State v. Goode, Unpublished Decision (3-27-1998)
State v. Goode, Unpublished Decision (3-27-1998)
Dissenting Opinion
Although I agree with the opinion of this court in all other respects, I would find that the application of the Ohio Sexual Predator law's registration requirements upon Goode violates Article
In my view, the duty to register, in person, with the local sheriff at regular intervals is a new and additional burden arising out of Goode's past criminal transaction. Furthermore, I would distinguish State, ex rel. Matz v. Brown (1988),
Surely, the General Assembly has the power to repeal the act providing for compensation for victims of crime at any time with respect to all persons who have not, as of the effective date of the repeal, been injured as a result of a criminal act. Because no one acquires vested rights under the act until an actual injury occurs, the General Assembly is free to withdraw the privilege of being compensated as a victim of crime that it has graciously seen fit to bestow upon the citizens of Ohio, perhaps because of budgetary pressures. Of course, if the General Assembly sees fit to withdraw that privilege with respect to a particular class of citizens, such as those persons who have committed felonies within ten years previous to their injury as a victim of crime, that may raise issues of equal protection under the law, but it does not, in my view, run afoul of the prohibition against retroactive legislation set forth in Article II, Section 28.
The concept of a right that has not yet vested — dispositive in Matz — has no application in the case before us. The right to be free of new and burdensome duties is not contingent until the happening of some future event; it is a presently-vested right that all Ohio citizens enjoy under Article II, Section 28. Matz was concerned with reasonable expectations of finality, and found that a convicted felon could have no reasonable expectation of finality with respect to the felon's future contingent right to be compensated as a victim of crime. Although I recognize that the final paragraph of Matz could be interpreted as rejecting any reasonable expectation of finality on the part of a convicted felon, such an interpretation is well beyond the facts of that case. Would the Supreme Court have held that a crime victim who had prosecuted a claim under the act and was about to be awarded compensation on the day that the amendment became effective would be divested of his right to compensation because he had been convicted of a felony within the past ten years? I doubt it.
Any transaction can be made the subject of a felony, and many transactions have been. To say that a transaction, however despicable, that has been made the subject of a felony is outside the scope of Article II, Section 28, would create an unwarranted exception that, in my view, is not compelled by the facts and logic underlying Matz, supra.
I would sustain Goode's First Assignment of Error, and vacate that part of the trial court's judgment requiring him to comply with the registration requirements of the Sexual Predator law.
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James D. Bennett
Andrew R. Pratt
Hon. Robert J. Lindeman
Opinion of the Court
Defendant/Appellant, William Goode, was convicted on February 21, 1997, of two counts of rape and one count of disseminating matter harmful to juveniles. The charges were based on allegations by Goode's stepdaughter, Nicole, who claimed Goode had sexually abused her on numerous occasions beginning when she was approximately eight or nine years of age. Nicole also claimed Goode had exposed her to pornographic videos.
Goode was originally indicted on September 12, 1996, on three counts of rape and four counts of disseminating harmful matter to juveniles. Subsequently, on November 21, 1996, the State moved to amend the indictment, and Goode entered a plea of guilty to one count of gross sexual imposition and one count of disseminating harmful matter. The plea was entered pursuant to North Carolinav. Alford (1970),
On appeal, Goode raises the following three assignments of error:
I. The trial court erred when it subjected Appellant to proceedings under R.C. 2950 as the classification and notification requirements of that statute violate the ex-post facto clause of the United States Constitution and the retroactive clause prohibition of the Ohio Constitution when applied to Appellant.
II. The trial court erred when it allowed additional jury deliberations after the jury foreman indicated in open court that the jury was hung on counts one and two of the indictment and the court agreed and determined that there was no probability of a verdict on said counts in violation of Appellant's due process rights as guaranteed under the United States and Ohio Constitutions.
III. The trial court erred by denying Appellant's motion for acquittal pursuant to Criminal Rule 29 (A) when the State of Ohio failed to offer any proof that the alleged victim was an unmarried person which is an essential element of disseminating matter harmful to juveniles under R.C.
2907.01 (I) and2907.32 (A).
An offender is "adjudicated as being a sexual predator" if any of the following applies:
* * *
(2) Regardless of when the sexually oriented offense was committed, on or after the effective date of this section, the offender is sentenced for a sexually oriented offense, and the sentencing judge determines pursuant to division (B) of section
2950.09 of the Revised Code that the offender is a sexual predator.
A sexual predator is defined as "a person who has been convicted of or pleaded guilty to committing a sexually oriented offense and is likely to engage in the future in one or more sexually oriented offenses." R.C.
In addition to sexual predators, the Sexual Predator Act applies to sexually oriented offenders, habitual sexual offenders, and sexually violent predators who are classified as sexual predators. A habitual sexual offender is "a person who is convicted of or pleads guilty to a sexually oriented offense and who has previously been convicted or pleaded guilty to one or more sexually oriented offenses." R.C.
Under R.C.
Other sections of the Act do provide for public notification. Under R.C.
The notice to be given includes the offender's name, address, sexually oriented offense, and a statement that the individual has been adjudicated a sexual predator or a habitual sexual offender, whichever the case may be. R.C.
Concerning the adjudication of sexual predator status itself, R.C.
The constitutionality of Ohio's Sexual Predator Act is a matter of some debate among appellate courts in Ohio. For example, the Third District found in State v. Cook (Aug. 7, 1997), Allen App. No. 1-97-21, unreported, discretionary appeal allowed,
Our analysis begins with the issue of the scope of retroactivity under Article I, Section 28. Although some courts have used "ex post facto" and Section 28 retroactivity interchangeably, (see, e.g., Bartis, supra), we believe Section 28 of the Ohio Constitution is broader in scope than the federal Ex Post Facto Clause. The current version of Article I, Section 28 is derived from Article VIII of the 1802 Ohio Constitution, which was entitled "Bill of Rights." Section 16 of Article VIII stated that "[n]o ex post facto law, nor any law impairing the validity of contracts, shall ever be made." However, in the revised constitution adopted in 1851, the provision in the Bill of Rights was eliminated and the prohibition against ex post facto laws was changed to the current statement in Article I, Section 28, that "[t]he general assembly shall have no power to pass retroactive laws, or laws impairing the obligation of contracts." In VanFossen v. Babcock Wilcox (1988),
In Van Fossen, the Ohio Supreme Court said the legislature must first specify that a law is to be applied retroactively before courts can consider the constitutionality of the application. Once this threshold issue has been determined, courts can then evaluate whether the statute is substantive or remedial. If the statute is substantive, as that term has been defined, then it may not be applied retroactively.
Regarding the threshold inquiry, the retroactive intent of the legislature in enacting the Sexual Predator Act is obvious. For example, R.C.
Concerning the issue of whether the Sexual Predator Act is substantive or remedial, the test historically used is that a statute is labeled substantive when it:
impairs or takes away vested rights, * * * affects an accrued substantive right, * * * imposes new or additional burdens, duties, obligations or liabilities as to a past transaction, * * * creates a new right out of an act which gave no right and imposed no obligation when it occurred, * * * creates a new right out of an act which gave no right and imposed no obligation when it occurred, * * * gives rise to or takes away the right to sue or defend actions at law.
* * *
Remedial laws are those affecting only the remedy provided. * * * These include laws which merely substitute a new or more appropriate remedy for the enforcement of an existing right. * * * While we recognize the occasional substantive effect, it is yet generally true that laws which relate to procedures are ordinarily remedial in nature, * * * including rules of practice, courses of procedure and methods of review.
In the present case, Goode claims the new registration and notification provisions in the Sexual Predator Act are substantive because they impose new and additional burdens with regard to a past transaction. However, we disagree, based on the Ohio Supreme Court's discussion of this particular prong of the substantive rights test in Matz, supra. Specifically, the Matz Court said that "a later enactment will not burden or attach a new disability to a past transaction or consideration in the constitutional sense, unless the past transaction or consideration, if it did not create a vested right, created at least a reasonable expectation of finality." Id. at 281. Therefore, if Goode had either a vested right or a reasonable expectation of finality with regard to his criminal conviction, the registration and notification provisions in the Sexual Predator Act would impermissibly interfere with that right.
Unfortunately for Mr. Goode, the decision in Matz provides the answer to this question, via the Supreme Court's express observation that "past felonious conduct" is not a transaction that creates a reasonable expectation of finality. Id. at 282. Thus, the court noted that "felons have no reasonable right to expect that their conduct will never thereafter be made the subject of legislation." Id.
Regarding the particular factual context of Matz, the issue was whether a new disability attached to a past transaction when the legislature enacted R.C.
We must initially ascertain whether the legislature meant the statute to establish "civil" proceedings. If so, we ordinarily defer to the legislature's stated intent. * * *
Although we recognize that a "civil label is not always dispositive," * * * we will reject the legislature's manifest intent only where a party challenging the statute provides "the clearest proof" that "the statutory scheme [is] so punitive either in purpose or effect as to negate [the State's] intention to deem it "civil."
Courts have disagreed as to the appropriate standard for deciding if a particular matter is "punishment" for purposes of the Ex Post Facto Clause. Some courts have applied a list of seven factors outlined in Kennedy v. Mendoza-Martinez (1963),
Moreover, in Artway v. Attorney General of State of N.J. (3d Cir. 1996),
[w]e must look at actual purpose to see "whether the legislative aim was to punish." * * *
If the legislature's actual purpose does not appear to be to punish, we look next to its "objective" purpose. This prong, in turn, has three subparts. First, can the law be explained solely by a remedial purpose? * * * If not, it is "punishment." Second, even if some remedial purpose can fully explain the measure, does a historical analysis show that the measure has traditionally been regarded as punishment? * * * If so, and if the text or legislative history does not demonstrate that this measure is not punitive, it must be considered "punishment." Third, if the legislature did not intend a law to be retributive but did intend it to serve some measure of deterrent and salutary purposes, we must determine (1) whether historically the deterrent purpose of such a law is a necessary complement to its salutary operation and (2) whether the measure under consideration operates in its "usual" manner, consistent with its historically mixed purposes. * * *
Finally, if the purpose tests are satisfied, we must then turn to the effects of the measure. If the negative repercussions — regardless of how they are justified — are great enough, the measure must be considered punishment. * * * This inquiry, guided by the facts of decided cases, is necessarily one "of degree."
Id. at 1263 (citations omitted). In adopting this test, the Third Circuit placed heavy reliance on United States v. Halper (1989),
In Artway, the Third Circuit also rejected use of theMendoza-Martinez test, citing an apparent United States Supreme Court admonition that Mendoza-Martinez is "inapplicable outside the context of determining whether a proceeding is sufficiently criminal in nature to warrant criminal protections of the
[a]n initial inquiry is whether the legislative intent was regulatory or punitive: if the latter, that generally is the end of the inquiry, for punishment results; if the former, the inquiry changes to whether the impact, despite the legislative intent to regulate, is in fact, punitive, usually analyzed in terms of the accepted goals of punishment, retribution, and deterrence. Despite some ambivalent language, a punitive impact — one that effects retribution or accomplishes deterrence — renders the law or the specific provision of the law that is attacked, punishment, but only if the sole explanation for that impact is a punitive intent.
Comparison of the two standards reveals a conflict, in that under Artway, effects can render a measure punitive, regardless of justification, so long as the negative repercussions are punitive. On the other hand, under Doe v. Poritz, punitive impact makes a law punishment only if the sole explanation for the impact is punitive intent.
After Artway, the United States Supreme Court decidedHendricks and Ursery. Both of these cases applied the "clearest proof" standard that we mentioned above. See, Hendricks,
Accordingly, in Artway terms, if we determine that the actual legislative purpose was remedial, we must sustain Megan's Law against the current challenges unless its objective purpose or its effect are sufficiently punitive to overcome a presumption favoring the legislative judgment.
Unlike the Third Circuit, the Second Circuit Court of Appeals noted that although the United States Supreme Court had not precisely indicated the nature of the second prong inquiry into whether a measure is punitive in fact, the Supreme Court had approved the Mendoza-Martinez factors as helpful in analyzing the punitive nature of civil sanctions. See, Doe v. Pataki (2d Cir. 1997),
In our opinion, any conflict has been resolved by the recent United States Supreme Court decision in Hudson v. United States
(1997), 522 U.S. ___,
Hudson involved a double jeopardy challenge to criminal indictments based on conduct for which the defendants had already been fined and occupationally debarred. In rejecting the challenge, the Court applied the two-part test used in Hendricks
and Ursery. Notably, the Court specifically approved the use of the Mendoza-Martinez factors in evaluating the second prong of the test, i.e., to consider "whether the statutory scheme was so punitive either in purpose or effect," * * * as to " transfor[m] what was clearly intended as a civil remedy into a criminal penalty."
In view of Hudson's use of the Mendoza-Martinez factors outside the context of determining whether a proceeding is sufficiently criminal in nature to warrant criminal protections of the
(1) `whether the sanction involves an affirmative disability or restraint"; (2) "whether it has historically been regarded as a punishment"; (3) "whether it comes into play only on a finding of scienter"; (4) "whether its operation will promote the traditional aims of punishment — retribution and deterrence"; (5) "whether the behavior to which it applies is already a crime"; (6) "whether an alternative purpose to which it may rationally be connected is assignable for it"; and (7) "whether it appears excessive in relation to the alternative purpose assigned."
Hudson,
Regarding the first prong of the test, we note that the Ohio legislature's purpose in enacting the Sexual Predator Act was clearly remedial, not punitive. R.C.
Given the statute's remedial purpose, we then are required to consider the second prong of the test, including theMendoza-Martinez factors. As a preliminary matter, we note that registration has been almost uniformly upheld and we find no reason to deviate from that position, especially since the registration information under Ohio's statute is closed to the public, other than designated law enforcement personnel. See, Doev. Poritz,
Concerning whether the legislation promotes traditional goals of punishment, we note that the primary goal of registration is to aid law enforcement personnel. This aim does not implicate retribution. Furthermore, while registration may have some deterrent effect, that is not the main purpose of requiring sex offenders to register. The sixth Mendoza-Martinez factor is whether alternative purposes of the statute may be rationally assigned. In this context, alternative purposes are evident, in that the statute is designed to aid law enforcement and to promote public safety. Finally, registration is not excessive in view of these alternate purposes. Pickens, 558 N.W. 2D at 400. See also,Doe v. Pataki,
Regarding notification, we note that while public release of information carries the potential for negative effects, other courts have found that dissemination of information already available to the public is not sufficiently detrimental to turn an otherwise non-punitive measure into punishment. Roe,
A difference of opinion exists about the second factor, i.e., whether public notification would historically be considered punishment. Notification has been compared to the historical punishments of shaming and banishment. See, Artway,
Stigmatization penalties of an earlier era primarily served distinctly punitive goals and operated through significantly different mechanisms than community notification * * *. First, such penalties were traditionally employed in small, homogeneous, and tightly knit social environments in which the "invisible whip of public opinion" upon the psyche of the offender * * * was often considered sufficient to served the traditional goals of the criminal law * * *. For many "victimless" moral or religious crimes, no other sanction apart from public humiliation was imposed by colonial communities.
Id. at 1283. By comparison, the court emphasized that notification under New York's sexual offender law was not imposed in lieu of fine or punishment, but occurred only after punishment had been served, for the purpose of community protection. Additionally, unlike shaming, notification did not require the offender to participate physically in his own degradation. Id. At 1284. Finally, the court observed that the historical analogy to banishment failed because the state did not act to remove an offender from a community. Instead, if retaliatory acts occurred, those were private actions not intended by the act. Id. The same reasoning was used in Russell, which found the shaming analogy insufficient to overcome the Washington Community Protection Act's non-punitive intent. Russell,
We agree with the analysis in Doe v. Pataki and Russell, and conclude that notification is not akin historically to shaming or the wearing of a "Scarlet Letter," as the defendant in our own case has suggested. Therefore, a historical analysis does not support a finding that notification is punishment. Of particular weight in our mind is the fact that the Ohio statute itself does not impose any negative consequences. To the contrary, such consequences stem from actions of the public and are not intended by the Act. Of additional note is the lack of evidence in the record before us of any harsh consequences attributable to community notification. Compare, Verniero,
Factors three and five (scienter and whether the behavior to which notification is tied is already a crime),.do not weigh in favor of punishment, although the latter factor comes close to weighing in on the side of punishment. As was noted above, Ohio's Sexual Predator Act provides for classification of sexual offenders into three main groups: sexually oriented offenders, habitual sex offenders, and sexual predators. Only in the latter two categories does public notification apply, and even in those cases, dissemination of information about habitual sex offenders is discretionary, not mandatory. The classification of an individual as a sexual predator occurs only after a hearing, at which the offender is entitled to counsel and is allowed to present evidence, including expert testimony. R.C.
Unlike the New York statute in Doe v. Pataki, Ohio's Act provides for the sex offender hearing to be held before sentencing, at a time when the offender has not had a chance for treatment. In cases like the present, where the individual is a first-time sex offender and has not yet received treatment, the court has no effective means of assessing whether the offender is, in fact, amenable to treatment. Also unlike New York, Ohio does not provide for a panel of experts who rely on guidelines focused on the tendency of an offender to re-offend. Therefore, this factor points to a finding that the statute is punitive. However, the punitive aspect is lessened considerably because R.C.
The next factor is whether the statute promotes traditional goals of punishment. In this regard, we see no evidence of retribution. Instead, the legislature clearly intended notification as a protective measure. Further, although notification may potentially deter future sex crimes, "deterrence can serve both regulatory and punitive goals." Roe,
Finally, the last two Mendoza-Martinez factors relate to whether a purpose other than punishment can be rationally assigned to the legislation, and if so, whether the measure is excessive with regard to the alternative purpose. The alternative purposes have been previously discussed in detail, and the issue is thus whether Ohio's notification system is excessive in light of those goals. In this context, we believe certain aspects of the Act might have been more effectively designed. For example, in other jurisdictions, the notification statutes place more reliance on the expert opinion of sexual predator experts than on a judge's decision. See, Doe v. Pataki,
Although we have some reservation about how the law might be applied in particular cases, we do not find the provisions themselves excessive. The criteria to be used by the sentencing judge, for example, are quite similar to the factors used to gauge risk of re-offense in Doe v. Pataki,
Based on the contents of the Ohio statute, which limit dissemination and require findings to be supported by the heavy burden of "clear and convincing evidence, we conclude that the legislation is not excessive in relation to its goals.
After considering the Mendoza-Martinez factors as applied to Ohio's Sexual Predator Act, we find that they all weigh in favor of a non-punitive purpose and effect, with the exception that one factor is arguably punitive. However, we do not consider this factor sufficiently punitive to outweigh the other factors, particularly in light of the heavy burden that has been imposed by the United States Supreme Court. Accordingly, we conclude that the Sexual Predator Act is not punitive in fact. We also note that we would be hard-pressed to find a notification statute punitive when the Supreme Court has held in Hendricks that civil commitment of violent sexual predators is not punishment.
Based on the preceding discussion we find that Ohio's Sexual Predator Act does not violate the federal Ex Post Facto Clause. Given our conclusions on retroactivity and the ex post facto issue, the first assignment of error is without merit and is overruled.
After the jury returned to the jury room, a note was sent out to the trial judge indicating that the jury would like to look further at the facts. The jurors also said they had not been prepared to answer as a group when they were previously asked about reaching agreement. Upon receiving the note, the trial court decided to let the jury continue to deliberate. Ultimately, the jury returned guilty verdicts on all three charges.
After reviewing the record, we find nothing improper about the trial court's actions. "As a general proposition, the law certainly encourages jurors to agree rather than deadlock, and urging a jury to make every reasonable effort to reach a verdict is not improper." State v. Sabbah (1982),
Based on the preceding analysis, the third assignment of error is overruled.
Having overruled all three assignments of error, we affirm the judgment of the trial court.
YOUNG, P.J., concurs.
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