State of Indiana v. David Lott Hardy

7 N.E.3d 396, 2014 WL 1687807, 2014 Ind. App. LEXIS 186
CourtIndiana Court of Appeals
DecidedApril 29, 2014
Docket49A02-1309-CR-756
StatusPublished
Cited by4 cases

This text of 7 N.E.3d 396 (State of Indiana v. David Lott Hardy) is published on Counsel Stack Legal Research, covering Indiana Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State of Indiana v. David Lott Hardy, 7 N.E.3d 396, 2014 WL 1687807, 2014 Ind. App. LEXIS 186 (Ind. Ct. App. 2014).

Opinion

OPINION

PYLE, Judge.

STATEMENT OF THE CASE

The State of Indiana appeals the trial court’s dismissal of its charges against David Lott Hardy (“Hardy”) for four counts of Class D felony official misconduct. 1

We affirm.

ISSUE

Whether the trial court abused its discretion when it granted Hardy’s motion to dismiss.

FACTS 2

Hardy is the former Chairman of the Indiana Utility Regulatory Commission (“IURC”). During his time as Chairman, Hardy was involved in the approval process for a petition filed by Duke Energy Indiana (“Duke”) and Southern Indiana Gas and Electric Company, d/b/a Vectren Energy Delivery of Indiana (“Vectren”), to build an integrated gasification combined cycle generating facility (“IGCC Project”) in Edwardsport, Indiana. In their petition, Duke and Vectren also asked the IURC to approve ratemaking changes so that they could recover the project’s construction, operation, and maintenance costs.

On December 9, 2011, the Marion County grand jury indicted Hardy on three charges of Class D felony official misconduct for matters relating to his performance on the IGCC Project. Four days later, the State moved to amend the indictment to add a fourth charge of Class D felony official misconduct. The trial court granted the motion on January 23, 2012. The four charges were based on ethical and administrative, but not criminal, violations that Hardy allegedly committed between 2008 and 2010.

During that time frame, the official misconduct statute provided that a public *398 servant commits official misconduct if that person “knowingly or intentionally performs an act that the public servant is forbidden by law to perform.” I.C. § 35-44-1-2 (2010) (emphasis added). However, on July 1, 2011, after Hardy’s indictment, the Indiana Legislature amended the statute to provide that a person commits official misconduct if that person “knowingly or intentionally ... commits an offense” in the performance of his or her official duties. I.C. § 35-44.1-1-1 (emphasis added). The Indiana Code defines “offense” as “a crime.” I.C. § 35-41-1-19.

On April 4, 2012, Hardy filed a motion to dismiss the indictment. He cited several pre-2011 court cases that he argued interpreted the official misconduct statute as requiring an underlying offense to be criminal in nature. He then pointed to the discrepancy between these narrow court interpretations and the broad language of the prior official misconduct statute as evidence that the legislature’s 2011 amendment was a remedial amendment meant to conform the statutory language to court precedent. Based on this interpretation, he argued that the amended version of the statute should apply retroactively to him and that the trial court should dismiss his charges because they were not founded on criminal offenses.

Hardy also raised two constitutional arguments: (1) that the State’s application of the official misconduct statute rendered it unconstitutionally vague and a nullity; and (2) that Counts II-IV were based on an unconstitutional delegation of legislative authority. Finally, Hardy argued that Counts II-IV failed to state his offenses with sufficient certainty.

The trial court held a hearing on the motion on June 11, 2012. On June 25, 2012, it found that Counts II-IV of the indictment failed to state a claim with sufficient certainty, but it allowed the State to file an amended indictment to cure the defect. The second amended indictment, which the State filed on July 9, 2012, detailed Hardy’s four charges of Class D felony official misconduct as follows:

COUNT I: OFFICIAL MISCONDUCT
On or about and between April 2010 and August 3, 2010, DAVID LOTT HARDY, Chairman of the Indiana Utility Regulatory Commission and supervisor of Scott Storms, did knowingly aid and abet Scott Storms by communicating with employees of Duke Energy regarding Scott Storms’ prospective employment while allowing Scott Storms to perform an act that Scott Storms was forbidden by law to perform, that is: Scott Storms, an administrative law judge with the Indiana Utility Regulatory Commission, had a conflict of economic interest (I.C. [§] 4 — 2—6—9), in that he knowingly participated in decisions and/or votes when Scott Storms had a financial interest in the outcome of the matter arising from prospective employment as counsel for Duke Energy;
COUNT II: OFFICIAL MISCONDUCT
On or about and between March 17, 2008, and October 5, 2010, DAVID LOTT HARDY, a public servant, to wit: the Chairman of the Indiana Utility Regulatory Commission, did knowingly perform an act that DAVID LOTT HARDY was forbidden by law to perform, that is: DAVID LOTT HARDY received a communication in violation of I.C. [§] 8-1-1-5(e), to wit: communications from Jim Turner and/or Jim Stanley on or about March 17, 2008, regarding revised cost estimates of the Edwardsport IGCC Project, and failed to disclose such communication in the manner required by 170 IAC 1-1.5-6, to wit: by failing to tender to the *399 record of the proceeding a memorandum stating the substance of the oral communications received, all oral responses made and the identity of each person from whom the communication was received and advise all parties that such items had been tendered to the record;
COUNT III: OFFICIAL MISCONDUCT
On or about and between February 24, 2010, and October 5, 2010, DAVID LOTT HARDY, a public servant, to wit: the Chairman of the Indiana Utility Regulatory Commission, did knowingly perform an act that DAVID LOTT HARDY was forbidden by law to perform: that is: DAVID LOTT HARDY received a communication in violation of I.C. [§] 8-1-1-5(e), to wit: communications from James Rogers, Jim Turner, and/or Jim Stanley on or about February 24, 2010, regarding revised cost estimates of the Edwardsport IGCC Project and/or contemplated mitigation procedures to minimize the impact of increased cost estimates upon energy consumers, and failed to disclose such communication in the manner required by 170 IAC 1-1.5-6, to wit: by failing to tender to the record of the proceeding a memorandum stating the substance of the oral communication received, all oral responses made and the identity of each person from whom the communication was received and advise all parties that such items had been tendered to the record;
COUNT IV: OFFICIAL MISCONDUCT
On or about and between August 19, 2010, and October 5, 2010, DAVID LOTT HARDY, a public servant, to wit: the Chairman of the Indiana Utility Regulatory Commission, did knowingly perform an act that DAVID LOTT HARDY was forbidden by law to perform, that is: DAVID LOTT HARDY received a communication in violation of I.C.

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Cite This Page — Counsel Stack

Bluebook (online)
7 N.E.3d 396, 2014 WL 1687807, 2014 Ind. App. LEXIS 186, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-of-indiana-v-david-lott-hardy-indctapp-2014.