OPINION
SINGLETON, Judge.
Ronald Lee Wylie was convicted of one count each of leaving the scene of an accident, a misdemeanor, in violation of AS 28.35.050(a),
failure to render assistance, a felony, in violation of AS 28.35.060(a), (c),
failure to report an accident, a misdemean- or, in violation of AS 28.35.080(a),
and driving while intoxicated, a misdemeanor, in violation of AS 28.35.030.
Before COATS and SINGLETON,
JJ., and REESE, Superior Court Judge.
The charges against Wylie grew out of an incident that occurred at approximately 3:00 a.m. on September 20, 1987. Wylie and his wife, Theresa, were driving home after an evening of drinking and dancing in a number of Kenai Peninsula nightclubs. Theresa jumped or fell from the moving vehicle, hung on briefly, and then fell striking her head on the pavement. She died almost instantly. Wylie did not stop. He drove home and called his mother who rushed to the scene, discovered Theresa’s body, and summoned help. Earlier, a passerby saw Theresa’s body by the side of the road and called the police who arrived shortly after Wylie’s mother. At trial, Wylie conceded that he did not stop, render aid, or notify the authorities. He argued that he had no duty to do so because Theresa intentionally jumped out of his car and consequently, neither she nor he was involved in an accident. Wylie was convicted by a jury and he appeals. We affirm Wylie’s conviction but vacate his sentence and remand for resentencing.
DISCUSSION
Wylie first argues that the trial court erred in refusing to grant his pretrial motion to change venue. He points out that he, his wife, and their families were well-known in the Kenai/Soldotna area where the incident occurred. Along with his motion, he introduced copies of newspaper clippings detailing the police investigation of the incident which mentioned that Wylie and Theresa had been having marital problems, that she had sued for divorce and had obtained a restraining order against him. The articles- also indicated that Theresa accused Wylie of having beaten her and indicated that the police considered Theresa’s death “suspicious.” The newspaper also carried an article entitled “Domestic Violence — A Dark Path to Death” which included a discussion of the Wylies in a chronicle of local cases of domestic violence and indicated that Wylie had a history of domestic violence against a former wife, Lois, and that Theresa had accused him of severely beating her on two occasions. The article went on to detail Theresa’s experience with the counselors at “The Women’s Resource and Crisis Center” where Theresa spent some time allegedly as a result of domestic discord.
In addition, Wylie offered an affidavit from Robert M. Henderson, a former police officer, who was working as a private investigator. Henderson indicated that he had spoken with numerous people in the Kenai/Soldotna area who had read about the Wylie case in the local newspaper and believed that Wylie had intentionally shoved his wife out of the moving car. In his motion below, Wylie relied on AS 22.10.-030, AS 22.10.040 and Alaska Criminal Rule 18(g) for the proposition that venue should have been changed prior to jury selection because there was reason to believe that an impartial trial could not be held.
Generally, criminal trials should be held where the alleged offense occurred.
See Alvarado v. State,
486 P.2d 891, 902 (Alaska 1971). Nevertheless, the trial court has discretion to change venue where necessary to ensure a fair trial.
Oxereok v. State,
611 P.2d 913, 919 (Alaska 1980);
Mallott v. State,
608 P.2d 737, 746 (Alaska 1980);
Brown v. State,
601 P.2d 221, 229-30 (Alaska 1979);
Nylund v. State,
716 P.2d 387, 388 (Alaska App.1986);
Nickolai v. State,
708 P.2d 1292, 1293 (Alaska App.1985);
Chase v. State,
678 P.2d 1347, 1350 (Alaska App.1984). The general rule is that jury selection should be commenced in the venue of the crime and then moved only if voir dire reveals that an impartial jury cannot be obtained. Nevertheless, there may be circumstances in which the community where the incident occurred is so small, the parties so well-known, and pretrial publicity so pervasive that venue should be changed even though prospective jurors on voir dire assure the court that they can be fair.
Nickolai,
708 P.2d at 1293.
We have carefully reviewed the voir dire examination in this case. We have also considered Wylie’s arguments regarding the small size of the relevant community and the nature of the pretrial publicity. We note that only forty-five prospective jurors were questioned before twelve jurors and three alternates were chosen and that only six panelists knew Wylie or Theresa. It is noteworthy that defense counsel did not ask for additional peremptory challenges. It is also noteworthy that Wylie never renewed his motion to change venue after the jury and alternates had been selected. The supreme court has characterized a failure to renew a motion to change venue after voir dire as an “apparently deliberate waiver.”
Mallott,
608 P.2d at 748. We are satisfied that Superior Court Judge Beverly W. Cutler, who considered Wylie’s pretrial motion, did not abuse her discretion in denying a change of venue prior to the voir dire examination.
Wylie next argues that Judge Cutler erred in denying his motion to dismiss the grand jury indictment for lack of evidence and that Superior Court Judge Victor D. Carlson, the trial judge, compounded this error by denying Wylie’s motion for judgment of acquittal. In reviewing the denial of a motion to dismiss an indictment, the appellate court views the evidence in the light most favorable to the state to determine whether the evidence presented to the grand jury, if unexplained or uncontradict-ed, would warrant conviction. Alaska R.Crim.P. 6(q).
See Mudge v. State,
760 P.2d 1046, 1049 (Alaska App.1988).
In considering a motion for a judgment of acquittal, both at trial and on appeal, the court ‘must take the view of the evidence and the inferences arising therefrom most favorable to the state. If ... fair-minded men in the exercise of reasonable judgment could differ on the question of whether guilt has been established beyond a reasonable doubt,’ the motion must be denied.
Hentzner v. State,
613 P.2d 821, 823 (Alaska 1980) (quoting
Gray v. State,
463 P.2d 897, 905 (Alaska 1970)).
Wylie argues that Theresa’s death was not an accident because she intentionally and voluntarily jumped from his vehicle. He argues that there is no evidence to the contrary and that as a matter of law he could not be convicted of the offenses charged.
We are thus faced with the interpretation of the applicable statutes and specifically with a determination of the meaning of the phrase “a vehicle involved in an accident” which occurs in all three statutes. In order to do so, we must determine legislative intent regarding the scope of these statutes. Alaska no longer adheres to a “plain meaning rule.”
See Sonneman v. Knight,
790 P.2d 702, 707 (Alaska 1990);
Ward v. State,
758 P.2d 87, 89-90 n. 5 (Alaska 1988);
Anchorage v. Sisters of Providence in Washington, Inc.,
628 P.2d 22, 27 n. 6 (Alaska 1981);
State Dept. of Nat. Resources v. City of Haines,
627 P.2d 1047, 1049 n. 6 (Alaska 1981). Nevertheless, “ ‘[w]here a statute’s meaning appears clear and unambiguous, ... the party asserting a different meaning bears a correspondingly heavy burden of demonstrating contrary legislative intent.’ ”
Ward,
758 P.2d at 89-90 n. 5 (quoting
University of Alaska v. Geistauts,
666 P.2d 424, 428 n. 5 (Alaska 1983)). The word “accident” and the phrase “a vehicle involved in an accident” are not specifically defined in the statutes. Consequently, they must be construed according to their common and approved usage. AS 01.10.040. No Alaskan appellate decision defines the terms “accident” or “involved” in comparable statutes. In such cases, “[generally, we look to a dictionary to determine common usage.”
Walker v. State,
742 P.2d 790, 791 (Alaska App.1987). “Accident” has been defined as “an event or condition occurring by chance or arising from unknown or remote causes ... an unforeseen, unplanned event or condition ...” or “a usually sudden event or change occurring without intent or volition through carelessness, unawareness, ignorance, or a combination of causes and producing an unfortunate result.”
Webster’s Third New International Dictionary of the English Language
(Unabridged 1966). “Involved” means “to relate closely.”
Id.
at 1191.
In interpreting a statute, it is also important to consider the purposes leading the legislature to enact the statute. We agree with the Supreme Court of Iowa that “hit and run” statutes, like the ones Wylie violated, have two general purposes: first, to ensure that motorists involved in accidents causing personal injury or property damage are prevented from evading liability, civil or criminal, by escaping before their identity can be established and, second, to ensure that injured persons are protected from distress or danger from additional mutilation and exposure for want of proper treatment.
State v. Sebben,
185 N.W.2d 771, 774 (Iowa 1971). Criminal statutes must be strictly construed in favor of criminal defendants.
State v. Andrews,
707 P.2d 900, 907 (Alaska App.1985),
aff'd,
723 P.2d 85 (Alaska 1986). Strict construction does not, however, imply an unreasonable construction of a statutory scheme.
Belarde v. Anchorage,
634 P.2d 567, 568 (Alaska App.1981). Essentially, we must give the statutes “ ‘a reasonable or commonsense construction, consonant with the objectives of the legislature.’ ”
Id.
(quoting C. Sands, Sutherland Statutory Construction § 59.06, at 18-19 (4th ed. 1974)).
Wylie cites
Behrens v. State,
140 Neb. 671, 1 N.W.2d 289 (1941), for the proposition that no accident has occurred when a passenger voluntarily jumps from a moving vehicle.
Behrens
does not specifically hold this, for in
Behrens
a majority of the court assumed that the passenger was the victim of an accident.
Id.
1 N.W.2d at 293. The court actually held that the phrase “any vehicle involved in an accident” established that the operator’s duties did not come into operation unless the vehicle being operated collides with a person or property.
Id.
at 292-93. Alaska’s statutes are similar to Nebraska’s.
Two states, California and Iowa, have reached a contrary conclusion.
See People v. Green,
96 Cal.App.2d 283, 215 P.2d 127, 129-30 (1950);
State v. Carpenter,
334 N.W.2d 137, 140 (Iowa 1983).
See also Behrens,
1 N.W.2d 295 (Chappell, J., dissenting). We agree with the Iowa and California courts that Wylie’s construction of the statute would defeat its essential purposes. Clearly, the legislature intended to protect those injured by a motor vehicle and facilitate a determination of civil and criminal liability. It is clear that Theresa’s injuries were at the very least aggravated
by the fact that she fell or jumped from a moving vehicle. If Theresa had not been in a moving vehicle just prior to her death, it is unlikely that she would have suffered the injuries she did. Consequently, there is a causal connection between Wylie’s driving of his vehicle and Theresa’s injuries and ultimate death.
In context then, an “accident” is any incident in which someone suffers injury or death; and, “a vehicle [is] involved in an accident” if there is a causal nexus between the vehicle and the injury or death. Therefore, in accordance with the Iowa and California courts, we find that when a passenger jumps from a moving vehicle and as a result suffers injury or death, the motorist is obligated to stop and render assistance and notify the proper authorities. In our view, this is true whether or not the operator was warned of the passenger's desire to leave the vehicle. In this way, liability will be more readily determined and further injury prevented.
We, therefore, decline to adopt the reasoning of the majority of the Nebraska Supreme Court in
Behrens.
In our view, requiring drivers of vehicles from which passengers jump and are killed or injured, to stop, render aid, and summon help, best serves the legislative purpose in enacting these statutes.
Belarde,
634 P.2d at 568. Under our interpretation of the statute, the driver of a vehicle is involved in an accident if the driver’s passenger with or without advance warning jumps or falls from the vehicle and is injured or dies. Therefore, Judge Cutler did not err in denying Wylie’s motion to dismiss the indictment
and Judge Carlson did not err in denying his motion for judgment of acquittal.
Wylie next argues that the trial court erred in permitting the state to introduce irrelevant and prejudicial evidence in violation of Alaska Evidence Rules 401 and 403. He notes that he conceded in opening statement that he had not complied with any of the statutes under which he was charged. His sole defense was that Theresa had not died as a result of an “accident” in which his vehicle was “involved.” Over objection, the state was permitted to introduce a high school graduation photograph of Theresa, pavement chips, fabric fiber and part of her clothing, videotapes of Wylie's interrogation and of the accident scene, and the “gory” details of Theresa’s demise. In Wylie's view, all of this evidence was cumulative of his effective stipulation to the elements of the offense.
Wylie did not offer to plead guilty and reserve his interpretation of the statutes as a question of law for appeal.
See Oveson v. Anchorage,
574 P.2d 801, 803 n. 4 (Alaska 1978);
Cooksey v. State,
524 P.2d 1251, 1256-57 (Alaska 1974). In the state’s view, Wylie did not concede his guilt but argued that as a matter of fact no “accident” occurred and that Theresa had committed suicide, therefore evidence about the manner of Theresa’s death was highly relevant to refute the claim that she had committed suicide. In essence, the state’s evidence purported to show circumstantially that
Theresa had left the vehicle feet first and may have hung on briefly while she was dragged along the pavement. According to the state, this evidence refuted the defense theory of the case.
In our view, the dispute between the parties regarding the meaning of the phrase “a vehicle involved in an accident” was a question of law not fact. We have resolved that issue in the state’s favor on appeal. Under our interpretation of the statute, a motorist is obligated to stop and render aid if a passenger with or without advance warning jumps from the moving vehicle and is killed or injured, whether the passenger intends to commit suicide or not. Consequently, the state’s evidence regarding Wylie’s concessions was unnecessary to establish a
prima facie
case or rebut an available defense. On the other hand, this issue had not been resolved at the time the case was tried. Under the circumstances, the trial court did not err in concluding that the circumstantial and expert evidence regarding the manner in which Theresa died was relevant and that its relevance outweighed any prejudice to Wylie. We are less certain regarding the admission of Theresa’s graduation photograph. In any event, given our interpretation of the statute and Wylie’s concessions at trial, any error is harmless since Wylie’s concessions established his guilt of failing to stop, render aid, and notify the authorities.
See
Alaska R.Crim.P. 47(a);
Love v. State,
457 P.2d 622, 629-32 (Alaska 1969).
We recognize that Wylie was also convicted of driving while intoxicated and we must separately consider the possibility that the introduction of this evidence prejudiced his defense to that charge. Again, Wylie did not testify. Two witnesses testified that they observed Wylie shortly before Theresa’s death and that he was intoxicated. One witness testified that she was the waitress on duty and served Wylie and Theresa four drinks a piece. This witness had no opinion as to whether Wylie was intoxicated. In his statement to the investigating officer, Wylie conceded that he was intoxicated and impaired at the time Theresa jumped from his car. In response to questions from the officer regarding any drinking in between the time Theresa died and the officers contacted Wylie, Wylie initially said that he had drunk nothing and then indicated he may have drunk from a bottle of tequila. Chemical tests of Wylie’s blood were later obtained at 7:00 a.m. and indicated a blood alcohol level .122. An expert testified that Wylie’s blood alcohol level would have been .182 at 3:00 a.m. unless he drank after that time. Considering all of this evidence, we are satisfied that any error in introducing evidence surrounding the circumstances of Theresa’s death did not prejudice Wylie’s defense to the charge of driving while intoxicated.
Wylie next argues that the trial court erred in instructing the jury in a number of particulars. He objected to Instruction No. 33 which stated:
As used in the statutes and these instructions, the term “involved in an accident” includes all vehicular highway incidents involving a vehicle where there is either intentional or unintentional conduct by the driver or any other person and where personal injury or death occurs. It does not require a collision between the operator’s vehicle and another vehicle or person.
Wylie argues that this definition of accident denies him the right to a fair trial and due process of law. He seems to contend that whether liability for failure to stop and render aid under the statutes requires a collision between the operator’s vehicle and another vehicle or person was a question of fact for the jury.
We disagree. As we indicated earlier, we are persuaded by the California and Iowa courts that a collision is not a prerequisite to an accident for purposes of the stop and render assistance statutes. Nevertheless, Instruction 33 would not be appropriate in every case involving a hit and run because it does not unambiguously spell out the requirement that there must be a causal connection between the driving of a vehicle, injury to someone, and the driver’s duty to stop, render aid, and inform the police. Here it is undisputed that Theresa was a passenger in Wylie’s vehicle and that she left it while it was moving under circumstances in which serious injuries were virtually certain. Consequently, a causal nexus is clear. We find that giving Instruction 33 was not prejudicial error in this case.
In our view, the instruction constituted an attempted construction and interpretation of the statutes rather than a directed verdict on an element of the respective offenses.
See St. John v. State,
715 P.2d 1205, 1209-10 (Alaska App.1986) (discussing interplay between harmless error rule and instruction which directs verdicts on an element of an offense).
Wylie argues that the trial court erred in failing to give four instructions which he requested.
1. The word “accident,” requiring the operator of a vehicle to stop immediately in ease of an accident, contemplates any situation occurring on the highway wherein he so operates his automobile as to cause injury to the property or person of another using the same highway.
2. The term accident is defined as meaning a fortuitous circumstance, event, or happening which under the circumstances is unusual and unexpected by the person to whom it happens.
3. If you find that the decedent voluntarily left the vehicle and was not struck or run over by the vehicle after leaving it, you must find the defendant not guilty of Counts I, II, and IV of the indictment.
4.The statute in this state requiring the operator of a vehicle involved in an accident to stop, give information, render assistance, and make a report to proper authorities, are commonly referred to as “hit and run” statutes. Such statutes must be strictly construed in favor of the defendant and may not be enlarged by construction or extended by inference to conclude acts not within its terms.
Wylie’s proposed Instruction No. 4 relates to matters of law, not matters of fact. The trial court did not err in refusing to give the jury this instruction. Wylie’s proposed Instructions 1, 2, and 3 are either incomplete, conflict with the interpretation of the statute we reached earlier in this opinion, or involve matters covered by other instructions which were given. The trial court did not commit prejudicial error in declining to give these instructions.
Wylie contends that Superior Court Judge Charles K. Cranston’s secretary was a relative of the decedent and “instrumental in obtaining the grand jury indictment against Wylie.” Superior Court Judge James A. Hanson apparently re-cused himself in this case because he knew
the parties. Judge Cranston was peremptorily challenged by Wylie, and Judge Carlson was assigned to try the case. Wylie argues that there was an appearance of impropriety because Judge Carlson was seen by someone talking to Judge Cran-ston’s secretary while the case was in progress. He did not, however, bring this to the attention of the trial court or challenge Judge Carlson for cause. Wylie has not shown how he was prejudiced by any conversations between Judge Cranston’s secretary and Judge Carlson. We find no plain error.
SENTENCING ISSUES
Wylie contends that a separate conviction for failure to stop, AS 28.35.050, failure to assist, AS 28.35.060, and failure to contact the authorities, AS 28.35.080, violate double jeopardy because the felony offense of failure to assist is a lesser-in-eluded offense of the misdemeanor failure to stop and failure to contact the authorities. The Supreme Court of Alaska has characterized these statutes as an interlocking scheme, not greater or lesser offenses. Convictions for both offenses would not appear to violate double jeopardy.
See Drahosh v. State,
442 P.2d 44, 49 (Alaska 1968) (holding that leaving the scene and failing to render assistance are separate and distinct offenses). In
Missouri v. Hunter,
459 U.S. 359, 368-69, 103 S.Ct. 673, 679-80, 74 L.Ed.2d 535 (1983), the Supreme Court held that if the legislature authorizes cumulative punishment under two statutes, regardless of whether they proscribed the same conduct, double jeopardy is not violated. The
Drahosh
holding that failure to stop and failure to assist are separate and distinct offenses implicitly recognizes the legislative intent to permit cumulative punishment. We find no violation of double jeopardy in permitting multiple convictions.
Wylie next argues that his sentence is excessive. He points out that he is a youthful first felony offender with a good employment record and community support. The trial court imposed a composite sentence, including concurrent segments, of ten years with four years suspended. In
Austin v. State,
627 P.2d 657, 657-58 (Alaska App.1981), we held that ordinarily a first felony offender convicted of an offense should receive a more favorable sentence than the presumptive term for a second felony offender. Later, in
Brezenoff v. State,
658 P.2d 1359, 1362 (Alaska App.1983), we held that the presumptive term for a second felony offender constitutes a ceiling on an appropriate sentence for a first felony offender in the absence of aggravating factors, or the kind of extraordinary circumstances that would warrant referral of a second felony offender to a three-judge panel for sentencing. AS 12.-55.155-175. Before a second or third felony offender can receive a sentence in excess of the appropriate presumptive term, the state must give notice of aggravating factors and present clear and convincing evidence to establish them. AS 12.55.-155(f).
In evaluating the
Austin
rule in the past, we have not been as strict in reviewing aggravating factors as in cases where presumptive sentencing applies. On reflection, we are satisfied that unless a first felony offender is given advance notice of proposed aggravating factors, there is a substantial risk that the
Austin
rule will be undermined. In such a case, a first felony offender may in fact receive a more serious sentence than the same person with the same background committing the same offense would receive as a second felony offender. Henceforth, we will require pri- or notice to the defendant before approving deviations from the
Austin
rule.
Failure to render assistance is not a classified offense to which presumptive sentencing applies. Nevertheless, we have recognized that the legislature has prescribed a ten-year maximum term, and that the offense is therefore analogous to a class B felony.
See Smith v. State,
739 P.2d 1306, 1308 (Alaska App.1987). In
Smith
we concluded that the
Austin
rule should apply and a first felony offender convicted of failure to render assistance should not receive a sentence in excess of the four-year presumptive term for a second felony offender convicted of a class B felony in the absence of aggravating factors or extraordinary circumstances.
Id.
at 1309-10. We adhere to that view in this case.
Judge Carlson inferentially found five statutory aggravators which were presented by the state in argument. He found that:
1. A person sustained physical injury as a direct result of Wylie’s conduct. AS 12.55.155(e)(1).
2. Wylie used a dangerous instrument (motor vehicle) in furtherance of the offense. AS 12.55.155(c)(4).
3. Wylie’s prior criminal history includes conduct involving aggravated or repeated instances of assaultive behavior (conviction of a fourth-degree assault against a former wife and documentary evidence of beatings and other assaults against Theresa). AS 12.55.155(c)(8).
4. The conduct was among the most serious within the definition of the offense. AS 12.55.155(c)(10).
5. The crime was committed against a spouse (even though the crime was not technically included in AS 11.41). AS 12.55.155(c)(18).
Judge Carlson’s analysis of Wylie’s sentence is troublesome. A factor which is an element of an offense cannot be used to aggravate the sentence for that offense. AS 12.55.155(e). The fact that a person sustains physical injury and the fact that an automobile is involved would appear to be elements of the offenses of failing to stop, render aid, and contact the authorities. AS 28.35.050-060; AS 28.35.080. Consequently, the trial court should reconsider the appropriateness of these factors if it plans to aggravate Wylie’s sentence.
In summary, the trial court aggravated Wylie’s sentence on the basis of aggravating factors without giving advance notice. Some of these aggravating factors were arguably applicable while others were not. The sentence was well in excess of the
Austin
rule and the trial court gave no clear indication of why it viewed Wylie’s conduct as most serious. Since we cannot be certain that the trial court would have imposed the same sentence had it considered only appropriate aggravating factors, it is necessary for us to reverse and remand for resentencing.
See Deal v. State,
587 P.2d 740, 741 (Alaska 1978);
Nashoalook v. State,
744 P.2d 420, 422-23 (Alaska App.1987).
The judgment of the superior court is AFFIRMED in part and REVERSED in part and this case is REMANDED for re-sentencing.
BRYNER, C.J., not participating.