State v. White

692 P.2d 167, 71 Or. App. 299, 1984 Ore. App. LEXIS 4534
CourtCourt of Appeals of Oregon
DecidedDecember 5, 1984
Docket140479; CA A28618
StatusPublished
Cited by6 cases

This text of 692 P.2d 167 (State v. White) is published on Counsel Stack Legal Research, covering Court of Appeals of Oregon primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State v. White, 692 P.2d 167, 71 Or. App. 299, 1984 Ore. App. LEXIS 4534 (Or. Ct. App. 1984).

Opinions

[301]*301ROSSMAN, J.

The state seeks reversal of a pretrial order excluding certain evidence from defendant’s upcoming arson trial. We find that the trial court abused its discretion by ruling in advance of trial that the evidence was inadmissible and reverse. We also note our continuing concerns about the pitfalls of unnecessary pretrial nonconstitutional evidentiary rulings, which often require a trial judge to resolve complicated legal issues in a vacuum.

Defendant was charged with first degree arson, ORS 164.325, attempted theft in the first degree, ORS 164.055, and tampering with a witness. ORS 162.285. On defendant’s motion, the arson charge was severed from the other two.

Before trial, the state requested an omnibus hearing to obtain the court’s ruling on certain evidence. Defendant filed a motion in limine directed at the same evidence. At the combined hearing on the motions, the state indicated that its theory in support of the arson charge is that defendant was responsible for the fire at his home on December 23,1982, by aiding and abetting the person who actually set the fire. The theft charge involves the attempted theft of funds by defendant from Forest Industries Insurance Exchange, the insurer of defendant’s property. According to the state’s theory, defendant filed a fraudulent insurance claim and thereby attempted to acquire insurance proceeds through the misrepresentation that he had lost property in the fire or a related burglary, when in fact he never had possessed the property.1 The third charge involves tampering with a witness, McClain, who defendant knew would be called as a witness in official proceedings relating to the arson and theft counts. McClain testified at the preliminary hearing that defendant approached him concerning McClain’s prospective testimony about the presence in defendant’s house of certain items later claimed by him on the insurance form.

The state represented that circumstantial evidence, [302]*302provided by experts, would establish that the fire at defendant’s residence was caused by arson. The state also advised the trial court that several witnesses would testify that defendant’s house did not contain any of the property that he reported as lost and that at least one witness would testify that before the fire he and defendant discussed a scheme whereby the house would be burned and a false claim made for insurance benefits. At the preliminary hearing, the witness testified that he disassociated himself from the plan about a week before the fire, because he had been arrested in Portland. The district attorney claimed that, without evidence of defendant’s fraudulent insurance claim and the McClain witness tampering incident, the state could not proceed to trial on the arson charge.

On the basis of proving motive, plan, design and intent, the court ruled that the state was entitled to offer evidence of the fact and the date on which defendant obtained insurance on the premises and that, following the fire, defendant submitted an insurance claim for benefits under the insurance policy. It also stated that the state could introduce evidence of the amount of that claim. It further ruled, however, that the state was not entitled to introduce evidence showing that the insurance claim was fraudulent, because the relevance of that evidence was outweighed by the prejudice to defendant. Because the evidence of witness tampering was related to the fraudulent insurance claim, it also was excluded.

The sole issue involved in this appeal is whether the trial court exceeded the bounds of discretion by ruling in advance of trial that evidence of insurance fraud and witness tampering would not be admitted. The proper standard for evaluating abuse of discretion was set forth in Carter v. Moberly, 263 Or 193, 200-01, 501 P2d 1276 (1972).

“* * * if ^ finds fhe evidence to have no probative value, he must exclude it. If, on the other hand, it does tend to establish a fact in issue, and no contrary considerations are present in the particular case, the evidence must be admitted. Between these two extremes, however, is an area in which further judgment must be exercised. If the evidence has some probative value, but also presents difficulties such as those mentioned above, the judge must determine whether the value of the evidence outweighs or is outweighed by, the offsetting considerations. We sometimes call the exercise of this kind of [303]*303judgment ‘discretion.’ Its exercise requires the judge to weigh the value of the evidence in light of all the circumstances of the particular case, and his conclusion, if it is reasonable, will not be disturbed on appeal. * * * We simply determine whether, on the facts of the particular case, the trial court’s ruling was within the reasonable or permissible range. We need not determine whether his ruling was the only one possible. It may be that the record will support either admission or exclusion; if so, the trial court’s ruling will be affirmed, regardless of which solution we would prefer.”

See also State v. Madison, 290 Or 573, 624 P2d 599 (1981). Under OEC 402, relevant evidence is generally admissible. However, under OEC 403, relevant evidence may be excluded if its probative value is outweighed by the danger of unfair prejudice. It is obvious that evidence of defendant’s procuring insurance shortly before the fire, if that were the fact, and filing a false insurance claim after the fire would be relevant to the charge of arson in this case. It would tend to prove his motive for setting the fire, i.e., to obtain money by defrauding his insurance company. Motive is significant in that it bears on the actor’s state of mind and can also be used to establish his identity. See McCormick, Evidence 450-51, § 190 (1972). Furthermore, the fact that defendant tried to tamper with one of the witnesses who was to testify against him on the theft count (false insurance filing) tends to prove that he was conscious of filing a false claim. By helping to establish defendant’s knowledge that his insurance filing was false, the evidence of witness tampering tends to confirm that his motive for setting the fire was money.

However, merely establishing the relevance of the evidence does not guarantee its admissibility. As we have noted earlier, under OEC 403, even relevant evidence may be excluded if its probative value is outweighed by the danger of unfair prejudice. We can understand why defendant would contend that this evidence is too prejudicial. It stands to reason that the more probative evidence is of guilt, the more prejudicial it will seem to those it is used against. However, the capacity of evidence to prove guilt is not the type of unfair prejudice to which OEC 403 refers.

“ ‘Unfair prejudice,’ in the context of [OEC] 403, means an undue tendency to suggest decisions on an improper basis, commonly although not always an emotional one. * * *” Legislative Commentary to OEC 403.

[304]

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State v. White
692 P.2d 167 (Court of Appeals of Oregon, 1984)

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Bluebook (online)
692 P.2d 167, 71 Or. App. 299, 1984 Ore. App. LEXIS 4534, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-v-white-orctapp-1984.