State v. Ross

2003 WI App 27, 659 N.W.2d 122, 260 Wis. 2d 291, 2003 Wisc. App. LEXIS 52
CourtCourt of Appeals of Wisconsin
DecidedJanuary 22, 2003
Docket02-0121-CR
StatusPublished
Cited by18 cases

This text of 2003 WI App 27 (State v. Ross) is published on Counsel Stack Legal Research, covering Court of Appeals of Wisconsin primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State v. Ross, 2003 WI App 27, 659 N.W.2d 122, 260 Wis. 2d 291, 2003 Wisc. App. LEXIS 52 (Wis. Ct. App. 2003).

Opinion

WEDEMEYER, P.J.

¶ 1. Bernell L. Ross, Sr. appeals from a judgment of conviction after a jury found him guilty of violating Wisconsin's Organized Crime Control Act (WOCCA), making a fraudulent offer and sale of securities, selling unregistered securities, making misleading filings in regard to securities, and violating the May 2, 1997 securities law order by offering and selling securities after that date, all as party to a crime, contrary to Wis. Stat. §§ 946.82-83, 551.41(2), 551.21(1), 551.54, 551.58(1) and 939.05 (1997-98). 1 He also challenges the trial court's restitution award.

¶ 2. Ross contends that he is entitled to a new trial because the trial court erred when it: (1) failed to accept a Batson 2 challenge to the State's exercise of its peremptory strikes; (2) declined to give the jury an instruction relative to his "advice of counsel" theory of defense; (3) erroneously exercised its discretion with respect to three evidentiary rulings; and (4) denied a motion for a mistrial after it chastised him for his courtroom deportment. He also claims the trial court erred when it ordered him to pay restitution of no more that $587,100 to the victims of his crimes. For the reasons stated hereafter, we affirm the judgment of conviction, the restitution order, and the trial court's rulings in every respect.

*301 BACKGROUND

• ¶ 3. Ross had a dream, a dream of some magnitude. Unfortunately, it died aborning and, in the aftermath, hundreds of investors lost thousands of dollars. In 1994, Ross conceived of a way for African-American entrepreneurs to gain entry into the telecommunications world. After discussing the concept with many of his acquaintances, Ross, together with three Milwaukee resident-associates, Ura Dozier, Michael Ewing, and Kenneth Mosely, agreed to form a business enterprise called Intra Kommunity Kommunications of Wisconsin (IKKW). It was intended to be incorporated with each person owning 25% of the stock. Articles of Incorporation, however, were never filed with the State of Wisconsin. In March 1996, after the enactment of the Federal Communications Act of 1996, IKKW applied to the Wisconsin Public Service Commission (PSC) for certification as an alternate telecommunication utility. The PSC granted the certification to IKKW in July 1996. It authorized IKKW to offer local exchange telephone service in competition with Ameritech and obligated Ameritech to sell services to IKKW on a wholesale basis, which IKKW could then resell to its customers.

¶ 4. Meanwhile, in March 1996, Ross, who was then living in Baltimore, Maryland, incorporated a company there called Kommunity Kommunications of America, Inc. The other three investors from Wisconsin were not involved in the Maryland corporation. In July 1996, he changed the name of this corporation to Intra Community Communications, Inc. (ICCI).

¶ 5. On March 28, 1997, Ross incorporated a company called Intra Community Communications of Wisconsin, Inc. (ICCW) in Wisconsin. The initial directors of the company were Ross and Karl Nichols. On *302 March 20, 1997, Ross requested that the PSC transfer the IKKW certification to ICCW This request was without the knowledge of the other three partners of IKKW In his application for transfer of certification, Ross represented to the PSC that "the name 'Intra Kommunity Kommunications of Wisconsin, Inc.' ('IKK') has been changed to 'Intra Community Communications of Wisconsin, Inc.' ('ICC')... ICC is the identical corporation to IKK having identical officers and Board of Directors ... ." 3 This representation was not true. ICCW had not been incorporated when the application for transfer was made. The three other original partners of IKKW still believed they had an equal ownership share in ICCW. The PSC granted the transfer of certification to ICCW. 4

¶ 6. Under Ross's business plan, the Maryland corporation, ICCI, would be the parent corporation for a number of separate "ICC" corporations to be established in different states to provide telephone service in those states, thereby creating a large telecommunications network.

¶ 7. During February 1997, Ross commenced soliciting investments in ICCI from Wisconsin residents at the price of $1 per share. On two separate occasions, when Ross was soliciting stock purchases, he was advised by Fred Reed, a securities examiner investigator for the Wisconsin Department of Financial Institutions (DFI), to be sure the securities were registered before they were sold. Ross advised Reed that the *303 securities had been registered under the name of IKK. This proved not to. be true. Reed called Ross at his corporate office in Baltimore to inform him that no registration existed. Ross insisted that the securities were registered. Reed then sent the appropriate forms to Ross's attorney, Nathan Gundy III, for registration of the securities. Reed informed Gundy that ICCI could not sell securities in Wisconsin unless they were registered or otherwise exempt from registration. Reed further informed him that it did not appear that the securities would be exempt. Ross instructed his attorney to try to obtain an exemption from registration because he did not want to pay the projected attorney's fees for securing registration. ICCI filed a registration application on April 2, 1997. DFI deemed the submission inadequate.

¶ 8. In the meantime, Ross continued to solicit investments in ICCI from potential Milwaukee investors. As part of his efforts, he represented that the securities were registered, and that as of April 25,1997, he would stop selling the stock at $1 per share. After that date, shares would only be available at $10 per share.

¶ 9. On May 2,1997, in response to these actions, DFI issued a formal order of "Prohibition and Revocation" (a stop order), prohibiting ICCI from making any further offers or sales of securities. Orí May 5, Ross's attorney responded to the stop order, stating that ICCI would not solicit or sell any securities in Wisconsin until the stock was registered. Gundy further informed DFI that ICCI was attempting to provide rescission notices to its current shareholders.

¶ 10. Notwithstanding the stop order, Ross began negotiating with his recently hired assistant, Sharon Cooper, for the sale of 50.1% of the shares of ICCI. An *304 agreement for the sale was consummated on November 19,1997, whereby Cooper paid Ross $55,000 on November 25, 1997.

¶ 11. ICCI experienced start-up and operational difficulties and became delinquent in its payment to Ameritech for the cost of telephone services. In September 1997, ICCI filed for protection under Chapter 11 of the Bankruptcy Code. To ensure the continuation of telephone services, Ameritech requested the payment of $471,000. When ICCI was unable to meet this requirement, the bankruptcy court allowed Ameritech to disconnect ICCI's customers as of October 14, 1997. This event spelled the end of Ross's wonderful dream.

¶ 12. In sum, $504,000 was invested by almost 1000 shareholders, most of whom were from Wisconsin.

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Bluebook (online)
2003 WI App 27, 659 N.W.2d 122, 260 Wis. 2d 291, 2003 Wisc. App. LEXIS 52, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-v-ross-wisctapp-2003.