State v. Higgins

762 P.2d 904, 107 N.M. 617
CourtNew Mexico Court of Appeals
DecidedAugust 16, 1988
Docket9992
StatusPublished
Cited by19 cases

This text of 762 P.2d 904 (State v. Higgins) is published on Counsel Stack Legal Research, covering New Mexico 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 v. Higgins, 762 P.2d 904, 107 N.M. 617 (N.M. Ct. App. 1988).

Opinion

OPINION

MINZNER, Judge.

Defendant appeals from his convictions on three counts of fraud over $2,500, three counts of fraud over $100, one count of attempt to commit fraud over $20,000, and one count of forgery. The events on which the counts were based occurred in late 1985 and early 1986. We discuss (1) the sufficiency of the evidence as to counts I and II; (2) whether defendant should have been prosecuted under the Worthless Check Act (the Act), see NMSA 1978, Sections 30-36-1 to -9 (Repl.Pamp.1987), rather than the general fraud statute, see 1979 N.M.Laws ch. 119, Section 1 (codified as NMSA 1978, Section 30-16-6 (Repl.Pamp.1984); amended by 1987 N.M.Laws ch. 121, Section 2); (3) the sufficiency of the evidence as to counts III and IV; (4) whether defendant was denied due process and a fair trial because the trial court permitted testimony concerning other misrepresentations by defendant; (5) whether defendant was deprived of due process and a fair trial because the trial court denied his motion for a mistrial; and (6) whether the evidence was sufficient to sustain a conviction as to counts V and VI. For the reasons discussed below, we affirm in part and reverse in part. (1)Sufficiency of the Evidence to Support a Conviction on Counts I and II.

Defendant argues his convictions for fraud on counts I and II are not supported by substantial evidence as to certain elements of the crime. In counts I and II, he was charged with defrauding two local financial institutions, contrary to Section 30-16-6, as it read prior to amendment.

In each case, defendant had opened an account, depositing a check he knew was not backed by sufficient funds. Although he was given starter checks to use until he printed checks, he was told he could not write checks .or withdraw funds from the accounts for a definite number of days. Nevertheless, defendant wrote a number of checks, some of which were accepted by local businesses in exchange for merchandise. Both financial institutions became suspicious of defendant on the same day the accounts were opened, made some inquiries about the checks that had been deposited, determined they were not backed by sufficient funds' or credit, and closed the accounts the same day they had been opened. Neither of the financial institutions involved advanced any funds to defendant or anyone else on the strength of the accounts, nor did they sustain any pecuniary losses as a result of defendant’s activities. The jury was instructed that in order to convict defendant of fraud it must find, among other things, that defendant obtained property from the financial institution in the form of a false balance, that the false balance belonged to someone other than the defendant, and that the false balance had a market value of over $2,500 in the case of count I and over $100 in the case of count II. See SCRA 1986, 14-1640.

The record indicates that the term “false balance” describes the fact that defendant, for a brief period of time, was credited with a bank balance and the check on which the balance was based was not backéd by sufficient funds. Assuming without deciding that the “false balance” is property within the meaning of Section 30-16-6, there is no evidence that it belonged to anyone else. It did not belong to the financial institutions where defendant opened the accounts, because it did not represent funds in those institutions but rather funds in another institution. It did not belong to the institution on which the check was drawn, because it does not represent funds actually on deposit in that institution.

In order to convict defendant of fraud, the state was required to prove the “false balance” belonged to someone else. It failed to do so. In addition, the state failed to prove that the property had the required markét value.

The value of property obtained through fraud is its value at the time and place of the alleged offense. See Tunnell v. State, 99 N.M. 446, 659 P.2d 898 (1983). There is no evidence in the record that the “false balances” had the values on which the jury was instructed.

The state argues that defendant received something of value from the bank, because he was given starter checks. This argument must be rejected. The instructions given provide the relevant law as to this issue. See State v. Martin, 90 N.M. 524, 565 P.2d 1041 (Ct.App.1977). The jury was not instructed as to the starter checks. Moreover, there is no evidence in the record to show these checks had the market values on which the jury was instructed.

The essence of fraud is a taking or misappropriation, and the crime is complete when that occurs. If a defendant obtains something of value by fraudulent misrepresentations, the fact it is later repaid does not bar prosecution. State v. McCall, 101 N.M. 32, 677 P.2d 1068 (1984). In the instant case, however, there was no testimony establishing the “false balance” ever had any value. Proof of value is critical in a fraud prosecution. See State v. Ross, 104 N.M. 23, 715 P.2d 471 (Ct.App.1986). The state’s reliance on McCall is misplaced.

(2) Defendant Was Properly Tried Under the General Fraud Statute.

Defendant contends he should have been prosecuted under the Act rather than the general fraud statute. We discuss this argument only as to counts III and IV, which involve checks written by defendant on his accounts, and not as to counts V, VI, and VII, which involve checks defendant convinced a companion to write on her account. See State v. Libero, 91 N.M. 780, 581 P.2d 873 (Ct.App.1978). Count III charged defendant with misappropriating hotel accommodations, the fair market value of which was $410 (fraud over $100); count IV charged defendant with misappropriating a cellular telephone, the fair market value of which was $2,538.12 (fraud over $2,500).

The record indicates that counsel for the state and for defendant argued at trial that a violation of the Act was a lesser included offense of the fraud statute. The jury was so instructed. Under these circumstances, we are not convinced that error was preserved. Cf. State v. Padilla, 104 N.M. 446, 722 P.2d 697 (Ct.App.1986) (defendant who requested instruction on lesser included offense waived his fundamental right to have evidence support verdict). Although defendant has characterized the issue as jurisdictional, no authority has been cited for that proposition. Nevertheless, for purposes of this appeal, we reach the merits of the issue. Cf. In re Adoption of Doe, 100 N.M. 764, 676 P.2d 1329 (1984) (issue not supported by cited authority will not be reviewed on appeal).

When a general statute and a specific statute both cover a particular subject matter, the specific statute is considered to have been enacted as an exception to the general statute, and, in a criminal case, defendant must be tried under the more specific statute. State v. Blevins, 40 N.M. 367, 60 P.2d 208 (1936).

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Bluebook (online)
762 P.2d 904, 107 N.M. 617, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-v-higgins-nmctapp-1988.