issued his reports on July 13, 2009. The initial report erroneously
    -4-
    stated the amount in grams instead of pounds, and it was amended in 2013 to correct the
    error. Agent Glenn testified that the green tub contained ten “bricks” of marijuana,
    weighing 44.6 pounds total. A separate bag inside the tub contained 0.8 pounds of
    marijuana. Agent Glenn also examined the contents of ten bags, containing 9.5 total
    pounds of marijuana that was purchased by the informant from Defendant in the second
    controlled buy on January 16, 2009. Agent Brett Trotter, of the TBI, testified that he
    examined the marijuana that was purchased by the Defendant in the first controlled buy
    on January 9, 2009, and he determined that it weighed slightly less than eight pounds.
    Steven Keel, director of security for Metro Nashville Public Schools, testified that
    Park Avenue Elementary School was located at 3703 Park Avenue. David Kline, of the
    Metro Planning Department, prepared a map using information from the tax assessor’s
    office that showed that the Elkins Avenue home was within 1,000 feet of the school.
    Lisa Smithson, Defendant’s sister, testified it was not her signature on an affidavit
    of heirship filed with the tax assessor’s office. She testified that she lived at the Elkins
    Avenue address where the search warrant was executed. She testified that Defendant had
    his own house and that he did not stay at her house. Ms. Smithson testified that she was
    home on January 21, 2009, when “at least probably 20” police vehicles surrounded her
    house. She testified that police exited their vehicles with guns drawn. She testified that
    Defendant arrived with roofing materials for her home. She testified that there were
    people working on her roof, and they had been going in and out of the garage. Ms.
    Smithson saw Defendant get arrested in the alley behind her house. She testified that
    Defendant was “actually more towards the house across the street.” Ms. Smithson
    testified that officers used “a lot of force” and that they broke the ribs of another person,
    Joe Keyes. An audio recording that Ms. Smithson made during a visit to the tax
    assessor’s office, in which an employee stated that Defendant’s name was not listed as an
    owner of the Elkins Avenue home, was admitted into evidence.
    Heather Johnson testified that she was at Ms. Smithson’s house on the day of
    Defendant’s arrest. She testified that the arrest occurred in the alley behind Ms.
    Smithson’s home. She testified that officers had their guns drawn.
    Defendant did not testify or present any other evidence.
    Sentencing hearing
    At the sentencing hearing, the presentence report was admitted into evidence.
    Detective Cothran testified that he interviewed Defendant following Defendant’s arrest.
    Detective Cothran asked Defendant how he was employed, and Defendant answered, “I
    -5-
    don’t have anything going on right now.”         Police seized over $2,000 in cash from
    Defendant’s person.
    Phillip Taylor, a drug task force investigator, testified that Defendant had been
    under investigation since 2002. Between 2002 and 2005, Defendant was associated with
    17 different vehicles. In October, 2002, an informant made a controlled buy of a quarter
    of a kilo of cocaine for $7,000 from Defendant and another man, Trey Hines. On another
    occasion, in 2005, an informant purchased two pounds of marijuana from Defendant.
    During that transaction, Defendant gave the informant “samples” to give away “to get
    customers interested in buying marijuana.”
    Defendant did not testify or present any proof at the sentencing hearing.
    At the conclusion of the sentencing hearing, the trial court noted that the jury
    imposed fines of $2,500 for each of Defendant’s two convictions for delivery of
    marijuana; $90,000 for Defendant’s conviction for possession with intent to distribute
    over ten pounds of marijuana in a school zone; and $15,000 for each of Defendant’s two
    money laundering convictions. The trial court stated on the record that it had considered
    the evidence presented at trial and at the sentencing hearing, the presentence report, the
    principles and purposes of the Sentencing Act, the arguments of both parties, the nature
    and characteristics of the criminal conduct involved, the evidence offered as to
    enhancement and mitigating factors, Defendant’s statements, and his potential for
    rehabilitation. The trial court determined that Defendant’s prior convictions made him a
    Range III offender in counts one through four and a Range II offender for the two Class
    B felony money laundering convictions.
    The trial court found that Defendant had prior convictions in addition to those
    necessary to establish his range and that Defendant was a leader in the commission of the
    offenses. See T.C.A. § 40-35-114(1) and (2). In mitigation, the trial court found that
    Defendant’s crimes neither caused nor threatened serious bodily injury. See T.C.A. § 40-
    35-113(1). The trial court noted that Defendant refused to provide information for the
    presentence report. The trial court also noted that “since 2002, [Defendant’s] primary
    activity seems to have been related to drug sales in one form or another.” The trial court
    found that Defendant was a professional criminal who has knowingly devoted much of
    his adult life to criminal acts as a major source of livelihood, that his record of criminal
    activity is extensive, and that Defendant showed a clear disregard for the laws and morals
    of society and a low probability of being rehabilitated.
    The trial court imposed sentences of five years for each of Defendant’s delivery of
    marijuana convictions; ten years for his conviction for possession with intent to distribute
    over ten pounds of marijuana in a school zone; three years for his firearm conviction; and
    -6-
    15 years for each of his money laundering convictions. The court ordered partial
    consecutive sentencing, resulting in an aggregate sentence of 25 years in confinement.
    Analysis
    Defendant contends that the evidence at trial was insufficient to support his
    convictions for money laundering. Defendant also contends that the indictment conflated
    two subsections of the money laundering statute, Tennessee Code Annotated section 39-
    14-903, and he contends that the trial court’s instructions to the jury did not include an
    essential element of the offense of money laundering. We will address each issue
    separately.
    Indictment
    Defendant challenges the indictment, arguing that the indictment “appears to
    conflate two separate subsections [subsections (b) and (c)] under Tenn. Code Ann. § 39-
    14-903.” The State argues that this issue is waived for review. We agree. Defendant
    failed to raise this issue prior to trial or in his motion for new trial or amended motion for
    new trial. Accordingly, the issue is waived. See Wyatt v. State, 
    24 S.W.3d 319
    , 322
    (Tenn. 2000) (holding that unless an indictment is so defective as to fail to vest
    jurisdiction, challenges to an indictment must be raised prior to trial, citing Tenn. R.
    Crim. P. 12(b)(2)(B)).
    Jury charge
    Defendant contends that the trial court omitted an element of the offense in its
    instruction to the jury. Defendant argues that the trial court’s instruction to the jury
    omitted the “conceal or disguise” element of subsection (c) of the money laundering
    statute. The State responds that Defendant was not charged with concealing the
    proceeds, but rather he was charged with using the proceeds in furtherance of carrying on
    illegal activity. See T.C.A. § 39-14-902(c).
    The trial court charged the jury as follows:
    For you to find [Defendant] guilty of this offense, the State must have
    proven beyond a reasonable doubt the existence of the following
    elements: (1) knowingly conduct a financial transaction or make any
    other disposition of property or proceeds with the intent to promote the
    carrying on of the sale of a Schedule VI controlled substance, to-wit:
    Marijuana; and (2) that it was represented to the defendant by another
    person at the direction of a law enforcement officer to be the property or
    -7-
    proceeds derived from the sale of a Schedule VI controlled substance, to-
    wit: Marijuana, or other criminal activity.
    Subsection (c) of the money laundering statute makes it an offense to “knowingly
    conduct . . . a financial transaction . . . involving property or proceeds represented by a
    law enforcement officer, . . . , to be the proceeds derived from a specified unlawful
    activity with the intent to conceal or disguise the nature, location, source, ownership or
    control of the criminally derived proceeds or with the intent to promote the carrying on of
    a specified unlawful activity.” T.C.A. § 39-14-902(c) (emphasis added). Defendant was
    not charged with concealing or disguising the criminally derived proceeds, but rather, he
    was charged with using the proceeds in furtherance of carrying on illegal activity.
    Therefore, the trial court’s omission of “conceal or disguise” in its charge to the jury was
    not error. Defendant is not entitled to relief on this issue.
    Sufficiency of the evidence
    Defendant asserts that the evidence was insufficient to support his convictions for
    money laundering. Specifically, Defendant argues that the evidence did not establish
    “separate transactions” in the act of taking payment for the fronted drugs. Defendant
    argues that the informant’s act of returning to pay Defendant for the amount of “fronted”
    marijuana was not a distinct transaction, but rather “the conclusion of the single
    transaction for the sale of marijuana.” Defendant argues, “[t]his constitutes the dirtying
    of money, not the laundering of money.”
    Defendant raises a unit-of-prosecution claim, contending that the payments made
    for the fronted drugs were merely part and parcel of the original drug transactions, rather
    than separate acts. Unit-of-prosecution claims arise when defendants who have been
    convicted of multiple violations of the same statute assert that the multiple convictions
    are for the “same offense.” When addressing unit-of-prosecution claims, courts must
    determine “what the legislature intended to be a single unit of conduct for purposes of a
    single conviction and punishment.” State v. Watkins, 
    362 S.W.3d 530
    , 541 (Tenn.
    2012); State v. Anthony T. Brandon, No. M2015-00654-CCA-R3-CD, 
    2016 WL 1600279
    , at *7 (Tenn. Crim. App. Apr. 19, 2016), no perm. app. filed. In determining the
    unit of prosecution, we must first examine the statute in question to determine if the
    statutory unit of prosecution has been expressly identified. State v. Smith, 
    436 S.W.3d 751
    , 768 (Tenn. 2014). If there is ambiguity or uncertainty in defining the unit of
    prosecution, courts apply the “rule of lenity,” meaning that any ambiguity in defining the
    unit of conduct for prosecution is resolved against the conclusion that the legislature
    intended to authorize multiple units of prosecution. 
    Watkins, 362 S.W.3d at 543-44
    .
    “The legislature has the power to create multiple ‘units of prosecution’ within a single
    statutory offense, but it must do so clearly and without ambiguity.” State v. Lewis, 958
    -8-
    S.W.2d 736, 739 (Tenn. 1997). “As for criminal offenses in Tennessee, statutes are to be
    construed ‘according to the fair import of their terms, including reference to judicial
    decisions and common law interpretations, to promote justice, and effect the objectives of
    the criminal code.’” 
    Id. (citing T.C.A.
    § 39-11-104).
    Tennessee Code Annotated section 39-14-903 makes it an offense “to knowingly
    conduct . . . a financial transaction or make other disposition involving property or
    proceeds represented by . . . another at the direction of a law enforcement officer, to be
    the property or proceeds derived from a specified unlawful activity with the intent to . . .
    promote the carrying on of a specified unlawful activity.” T.C.A. § 39-14-903(c)(1). In
    the context of drug transactions, this court has noted that Tennessee Code Annotated
    section 39-17-417 does not define the term “sale.” See State v. Clifford Leon Farra, No.
    E2001-02235-CCA-R3-CD, 
    2003 WL 22908104
    , at *6 (Tenn. Crim. App. Dec. 10,
    2003), perm. app. denied (Tenn. May 10, 2004). This court has adopted the definition of
    “sale” in Black’s Law Dictionary 1200 (5th ed. 1979), as “a contract between two parties
    by which the seller, in consideration of the payment or promise of payment of a certain
    price in money, transfers to the buyer the title and possession of the property.” 
    Id. Defendant was
    indicted in count five for accepting payment of $3,000 from the
    informant on January 13, 2009, for three pounds of marijuana “fronted” on January 9,
    2009. Defendant was indicted in count six for accepting payment from the informant on
    January 20, 2009, for four pounds of marijuana fronted on January 16, 2009. The State
    argues, and we agree, that the act of accepting payment for the fronted drugs constituted a
    “financial transaction” separate and distinct from the original transactions on January 9th
    and 16th, in which Defendant and the informant arranged to exchange a particular
    amount of marijuana for a specific price. In its closing argument, the State made clear
    that the money laundering charges related solely to the money paid to Defendant as
    payment for the fronted drugs. Detective Cothran testified that during one of the
    transactions, “there was some discussion about another load coming in.”
    From this proof, a reasonable jury could infer that Defendant was in the business
    of selling marijuana and that he intended to use the money paid to him for the fronted
    drugs to buy more drugs to deliver or sell. This is the conduct that the money laundering
    statute intends to proscribe. We conclude that the evidence is sufficient to support
    Defendant’s money laundering convictions. Defendant is not entitled to relief on this
    issue.
    Double jeopardy
    In a related issue, Defendant contends that his convictions for the sale of
    marijuana and money laundering violate double jeopardy because they occurred from the
    -9-
    same transaction. The State argues that Defendant engaged in four separate transactions.
    On two occasions, the informant contracted with Defendant to purchase particular
    amounts of marijuana, five and six pounds respectively. On both occasions, after
    concluding the initial transaction, the informant and Defendant entered into new
    agreements in which Defendant agreed to front the informant more marijuana, for which
    the informant would pay Defendant later.
    Whether multiple convictions violate double jeopardy is a mixed question of law
    and fact, which we review de novo without any presumption of correctness. See State v.
    Thompson, 
    285 S.W.3d 840
    , 846 (Tenn. 2009). The Double Jeopardy Clause has been
    interpreted as providing three separate protections: (1) protection against a second
    prosecution for the same offense after acquittal; (2) protection against a second
    prosecution for the same offense after conviction; and (3) protection against multiple
    punishments for the same offense. North Carolina v. Pearce, 
    395 U.S. 711
    , 717, 89 S.
    Ct. 2072, 
    23 L. Ed. 2d 656
    (1969), abrogated on other grounds by Alabama v. Smith, 
    490 U.S. 794
    , 
    109 S. Ct. 2201
    , 
    104 L. Ed. 2d 865
    (1989). This appeal involves the third
    category of protection afforded by the Double Jeopardy Clause – protection against
    multiple punishments for the same offense imposed in a single prosecution.
    In determining whether two statutes define the same offense, the United States
    Supreme Court long ago declared that “where the same act or transaction constitutes a
    violation of two distinct statutory provisions, the test to be applied to determine whether
    there are two offenses or only one, is whether each provision requires proof of a fact
    which the other does not.” Blockburger v. U.S., 
    284 U.S. 299
    , 304, 
    52 S. Ct. 180
    , 76 L.
    Ed. 306 (1932); see also Rutledge v. U.S., 
    517 U.S. 292
    , 297, 
    116 S. Ct. 1241
    , 
    134 L. Ed. 2d
    419 (stating that the Court has applied Blockburger for over a half century to
    determine whether a defendant has been punished twice for the “same offense”). The
    Blockburger test requires an examination of the statutory elements in the abstract,
    without regard to the proof offered at trial in support of the offenses. See U.S. v. Dixon,
    
    509 U.S. 688
    , 696, 
    113 S. Ct. 2849
    , 
    125 L. Ed. 2d 556
    (1993) (“The same-elements test,
    sometimes referred to as the ‘Blockburger’ test, inquires whether each offense contains
    an element not contained in the other . . . .”). If each offense includes an element that the
    other offense does not, “the Blockburger test is satisfied, notwithstanding a substantial
    overlap in the proof offered to establish the crimes.” Iannelli v. U.S., 
    420 U.S. 770
    , 785
    n. 17, 
    95 S. Ct. 1284
    , 
    43 L. Ed. 2d 616
    (1975).
    In a Blockburger analysis, our primary focus is whether the General Assembly
    expressed an intent to permit or preclude multiple punishments. State v. Watkins, 
    362 S.W.3d 530
    , 556 (Tenn. 2012). When the General Assembly has expressed an intent to
    permit multiple punishments, no further analysis is necessary, and multiple convictions
    should be upheld against a double jeopardy challenge. 
    Id. Likewise, if
    the General
    - 10 -
    Assembly has expressed an intent to preclude multiple punishment, then no further
    analysis is necessary, and improper multiple convictions should be vacated. 
    Id. When the
    legislative intent is unclear, however, we must apply the “same elements test” from
    Blockburger. 
    Id. at 546-47.
    Under this test, the first step is to determine whether the
    convictions arise from the same act or transaction. 
    Id. at 545.
    The second step is to
    determine whether the elements of the offenses are the same. 
    Id. at 557.
    If each offense
    contains an element that the other offense does not, the statutes do not violate double
    jeopardy. 
    Id. Here, the
    money laundering statute specifically provides that, “[a] defendant
    charged with a violation of one (1) or more offenses within § 39-14-903 may also be
    jointly charged, tried and convicted in a single prosecution for committing any related
    specified unlawful activity, which shall be separately punished.” T.C.A. § 39-14-904.
    We conclude that the legislature intended to permit multiple punishments. Defendant is
    not entitled to relief on this issue.
    Money laundering statute
    Defendant contends that Tennessee Code Annotated section 39-14-903, which
    prohibits engaging in a financial transaction to promote the “carrying on” of a specified
    illegal activity, is void for vagueness. Specifically, Defendant argues that the phrase
    “carrying on” “fails to alert someone as to what constitutes a prohibited action under the
    statute.” The State asserts that Defendant has waived consideration of this issue by
    failing to raise it in a pretrial motion. We note that the issue was raised in Defendant’s
    motion for new trial.
    In any event, we conclude that the statute is not unconstitutionally vague. Because
    Defendant has challenged the constitutionality of a statute, the general principles of
    statutory construction apply. Appellate courts are charged with upholding the
    constitutionality of statutes wherever possible. State v. Lyons, 
    802 S.W.2d 590
    , 592
    (Tenn. 1990). In other words, we are required to indulge every presumption and resolve
    every doubt in favor of the constitutionality of the statute when reviewing a statute for a
    possible constitutional infirmity. 
    Lyons, 802 S.W.2d at 592
    .
    The language of a penal statute must be clear and concise to give adequate
    warning so that individuals might avoid the prohibited conduct. State v. Boyd, 
    925 S.W.2d 237
    , 242-43 (Tenn. Crim. App. 1995). A statute is void for vagueness if it is not
    “sufficiently precise to put an individual on notice of prohibited activities.” State v.
    Thomas, 
    635 S.W.2d 114
    , 116 (Tenn. 1982); see also State v. Wilkins, 
    655 S.W.2d 914
    ,
    915 (Tenn. 1983). A criminal statute “shall be construed according to the fair import of
    [its] terms” when determining if it is vague. T.C.A. § 39-11-104. “Due process requires
    - 11 -
    that a statute provide ‘fair warning’ and prohibits holding an individual criminally liable
    for conduct that a person of common intelligence would not have reasonably understood
    to be proscribed.” State v. Burkhart, 
    58 S.W.3d 694
    , 697 (Tenn. 2001) (citing Grayned v.
    City of Rockford, 
    408 U.S. 104
    , 
    92 S. Ct. 2294
    , 
    33 L. Ed. 2d 222
    (1972)).
    This court has previously held that the money laundering statute is sufficiently
    precise to put an individual on notice of prohibited activities. State v. Joseph Chi-Choi
    Wong, No. M2003-00504-CCA-R3-CD, 
    2004 WL 1434384
    , at *13 (Tenn. Crim. App.
    June 25, 2004), perm. app. denied (Tenn. Dec. 6, 2004). In that case, the defendant
    challenged the statute as vague because, the defendant argued, “by its nature it applies to
    every felony under state law” and “makes the use of money under any context of a
    knowing violation of any felony a separate and distinct offense” which “makes it
    impossible for a person to know what is or what is not a crime with respect to money
    laundering.” 
    Id. A panel
    of this court held that the statute is “not void for vagueness
    because it applies to the proceeds of any unlawful activity.” 
    Id. (emphasis in
    original).
    We determine that the phrase “carrying on” is not susceptible to different
    interpretations regarding that which the statute actually proscribes. See State v.
    Whitehead, 
    43 S.W.3d 921
    , 928 (Tenn. Crim. App. 2000). In its order denying
    Defendant’s motion for new trial, the trial court concluded that “‘carrying on’ clearly
    means the continuation or furtherance of an unlawful activity.” We agree. In his brief on
    appeal, Defendant offers no alternative interpretation to the term “carrying on.”
    Defendant is not entitled to relief on this issue.
    Speedy trial
    Defendant contends that the trial court erred by denying his motion to dismiss the
    charges against him based on a violation of his right to a speedy trial. The State responds
    that the trial court properly denied Defendant’s motion.
    “The right to a speedy trial arises under the Sixth Amendment to the Constitution
    of the United States made applicable to the State by the Fourteenth Amendment . . . and
    Article 1, § 9 of the Constitution of Tennessee . . . .” State v. Bishop, 
    493 S.W.2d 81
    , 83
    (Tenn. 1973). To determine whether a defendant’s constitutional right to a speedy trial
    has been violated this court must conduct the balancing test set forth in Barker v. Wingo,
    
    407 U.S. 514
    (1972). See State v. Wood, 
    924 S.W.2d 342
    , 346 (Tenn. 1996); State v.
    Baker, 
    614 S.W.2d 352
    , 353 (Tenn. 1981). Under the Barker analysis, the following four
    factors must be considered: (1) the length of the delay; (2) the reasons for the delay; (3)
    the accused’s assertion of the right to a speedy trial; and (4) the prejudice resulting from
    the 
    delay. 407 U.S. at 530
    .
    - 12 -
    The right to a speedy trial attaches at the time of arrest or indictment, whichever
    comes first, and continues until the date of the trial. State v. Vickers, 
    985 S.W.2d 1
    , 5
    (Tenn. Crim. App. 1997). In this case, Defendant was indicted on August 26, 2010, and
    the trial began on April 13, 2015, resulting in a delay of over four and a half years. A
    delay of one year or longer will usually trigger an inquiry into a speedy trial violation.
    
    Id. The second
    factor, the reason for delay, generally falls into one of four categories:
    (1) intentional delay to gain a tactical advantage over the defense or delay designed to
    harass the defendant; (2) bureaucratic indifference or negligence; (3) delay necessary to
    the fair and effective prosecution of the case; and (4) delay caused, or acquiesced in, by
    the defense. 
    Wood, 924 S.W.2d at 346-47
    . A review of the record shows that the delay
    in this case falls squarely into the fourth category.
    The record shows that on July 19, 2012, the trial court granted a motion to
    withdraw filed by Defendant’s counsel as of that date. On August 24, 2012, new counsel
    was appointed. Defendant’s new counsel filed a motion to dismiss the charges based on a
    violation of Defendant’s right to a speedy trial. In the motion, new defense counsel
    acknowledged that Defendant had already been represented by five attorneys. The trial
    court denied the motion to dismiss on October 26, 2012. On December 12, 2012, new
    counsel filed a motion to be relieved. On February 8, 2013, the trial court granted the
    motion and allowed Defendant to represent himself. On March 22, 2013, the trial court
    held a hearing and appointed another attorney to represent Defendant. On April 12,
    2013, newly appointed counsel filed a motion to withdraw as counsel, stating that
    Defendant had “informed counsel of his intent to represent himself at trial and waive his
    right of counsel.” Counsel also filed on behalf of Defendant a motion to waive counsel
    and allow Defendant to represent himself. The trial court’s minutes reflect that
    Defendant was allowed to proceed pro se.
    On July 17, 2013, Defendant filed a pro se motion for speedy trial. Defendant
    contended that none of his previous attorneys would honor his request to file a motion for
    speedy trial. Defendant’s trial was set to begin on September 23, 2013, and Defendant
    requested that the trial be continued and he be appointed new counsel. Defendant was
    once again appointed new counsel, and this attorney filed a motion to withdraw on
    January 30, 2014. The trial court granted the motion, and counsel was relieved on
    February 7, 2014. On March 12, 2014, Defendant filed a pro se motion to dismiss based
    on a violation of his right to a speedy trial. The trial court denied Defendant’s motion on
    March 14, 2014. On July 28, 2014, Defendant requested that counsel be appointed to
    represent him, and the court appointed new counsel. New counsel filed several motions,
    including a motion to dismiss, a motion for speedy trial, motions to suppress evidence
    seized during the execution of two search warrants, and a motion to suppress Defendant’s
    - 13 -
    statement to police. The State filed responses to Defendant’s motions. Following a
    hearing, the trial court denied Defendant’s motions by written order on November 19,
    2014.
    Defendant’s latest attorney also subsequently filed a motion to withdraw and also
    moved to recuse the trial judge. The trial court granted counsel’s motion to withdraw and
    ordered Defendant “to hire his own attorney.” Also, the trial court granted Defendant’s
    motion to recuse itself. On February 4, 2015, a new trial judge was assigned, and on
    February 25, 2015, another attorney was appointed to represent Defendant. Thereafter,
    Defendant sought an extraordinary appeal pursuant to Rule 10 of the Tennessee Rules of
    Appellate Procedure, from the trial court’s denial of his motion to dismiss the indictment
    due to a violation of Defendant’s right to a speedy trial. Defendant’s application for
    permission to appeal was denied based on an insufficient record because Defendant did
    not include with his application the motion to dismiss, any response from the State, or a
    transcript of the hearing on the motion.
    Defendant’s trial was set for April 14, 2015. On that day, Defendant filed a pro se
    motion to recuse the second trial judge. Defendant also filed a motion to quash,
    contending that the grand jury returned indictments based upon perjured testimony. The
    trial court denied both motions, and Defendant proceeded to trial.
    In denying Defendant’s last motion to dismiss based on a violation of his right to a
    speedy trial, the trial court made the following findings and conclusions:
    The Defendant has been incarcerated for over four years after having his
    bond revoked when he picked up new charges in this case.
    ....
    On October 26, 2012, this Court denied a previously filed speedy trial
    motion filed by the Defendant based on his obstinance as illustrated by
    the numerous attorneys he has fired throughout the proceedings. As the
    State points out, the Defendant has demanded continuances and new
    counsel on at least eight occasions. He also insisted on proceeding pro
    se at trial, however, on the morning of trial, the Defendant thought better
    of such strategy and again requested appointment of new counsel.
    Considering these facts, the Court finds that the entirety of the delay in
    this matter has been caused by the Defendant himself.
    Regarding the third factor, the record shows that Defendant asserted his right to a
    speedy trial in two separate motions. Finally, we must determine whether Defendant was
    - 14 -
    prejudiced by the delay, which is the “final and most important factor in the [speedy trial]
    analysis.” State v. Simmons, 
    54 S.W.3d 755
    , 760 (Tenn. 2001). Prejudice is to be
    assessed in light of the following interests of the accused which the right to a speedy trial
    was designed to protect: (1) to prevent undue and oppressive incarceration prior to trial;
    (2) to minimize the anxiety and concern that results from being accused of a crime; and
    (3) to limit the risk that the defense will be impaired. 
    Id. Our supreme
    court has stated
    that “the most important issue concerning prejudice to the defendant is the impairment of
    the ability to prepare a defense.” State v. Berry, 
    141 S.W.3d 549
    , 568 (Tenn. 2004)
    (citing State v. Baker, 
    614 S.W.2d 352
    , 356 (Tenn. 1981)). Defendant makes no claims
    regarding how the delay impaired his defense, asserting only that “prejudice in this matter
    is apparent because [Defendant] was subjected to over five years of pre-trial
    incarceration.” Under the circumstances, we conclude that his incarceration prior to trial
    was not so excessively oppressive as to outweigh the other factors. As we explained, the
    delays in trial were the result of numerous requests by Defendant to be appointed new
    counsel. In balancing the factors, we conclude that Defendant’s right to a speedy trial
    was not violated. Accordingly, Defendant is not entitled to relief on this issue.
    Motions to suppress
    Defendant contends that the trial court erred by denying his motion to suppress his
    statements to police following his arrest, as well as to suppress the evidence found in the
    search of the Elkins Avenue home.
    In reviewing a trial court’s determinations regarding a suppression hearing,
    “[q]uestions of credibility of the witnesses, the weight and value of the evidence, and
    resolution of conflicts in the evidence are matters entrusted to the trial judge as the trier
    of fact.” State v. Odom, 
    928 S.W.2d 18
    , 23 (Tenn. 1996). Thus, “a trial court’s findings
    of fact in a suppression hearing will be upheld unless the evidence preponderates
    otherwise.” 
    Id. Nevertheless, appellate
    courts will review the trial court’s application of
    law to the facts purely de novo. See State v. Walton, 
    41 S.W.3d 75
    , 81 (Tenn. 2001).
    Furthermore, the prevailing party is “entitled to the strongest legitimate view of the
    evidence adduced at the suppression hearing as well as all reasonable and legitimate
    inferences that may be drawn from that evidence.” 
    Odom, 928 S.W.2d at 23
    . We note
    that “in evaluating the correctness of a trial court’s ruling on a pretrial motion to
    suppress, appellate courts may consider the proof adduced both at the suppression
    hearing and at trial.” State v. Henning, 
    975 S.W.2d 290
    , 299 (Tenn. 1998).
    There are three categories of police-citizen interaction and their corresponding
    evidentiary requirements: “(1) full-scale arrest, which must be supported by probable
    cause; (2) brief investigatory detention, which must be supported by reasonable suspicion
    of criminal activity; and (3) brief police-citizen encounter that requires no objective
    - 15 -
    justification.” State v. Hanning, 
    296 S.W.3d 44
    , 48 (Tenn. 2009) (citations omitted).
    The parties do not dispute that a full-scale arrest is at issue in this case.
    Defendant contends that the trial court should have suppressed any statements he
    made as a result of his warrantless arrest. Defendant argues that he was illegally arrested
    because there was no proof that he was on the property of the Elkins Avenue home at the
    time the search warrant was executed. In denying Defendant’s motion to suppress, the
    trial court made findings of fact that Defendant was on the property to be searched and
    therefore subject to arrest. The State argues that police had probable cause to arrest
    Defendant regardless of his presence on or off the property.
    Probable cause for an arrest without a warrant exists if, at the time of the arrest,
    the facts and circumstances within the knowledge of the officers, and of which they had
    reasonably trustworthy information, are “sufficient to warrant a prudent man in believing
    that the [defendant] had committed or was committing an offense.” State v. Bridges, 
    963 S.W.2d 487
    (Tenn. 1997) (quoting Beck v. Ohio, 
    379 U.S. 89
    , 91 (1964)).
    Officers were aware of Defendants’ two controlled drug buys. Defendant was
    named in the search warrant. Detective Cothran listened to an audio recording of one of
    the controlled buys, in which Defendant told the informant that he was expecting a
    shipment of marijuana to arrive at the Elkins Avenue home. We conclude that
    Defendant’s arrest was supported by probable cause.
    Defendant also argues that the statements of the informant failed to support
    probable cause for the issuance of the search warrant because there was no showing of
    the reliability of the informant. In denying Defendant’s motion to suppress, the trial court
    ruled:
    Extensive surveillance was conducted in this matter, which led
    detectives to seek a search warrant. Four controlled drug transactions
    were conducted by detectives using the confidential informant. On each
    occasion, the informant was searched and fitted with a hidden audio
    transmitter which was monitored by the detectives, who also maintained
    surveillance and retrieved the contraband given to the informant by the
    Defendant.
    At the time of the suppression hearing in the present case, a supporting affidavit
    that included information supplied by an unknown informant or a criminal informant was
    required to show (1) the informant’s basis of knowledge; and (2) the veracity of the
    informant or the reliability of the informant’s information. See State v. Jacumin, 
    778 S.W.2d 430
    , 436 (Tenn. 1989) (citing Spinelli v. U.S., 
    393 U.S. 410
    , 415-16 (1969);
    - 16 -
    Aguilar v. Texas, 
    378 U.S. 108
    , 114 (1964)). The Tennessee Supreme Court has since
    adopted the totality-of-the-circumstances test, which requires the issuing magistrate to
    “‘make a practical, commonsense decision whether, given all the circumstances set forth
    in the affidavit before him, including the veracity and basis of knowledge of persons
    supplying hearsay information, there is a fair probability that contraband or evidence of a
    crime will be found in a particular place.’” State v. Tuttle, 
    515 S.W.3d 282
    , 303-04
    (quoting Illinois v. Gates, 
    462 U.S. 213
    , 238 (1983)) (internal quotations omitted).
    Under the totality-of-the-circumstances analysis, the informant’s basis of knowledge and
    veracity or credibility are no longer separate and independent considerations but are
    “‘closely intertwined issues that may usefully illuminate the commonsense, practical
    question [of] whether there is probable cause to believe that contraband or evidence is
    located in a particular place.’” 
    Id. at 308
    (quoting 
    Gates, 462 U.S. at 230
    ) (internal
    quotations omitted). Barebones affidavits including only conclusory statements remain
    insufficient, and independent police corroboration of the information provided by the
    informant continues to add value to the affidavit. 
    Id. at 307-08.
    In the present case, the affidavit states that the informant placed phone calls to
    Defendant in the presence of officers and arranged to meet with Defendant to purchase
    marijuana. Officers observed Defendant arrive at the location the informant and
    Defendant had arranged to meet. Officers listened to the controlled drug buys via
    electronic surveillance. Following the controlled drug buys, officers took possession of
    several pounds of marijuana. Considering the totality of the circumstances, we conclude
    that the information in the affidavit is sufficient to establish probable cause for issuance
    of the search warrants. Accordingly, the trial court was correct in denying the
    Defendant’s motion to suppress. Defendant is not entitled to relief on this issue.
    Right to assistance of counsel
    Defendant contends that the trial court erred by finding that Defendant implicitly
    waived his right to the assistance of counsel at trial and at sentencing. The State responds
    that Defendant expressly waived his right to counsel.
    The standard of review for a defendant’s exercise of the right of self-
    representation and the concurrent waiver of the right to counsel is a mixed question of
    law and fact. State v. Hester, 
    324 S.W.3d 1
    , 29 (Tenn. 2010). Our review is de novo
    with a presumption of correctness as to the trial court’s factual findings. 
    Id. at 29-30.
    “An error in denying the exercise of the right to self-representation is a structural
    constitutional error not amenable to harmless error review and requires automatic
    reversal when it occurs.” 
    Id. (citing State
    v. Rodriguez, 
    254 S.W.3d 361
    , 371 (Tenn.
    2008)).
    - 17 -
    It has long been established that a criminal defendant has a constitutional right to
    proceed without counsel “when he voluntarily and intelligently elects to do so.” Faretta
    v. California, 
    422 U.S. 806
    , 807, 
    95 S. Ct. 2525
    , 
    45 L. Ed. 2d 562
    (1975); see also State
    v. Small, 
    988 S.W.2d 671
    , 673 (Tenn. 1999). There are three essential prerequisites that
    must be present before the right of self-representation becomes absolute: (1) the right
    must be asserted in a timely manner; (2) the request must be clear and unequivocal; and
    (3) the defendant must knowingly and intelligently waive the right to counsel. 
    Id. at 30-
    31. A defendant need not have knowledge of the law and the legal system equivalent to
    that of an attorney to knowingly and intelligently waive his right to counsel. State v.
    Goodwin, 
    909 S.W.2d 35
    , 40 (Tenn. Crim. App. 1995) (citing 
    Faretta, 422 U.S. at 835
    ,
    
    95 S. Ct. 2525
    ). The record need only show that the defendant made his decision
    knowing the disadvantages and the dangers of self-representation. 
    Id. “The accused’s
    lack of expertise or professional capabilities is not a factor to be
    considered by the trial court when an accused invokes his constitutional right to self-
    representation.” State v. Herrod, 
    754 S.W.2d 627
    , 630 (Tenn. Crim. App. 1988) (citing
    
    Faretta, 422 U.S. at 836
    , 
    95 S. Ct. 2525
    . In Faretta, the Court said that “a defendant
    need not himself have the skill and experience of a lawyer in order competently and
    intelligently to choose 
    self-representation.” 422 U.S. at 835
    , 
    95 S. Ct. 2525
    .
    When a defendant asks to proceed pro se, the court must conduct an intensive
    inquiry as to his ability to represent himself. See State v. Northington, 
    667 S.W.2d 57
    , 61
    (Tenn. 1984). To be valid, a defendant’s waiver of his right to counsel “must be made
    with an apprehension of the nature of the charges, the statutory offenses included within
    them, the range of allowable punishments thereunder, possible defenses to the charges
    and circumstances in mitigation thereof, and all other facts essential to a broad
    understanding of the whole matter.” Von Moltke v. Gillies, 
    332 U.S. 708
    , 724, 
    68 S. Ct. 316
    , 92 L. Ed 309 (1948). “A judge can make certain that an accused’s professed waiver
    of counsel is understandingly and wisely made only from a penetrating and
    comprehensive examination of all the circumstances under which such a plea is
    tendered.” 
    Id. Tennessee Rule
    of Criminal Procedure 44(b)(1) specifically provides:
    Before accepting a waiver of counsel, the court shall: (A) advise the
    accused in open court of the right to the aid of counsel at every stage of
    the proceedings; and (B) determine whether there has been a competent
    and intelligent waiver of such right by inquiring into the background,
    experience, and conduct of the accused, and other appropriate matters.
    - 18 -
    Additionally, the waiver of counsel must be submitted in writing and made a part
    of the record. Tenn. R. Crim. P. 44(b)(2), (3).
    In addition to affirmatively waiving the right to counsel, a defendant can implicitly
    waive or forfeit the right to counsel. See State v. Carruthers, 
    35 S.W.3d 516
    , 547 (Tenn.
    2000); see also State v. Holmes, 
    302 S.W.3d 831
    , 840 (Tenn. 2010). Our supreme court
    has held that “an indigent criminal defendant may implicitly waive or forfeit the right to
    counsel by utilizing that right to manipulate, delay, or disrupt trial proceedings.”
    
    Carruthers, 35 S.W.3d at 549
    . “[A]n implicit waiver may appropriately be found, where
    . . . the record reflects that the trial court advises the defendant the right to counsel will be
    lost if the misconduct persists and generally explains the risks associated with self-
    representation.” 
    Id. Thus, “compared
    to an affirmative waiver expressed through words,
    an implicit waiver is presumed from the defendant’s conduct after he has been made
    aware that his continued misbehavior will result in the dangers and disadvantages of
    proceeding pro se.” 
    Holmes, 302 S.W.3d at 840
    .
    The record shows that the trial court provided Defendant with a written colloquy,
    advising him of his right to counsel, and Defendant refused to sign the form. On April 9,
    2015, one week before the start of Defendant’s trial, the trial court held a hearing and
    provided Defendant with a form containing the required colloquy regarding self-
    representation. Defendant’s counsel informed the court that Defendant “didn’t look at
    it.” The trial court asked Defendant, “[w]hy are you refusing to cooperate with [defense
    counsel]?” Defendant replied, “[b]ecause he told me off the rip [sic] he’s not filing no
    motions on my behalf, and that’s what ever[y] lawyer, how many lawyers, twelve
    lawyers, has told me the whole time.” Defendant then told the trial court that he was
    going to represent himself. The trial court stated, “[w]ell, you need to fill out the form
    that was attempted to be presented to you by [defense counsel], then we’ll get back to it
    after that.” Defendant then requested copies “of every motion that’s been filed on [his]
    behalf.” The trial court responded, “[s]ure.” After some discussion between the State
    and the trial court regarding redactions in Defendant’s statement, Defendant told the trial
    court, “I don’t want to sign anything.” The trial court stated,
    Well, for the record, the Court will note that [Defendant] has had the
    benefit of I believe twelve different attorneys, maybe thirteen with
    [current defense counsel], and he’s refused to basically cooperate with
    all of them, as they are continuing to have to file motions to withdraw
    because of conflict created by [Defendant].
    Following the hearing, the trial court entered a written order stating that Defendant
    had been provided a “Colloquy for Waiver of Counsel packet that posed a lengthy series
    of questions to [Defendant] as a means of assuring that he is fully informed of the rights
    - 19 -
    he is foregoing and the risks associated with self-representation in a criminal case” and
    that Defendant had “refused to fill out or sign the colloquy under oath.”
    On the day of jury selection, the trial court revisited the issue. The following
    exchange occurred:
    THE COURT: Let me get a few things out of the way.
    [DEFENDANT]: Okay.
    THE COURT: Also, I want to make sure that it is your personal
    decision this morning that you want to proceed to trial in representing
    yourself?
    [DEFENDANT]: Yes, sir.
    THE COURT: And I want to make sure that it’s your personal decision
    and you want to proceed to trial representing yourself without the benefit
    of having elbow counsel there for legal advice, in the event that you
    want legal advice?
    [DEFENDANT]: Yes, sir.
    After the jury returned its verdict, the trial court asked Defendant if he wanted
    counsel appointed to represent him for sentencing. Defendant responded, “I just want to
    remain silent.” The trial court stated, “[w]ell, since you have previously waived your
    attorney, I’m going to place the burden on you that if you want an attorney, you will have
    to be the one that requests it, otherwise, the waiver remains in effect, and you will
    continue to represent yourself pro se.” At the conclusion of the sentencing hearing, the
    trial court again asked Defendant, “do you wish the Court to appoint you an attorney to
    represent you on your motion for new trial and/or your appeal?” Defendant replied,
    “[y]es.”
    As set out earlier in this opinion, Defendant was repeatedly afforded the
    opportunity to hire counsel or have one appointed to represent him. This is not a case of
    implicit waiver. There is nothing in the record to suggest that the trial court warned
    Defendant that his misbehavior could result in waiver of counsel. The trial court
    provided Defendant with a written waiver, and Defendant refused to sign the form. In
    State v. Rashunus B. Pearsons, a panel of this court held that the record did not establish
    that Defendant waived his right to counsel because the record did not contain a written
    waiver by Defendant as explicitly required by Tennessee Rule of Criminal Procedure
    - 20 -
    44(b)(2). No. 2017-01488-CCA-R3, 
    2018 WL 4026758
    , at *8 (Tenn. Crim. App. Aug.
    22, 2018). In that case, however, the panel noted that in addition to the lack of a written
    waiver in the appellate record, there was no indication in the record that Defendant was
    offered a written waiver to sign or refused to sign a written waiver when offered. Here,
    Defendant was offered a written waiver and refused to sign. Defendant cannot benefit in
    this case from his refusal to sign the written waiver. The record is clear that he
    knowingly waived representation by counsel, that he refused the trial court’s offer to have
    elbow counsel, and that he stubbornly refused to sign the waiver. Defendant got what he
    requested. He knew from prior experience that he could request counsel if he desired to
    do so, even after expressing a desire to proceed pro se.
    We conclude that the trial court substantially complied with Rule 44. Despite
    Defendant’s repeated requests to represent himself, the trial court offered the assistance
    of counsel to Defendant at every stage of the proceeding. Defendant is not entitled to
    relief on this issue.
    Consecutive sentencing
    Defendant contends that the trial court erred by ordering partial consecutive
    sentencing. Specifically, Defendant asserts that the trial court’s imposition of
    consecutive sentences was improper because the trial court failed to make the requisite
    findings of fact under State v. Wilkerson, 
    905 S.W.2d 933
    , 938 (Tenn. 1995). It is well-
    settled law that such findings are required only when a trial court orders consecutive
    sentencing based on the “dangerous offender” statutory factor. The State responds that
    the trial court did not find Defendant to be a dangerous offender. We agree with the
    State.
    When the record establishes that the sentence imposed by the trial court was
    within the appropriate range and reflects a “proper application of the purposes and
    principles of our Sentencing Act,” this court reviews the trial court’s sentencing decision
    under an abuse of discretion standard with a presumption of reasonableness. State v.
    Bise, 
    380 S.W.3d 682
    , 707 (Tenn. 2012). The trial court must state on the record the
    factors it considered and the reasons for the sentence imposed. T.C.A. § 40-35-210(e);
    
    Bise, 380 S.W.3d at 706
    . The party challenging the sentence on appeal bears the burden
    of establishing that the sentence was improper. T.C.A. § 40-35-401, Sentencing Comm’n
    Cmts.
    In State v. Pollard, 
    432 S.W.3d 851
    (Tenn. 2013), the Tennessee Supreme Court
    expanded its holding in Bise to also apply to decisions by trial courts regarding
    consecutive sentencing. 
    Id. at 859.
    A trial court is permitted to impose consecutive
    sentences when it provides reasons on the record that establish one of the seven factors
    - 21 -
    enumerated in Tennessee Code Annotated section 40-35-115(b). This court must give
    “deference to the trial court’s exercise of its discretionary authority to impose consecutive
    sentences if it has provided reasons on the record establishing at least one of the seven
    grounds listed in Tennessee Code Annotated section 40-35-115(b).” 
    Id. at 861.
    “Any
    one of [the] grounds [listed in section 40-35-115(b)] is a sufficient basis for the
    imposition of consecutive sentences.” 
    Id. at 862
    (citing State v. Dickson, 
    413 S.W.3d 735
    (Tenn. 2013)).
    Defendant is correct that when a trial court relies on Tennessee Code Annotated
    section 40-35-115(b)(4) to impose consecutive sentencing, “the record must also
    establish that the aggregate sentence reasonably relates to the severity of the offenses and
    that the total sentence is necessary for the protection of the public from further crimes by
    the defendant.” See 
    Wilkerson, 905 S.W.2d at 938
    . However, contrary to Defendant’s
    assertion, the trial court did not rely on this factor to impose consecutive sentencing.
    The record reflects that the trial court properly considered the purposes and
    principles of the Sentencing Act and stated its reasons for imposing consecutive
    sentencing on the record. At the conclusion of the sentencing hearing, the trial court
    found:
    There simply just isn’t a lot of information for the Court to consider,
    other than the fact that [Defendant] does have an extensive criminal
    history and at least for the last twelve years, if not longer, at least the last
    twelve years, his primary source of income appears, from the record
    before this Court, to have been through drug activities, the sale of drugs,
    whether it be cocaine or marijuana, therefore the Court finds that the
    defendant is a professional criminal who has knowingly devoted much of
    his adult life to criminal acts as a major source of livelihood, and further
    that his record of criminal activity is extensive, even though he hasn’t
    had any felony convictions in the twenty-first century, the terms of
    consecutive sentencing addresses criminal activity, not just criminal
    convictions. It appears, at least since 2002, he’s been heavily involved
    in criminal activity of drug-dealing, based on the evidence that is before
    [the] Court, therefore the Court finds that there certainly is grounds for
    consecutive sentencing . . . .
    The trial court applied two of the statutory factors in imposing partially
    consecutive sentences. The trial court found that the Defendant “is a professional
    criminal who has knowingly devoted the defendant’s life to criminal acts as a major
    source of livelihood.” T.C.A. § 40-35-115(b)(1). The trial court also found that
    Defendant “is an offender whose record of criminal activity is extensive.” T.C.A. § 40-
    - 22 -
    35-115(b)(2). The evidence does not preponderate against the trial court’s findings. We
    conclude that the trial court did not abuse its discretion by imposing partial consecutive
    sentencing. Defendant is not entitled to relief on this issue.
    Excessive fines
    Defendant also contends that the fines imposed by the trial court are excessive.
    The jury imposed an aggregate fine of $125,000. In denying Defendant’s motion for new
    trial, the court held that “based on the factors already addressed at the sentencing
    [hearing] and weighing those factors against Defendant’s future ability to pay, the court
    finds that fines are necessary because of the nature of the offenses (illegal conduct for
    financial gain in lieu of lawful employment), and future deterrence because of the
    Defendant’s lengthy criminal history.” The trial court reduced the fines to $40,000.
    The United States Constitution and the Tennessee Constitution prohibit excessive
    fines. U.S. Const. amend. VIII (“Excessive bail shall not be required, nor excessive fines
    imposed, nor cruel and unusual punishments inflicted.”); Tenn. Const. art. I, § 16 (“That
    excessive bail shall not be required, nor excessive fines imposed, nor cruel and unusual
    punishments inflicted.”). Moreover, any fine over $50 must be assessed by a jury. Tenn.
    Const. art. VI, § 14 (“No fine shall be laid on any citizen of this State that shall exceed
    fifty dollars, unless it shall be assessed by a jury of his peers, who shall assess the fine at
    the time they find the fact, if they think the fine should be more than fifty dollars.”).
    The imposition of fines is viewed as a portion of a defendant’s sentence, and the
    standard of review is abuse of discretion. See State v. Bryant, 
    805 S.W.2d 762
    , 727
    (Tenn. 1991); see also 
    Bise, 380 S.W.3d at 707
    ; State v. Anthony Xen Maples, No.
    E2013-00961-CCA-R3-CD, 
    2014 WL 1056671
    , at *5 (Tenn. Crim. App. Mar. 18, 2014),
    no perm. app. filed. The amount of any fine should be based upon the principles of
    sentencing, including “prior offenses, potential for rehabilitation, mitigating and
    aggravating circumstances, and other matters relevant to an appropriate sentence.”
    
    Bryant, 805 S.W.2d at 765-66
    . “A defendant’s ability to pay is a factor in the
    establishment of fines.” State v. Alvarado, 
    961 S.W.2d 136
    , 153 (Tenn. Crim. App.
    1996); see T.C.A. § 40-35-207(a)(7) (2014) (requiring upon the trial court’s request that
    the presentence report include information to “assist the court in imposing a fine”).
    “[A]lthough the defendant’s ability to pay a fine is a factor, it is not necessarily a
    controlling one.” State v. Marshall, 
    870 S.W.2d 532
    , 542 (Tenn. Crim. App. 1993).
    Furthermore, “a significant fine is not automatically precluded just because it works a
    substantial hardship on a defendant – it may be punitive in the same fashion incarceration
    may be punitive.” 
    Id. - 23
    -
    The presentence report reflects that Defendant refused to cooperate or provide any
    information for the presentence report. Consequently, the report contains no information
    regarding Defendant’s ability to pay. The record reflects that the trial court considered
    Defendant’s extensive criminal history and his low potential for rehabilitation. Under
    these circumstances, we conclude that the trial court did not abuse its discretion by
    imposing an aggregate fine of $40,000. Defendant is not entitled to relief on this issue.
    CONCLUSION
    Based on the foregoing, the judgments of the trial court are affirmed.
    ____________________________________________
    THOMAS T. WOODALL, JUDGE
    - 24 -