Curtis v. State

118 S.E.2d 264, 102 Ga. App. 790, 1960 Ga. App. LEXIS 752
CourtCourt of Appeals of Georgia
DecidedDecember 5, 1960
Docket38382
StatusPublished
Cited by52 cases

This text of 118 S.E.2d 264 (Curtis 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
Curtis v. State, 118 S.E.2d 264, 102 Ga. App. 790, 1960 Ga. App. LEXIS 752 (Ga. Ct. App. 1960).

Opinion

*792 Townsend, Presiding Judge.

After the State and the defendants announced ready, issue had been joined and a jury stricken, the defendants made an oral motion to quash the indictment. “Where an indictment is not on its face so defective that a motion in arrest of judgment would lie, an objection to it must be in writing [citation]. An oral objection, being ineffective for its purpose, is the equivalent of none at all, and, if no other action be taken, a waiver results.” Sheppard v. State, 95 Ga. App. 507, 508 (3) (98 S. E. 2d 169). To the same effect see Gilmore v. State, 118 Ga. 299 (1) (45 S. E. 226). Consequently, the question presented by the motion is whether any count of the indictment is so defective that a motion in arrest of judgment would lie.

The former appearance of this case in this court (Curtis v. State, 99 Ga. App. 732, 109 S. E. 2d 868) adjudicated that the intent to defraud is the gist of an offense under that portion of Code Ann. § 97-112, which prohibits the use of a device, scheme or artifice to defraud. As the court stated at page 736: “Code Ann. § 97-112 on the other hand makes it unlawful, and by definition a fraudulent practice, to employ any scheme or device to defraud. The one is retrospective in nature, the other prospective. A scheme to defraud is such a scheme as is initiated by the perpetrator with an intent to defraud another and cause him to suffer a pecuniary loss, but the intent, not the loss, is the subject matter of the crime.” As to the counts of the indictment drawn under that portion of the statute, each sufficiently charges a complete crime.

Also Code Ann. § 97-112, as amended (Ga. L. 1957, pp. 134, 159), provides that it shall be a misdemeanor “for any person to make to any prospective purchaser, customer or client any representation that the filing of a registration statement or the registration of any security under section 97-104, or the existence of an exemption for any security or transaction, means that the Commissioner has passed in any way upon the merits of such security or has recommended or given approval to such security or transaction.” It is clear from the statute that two types of crimes are prohibited: (1) the making of an intentional representation that by the filing of a registration statement, *793 the Commissioner of Securities has passed upon the merits of the security, and (2) the use of a device, scheme or artifice to defraud, or the commission of any act, practice or course of business which would operate as a fraud on the purchaser. In the former instance the making of the representation completes the criminal act, whereas in the latter instance an intent to defraud must be shown. Some of the counts of the indictment are drawn under that provision of the statute prohibiting representations that the Commissioner of Securities has passed upon the merits of such stock, while the other counts are drawn under the provision of the statute which requires an intent to defraud. Therefore, all counts of the indictment are sufficient to show a violation of one, or the other, of these provisions of Code Ann. § 97-112. There is no error shown in the court’s overruling the motion to quash the indictment.

As to the defendant W. A. Byrd, there is insufficient evidence in the record to authorize a conviction. The only reference to this defendant in the record is where he instructed the corporation’s salesmen to conform their activities to those allowed by the “Securities Act.” There is no evidence that Byrd conspired to make or made any fraudulent statements to any prospective customers. Any further reference to the defendants excludes the defendant W. A. Byrd.

The law in Georgia is firmly established that “in misdemeanors all are principals.” Parmer v. State, 91 Ga. 152 (16 S. E. 937). One may be convicted as a principal, therefore, even though in another county (Rawlins v. State, 70 Ga. App. 308, 28 S. E. 2d 350), or even in another state, when a conspiracy is shown to exist and during the pendency thereof an overt act is perpetrated by one of the co-conspirators pursuant to the conspiracy. The evidence discloses that the salesmen were instructed by the defendants to make certain representations which were ultimately shown to be false for the purpose of securing purchasers of stock in the corporation. “Where one phase of the evidence would authorize the jury to find that two or more principals conspired to commit a crime and that, pursuant to this conspiracy, overt acts constituting the crime were committed by at least one of such principals, the other aiding and *794 abetting therein, it is proper for the trial court to charge the jury on the law of conspiracy.” Garner v. State, 83 Ga. App. 178 (2) (63 S. E. 2d 225). “It it well settled that a criminal conspiracy may be shown by either direct or circumstantial evidence, and that, if there is any evidence showing or tending to show such a conspiracy, a charge upon that subject is not error.” Banks v. State, 74 Ga. App. 449, 453 (40 S. E. 2d 103). See Walls v. State, 83 Ga. App. 318 (63 S. E. 2d 437). Applying the above principles of law, the charge was correct and applicable to the issues of the case because the evidence authorized a finding that an unlawful scheme was entered into by and between the defendants and was perpetrated to defraud the investors. The charge was not erroneous for any of the reasons stated in the amended motion for a new trial.

Special grounds 4 and 5 of the motion assign as error the charge of the trial court on the subject of intent. The defendants complain of the trial judge’s charge that “if the intent to defraud was conceived after the sale of the stock, then you [the jury] would not be authorized to convict the defendants or either of them, who did not have the intent until after the sale of the stock,” is in conflict with a later charge relative to intent, to wit: “In determining whether or not the defendants or either of the defendants had any intention to commit any wrong as charged in the bill of indictment, at the time it was alleged to have been committed, then, you may look to all the facts and circumstances of the case. I charge you, you may take into consideration the amount of money that the evidence shows, if it does show, was taken in, [and] the disposition of the money, if the evidence reveals. You look to the evidence to determine that. You look to the evidence of loans to officers, if any were made to the officers, or to the agents of the concern. You may consider all of that. All of these things may be considered by you in determining the intention.” Intent, being a mental condition, is an exceedingly difficult thing to prove, as well as to define. Judge Pottle lucidly described the subject in a civil case in the court’s opinion in Gaynor v. Travelers Ins. Co., 12 Ga. App. 601, 605 (77 S. E. 1072): “It is rarely ever possible to prove an intent by direct evidence. Intent is something which exists *795 in the human mind and can be manifested only by external acts from which an inference of intent will arise.” It is inherently difficult to express what external acts will reflect a particular person’s intent at a given time.

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Bluebook (online)
118 S.E.2d 264, 102 Ga. App. 790, 1960 Ga. App. LEXIS 752, Counsel Stack Legal Research, https://law.counselstack.com/opinion/curtis-v-state-gactapp-1960.