Clarke v. State

526 S.E.2d 395, 241 Ga. App. 186, 2000 Fulton County D. Rep. 159, 1999 Ga. App. LEXIS 1583
CourtCourt of Appeals of Georgia
DecidedDecember 1, 1999
DocketA99A1398
StatusPublished
Cited by6 cases

This text of 526 S.E.2d 395 (Clarke v. State) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Clarke v. State, 526 S.E.2d 395, 241 Ga. App. 186, 2000 Fulton County D. Rep. 159, 1999 Ga. App. LEXIS 1583 (Ga. Ct. App. 1999).

Opinion

Phipps, Judge.

Efuru Clarke was convicted of two counts of theft by taking while engaged in telemarketing. On appeal, Clarke claims the trial court erred in numerous evidentiary rulings on matters such as other crimes evidence. Clarke also challenges the trial court’s denial of her motion for mistrial and asserts that the trial court erred in failing to instruct the jury on the definition of telemarketing. We find no reversible error but remand for a hearing on the admissibility of the other crimes evidence.

On separate occasions in November 1996, representatives of Universal Customs Direct (UCD) contacted two elderly women, Jane Schmeig and Evelyn McGinn. Schmeig and McGinn were told that they had won large prizes but that they first had to send in fees to collect the money. Schmeig sent $1,500, and McGinn sent $3,000. *187 Neither received anything in return.

Appellant Clarke was the owner of UCD, a telemarketing company operated from her apartment. Other persons, namely Henry Key and Ernest Curry, made the calls, and Clarke handled the finances. Money sent in by persons contacted was sent to a mailbox rented by Clarke. Clarke collected the money, paid the callers, sometimes sent small gifts to the persons who sent money and kept the remainder.

1. Clarke asserts on numerous grounds that vast portions of the evidence admitted should have been excluded. Clarke references only four instances, however, where objections were posed at trial. Generally, we are limited to reviewing only objections and grounds raised at trial. 1 The only applicable exception is where the trial court fails to conduct a hearing on other crimes evidence pursuant to Uniform Superior Court Rule 31.3 (B). 2 We will review the court’s rulings on Clarke’s four noted trial objections and the court’s failure to conduct the Rule 31.3 (B) hearing.

(a) The first claim of evidentiary error asserted by Clarke concerns the testimony of Schmeig. Although Clarke was indicted only for her actions as owner of UCD, the State elicited testimony from Schmeig that another telemarketing company called Universal Advantage (UA) had defrauded her of $1,000. Clarke’s attorney objected on the ground that the testimony concerned an unindicted crime. The State responded that UA and UCD were essentially the same company operated under different names and perpetrating a pattern of criminal activity. The court admitted the testimony “to show any kind of practice or custom” but stated, “[T]he jury must remain clear that the only thing that Ms. Clarke is charged with is what is actually alleged in the . . . indictment.”

Before any evidence of independent offenses or acts may be admitted into evidence, the trial court must conduct a hearing pursuant to USCR 31.3 (B). At that hearing, the State must make the following three affirmative showings as to each independent offense or act it seeks to introduce: (1) “that the state seeks to introduce evidence of the independent offense or act, not to raise an improper inference as to the accused’s character, but for some appropriate purpose which has been deemed to be an exception to the general rule of inadmissibility’; (2) “that there is sufficient evidence to establish that the accused committed the independent offense or act”; and (3) “that there is a sufficient connection or similarity between the inde *188 pendent offense or act and the Crime charged so that proof of the former tends to prove the latter.” 3

After the [Rule] 31.3 (B) hearing, and before any evidence concerning a particular independent offense or act may be introduced, the trial court must make a determination that each of these three showings has been satisfactorily made by the state as to that particular independent offense or act. [Cit.] 4

Moreover, after the State has made the necessary showings at the Rule 31.3 (B) hearing, the trial court retains the sound legal discretion to exclude relevant similar crimes evidence on the ground that its probative value is substantially outweighed by the danger of unfair prejudice. 5

As to Schmeig’s testimony, the first prong for admission of similar transaction evidence was met. The court’s basis for admitting Schmeig’s testimony — to show “pattern or custom” — constituted a legitimate purpose under the circumstances of this case. 6 .

It was not alleged here that Clarke personally participated in UA’s perpetration of telemarketing fraud on Schmeig, but the evidence did show that Clarke was one of a small group of persons who formed and operated a progression of telemarketing companies from UA to UCD. The evidence further showed that each company targeted the elderly for fraudulent prize schemes, that one company would close and transform into another to avoid police detection, and that the names of victims or persons thought to be easy prey were recorded on “mooch lists” that were carried on to the succeeding companies so they could be re-targeted. Schmeig was defrauded by both UA and UCD.

For two reasons, this case must be remanded to the trial court for a Rule 31.3 (B) hearing, however. First, the court did not make the two remaining findings critical to the admission of Schmeig’s other crimes evidence and did not consider whether the probative value of the testimony outweighed its possible prejudicial effect. Second, additional other crimes evidence was presented without appropriate findings being made. McGinn testified to being preyed upon by certain companies other than UCD; Sergeant Kessler of the DeKalb County Police testified almost exclusively about the criminal activity *189 of UA, the companies that developed from it, and the persons involved; Henry Key and Earnest Curry testified in person about the criminal operations of these companies; and recorded testimony of Kashma Porter, another person involved, also dealt with the criminal operations of the other companies.

The trial court’s failure to conduct a Rule 31.3 (B) hearing is harmless error if the evidence “did not measurably contribute to the jury’s guilty verdict.” 7 Clarke’s defense was that she did not know her telemarketers were perpetrating fraud. The State’s chief means of negating Clarke’s state of mind defense was the other crimes evidence. A large portion of the State’s case was aimed at showing that the telemarketing fraud was the exclusive purpose of the companies Clarke worked with and that the activity was so pervasive Clarke must have been a knowing participant in the frauds for which she was indicted. We cannot say the other crimes evidence did not measurably contribute to the jury’s verdict.

(b) The second claim of evidentiary error relates to an objection posed by Clarke’s counsel after Sergeant Kessler testified that telemarketing fraud involves stealing the pride and self-esteem of the victims in addition to stealing their money.

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Cite This Page — Counsel Stack

Bluebook (online)
526 S.E.2d 395, 241 Ga. App. 186, 2000 Fulton County D. Rep. 159, 1999 Ga. App. LEXIS 1583, Counsel Stack Legal Research, https://law.counselstack.com/opinion/clarke-v-state-gactapp-1999.