Harper v. State

738 S.E.2d 584, 292 Ga. 557, 2013 Fulton County D. Rep. 299, 2013 WL 593494, 2013 Ga. LEXIS 145
CourtSupreme Court of Georgia
DecidedFebruary 18, 2013
DocketS12A1508
StatusPublished
Cited by23 cases

This text of 738 S.E.2d 584 (Harper v. State) is published on Counsel Stack Legal Research, covering Supreme Court of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Harper v. State, 738 S.E.2d 584, 292 Ga. 557, 2013 Fulton County D. Rep. 299, 2013 WL 593494, 2013 Ga. LEXIS 145 (Ga. 2013).

Opinions

HINES, Justice.

James R. Harper III, Jerry W. Chapman, and Jeffery L. Pombert bring this appeal from the trial court’s orders denying their various motions challenging charges of theft and violation of the Georgia Racketeer Influenced and Corrupt Organizations (‘RICO”) Act, see OCGA § 16-14-1 etseq. Thecharges forwhich they have been indicted relate to property of Glock, Inc., and various entities associated with it, and the defendants raise issues regarding the relevant statutes of limitation. For the reasons that follow, we affirm in part, reverse in part, and remand the case to the trial court with direction.

On January 22, 2010, Harper, Chapman, and Pombert were jointly indicted and charged with violating the RICO Act through a pattern of “setting up entities and bank accounts and transferring Glock1 assets and funds through and among various of these entities and accounts, [thereby] diverting] and attempting] to divert Glock funds to their own use and control.” There were ten other charges in the indictment; one count of attempted theft, two counts of theft that named all three men, and seven counts of theft naming only Harper and Chapman. According to the indictment, Harper, an attorney, was hired in 2000 by the Georgia corporations of Glock, Inc. and Consult-invest, Inc., as well as Mr. Gaston Glock, to, among other things, investigate allegations of possible wrongdoing by one or more persons previously associated with these corporations, and Harper hired Chapman and Pombert to assist him (collectively, “the defendants”). In the course of their work for the Glock entities, it is alleged, the defendants conspired to take more than $3,000,000 of funds belonging to one or more of the various Glock entities, as well as from other corporations and entities associated with the Glock enterprises, and engaged in acts in furtherance of that conspiracy.

The defendants2 filed a general demurrer, special demurrer, plea in bar, and motion to dismiss, asserting various reasons why the [558]*558indictment and prosecution were infirm, primarily that the relevant statutes of limitation had expired. The trial court denied the requested relief, and the defendants sought an interlocutory appeal in this Court, which was granted.

Crucial to analyzing the issues in this case is an understanding of the various statutes of limitation in question. Generally, prosecutions for RICO violations must begin within five years of the termination of any violation, OCGA § 16-14-8,3 and prosecution for charges specified in Counts 2 through 11 of the indictment must be commenced within four years of the commission of those crimes. OCGA § 17-3-1 (c).4 Those periods of time, however, are tolled if the “person [559]*559committing the crime is unknown or the crime is unknown[.]” OCGA § 17-3-2 (2).5 “The knowledge component of th[e] exception [found in OCGA § 17-3-2 (2)] has been construed as requiring the State to have actual knowledge of the identity of the alleged perpetrator of the crime. [Cit.]” Higgenbottom v. State, 290 Ga. 198, 204 (3) (719 SE2d 482) (2011). However, the actual knowledge of a crime victim about the crime is imputed to the State for purposes of applying the tolling provision of OCGA § 17-3-2 (2). Royal v. State, 314 Ga. App. 20, 22-23 (723 SE2d 118) (2012). See also Womack v. State, 260 Ga. 21, 22 (3) (389 SE2d 240) (1990).

In addition, limitation periods for prosecutions are tolled under OCGA § 17-3-2.26 “if the victim is a person who is 65 years of age or older, . . . until the violation is reported to or discovered by a law enforcement agency, prosecuting attorney, or other governmental agency . . . .” Each count of the indictment asserted that OCGA § 17-3-2.2 applied because one of the alleged victims, Mr. Glock, was over the age of 65 at the time each alleged offense occurred. Each count also asserted that the “accused defendants and crime were unknown to the State, as contemplated by [OCGA] § 17-3-2 (2) until” some date that varied between June 8, 2007 and the month of December 2009, depending upon the count.

The indictment was returned on January 22, 2010. The RICO count alleged that acts of racketeering activity occurred through February 17, 2009, within five years of the return of the indictment. [560]*560See OCGA § 16-14-8. The counts of theft and attempted theft were alleged to have occurred on various dates between November 6,2001, and April 11,2003, all of which were more than four years prior to the return of the indictment. See OCGA § 17-3-1 (c). Accordingly, the State’s essential argument is that, as Mr. Glock was a victim over the age of 65, by operation of OCGA § 17-3-2.2, the statute of limitation applicable to theft and attempted theft charges did not begin to run until the offense was reported to law enforcement personnel, which dates were within four years of the return of the indictment.

1. The defendants contend that OCGA § 17-3-2.2 violates the Equal Protection Clauses of both the Federal and State Constitutions by treating them differently from similarly situated defendants on an arbitrary basis, exposing them to prosecution for a longer period of time based solely on the age of the alleged victim. When defendants raise challenges based upon the Equal Protection Clauses of both the State and Federal Constitutions, “because the protection provided in the Equal Protection Clause of the United States Constitution is coextensive with that provided in Art. I, Sec. I, Par. II of the Georgia Constitution of 1983, we apply them as one.” Fair v. State, 288 Ga. 244, 246 (1) (A) (702 SE2d 420) (2010) (Citation and punctuation omitted).

In deciding an equal protection challenge, the level of scrutiny applied by the court depends on the nature of the distinction drawn by the legislation at issue. If neither a suspect class nor a fundamental right is implicated, the most lenient level of judicial review - “rational basis” - applies. See Ambles v. State, 259 Ga. 406, 407 (383 SE2d 555) (1989). Rational basis review involves a two-prong evaluation of the challenged statute. “Initially, the claimant must establish that he is similarly situated to members of the class who are treated differently from him.

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Bluebook (online)
738 S.E.2d 584, 292 Ga. 557, 2013 Fulton County D. Rep. 299, 2013 WL 593494, 2013 Ga. LEXIS 145, Counsel Stack Legal Research, https://law.counselstack.com/opinion/harper-v-state-ga-2013.