Sanders v. State

                                     Cite as 2014 Ark. 40

                SUPREME COURT OF ARKANSAS
                                       No.   CR-13-390

RAYMOND C. SANDERS, JR.                           Opinion Delivered   January 30, 2014
                   APPELLANT
                                                  APPEAL FROM THE HOT SPRING
V.                                                COUNTY CIRCUIT COURT
                                                  [NO. CR-90-58]

STATE OF ARKANSAS                                 HONORABLE JOHN LINEBERGER,
                                  APPELLEE        JUDGE

                                                  AFFIRMED.


                         CLIFF HOOFMAN, Associate Justice

       After his original convictions and sentences for the 1989 murders of Charles and Nancy

Brannon were vacated and set aside, appellant Raymond C. Sanders, Jr., was retried by a jury

and found guilty of two counts of capital murder, for which he received sentences of life

without parole. On appeal, Sanders argues that the circuit court erred by (1) permitting

Byron Hopes to testify even though his testimony was procured through an illegal sentence

reduction; (2) holding that the cross-examination of Hopes about the deal would open the

door to testimony about Sanders’s other murder case; (3) refusing to prohibit the State from

using transcripts of witness testimony from Sanders’s first trial; and (4) excluding part of the

prior testimony of Bill Keeling. We have jurisdiction over this appeal pursuant to Ark. Sup.

Ct. R. 1-2(a)(2), (7) (2013). We affirm.

       Sanders has brought five prior appeals in connection with his convictions and

sentencing for the murders of the Brannons, which occurred in Hot Spring County in
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November 1989. His first trial was held in February 1991 in the Grant County Circuit Court

on a change of venue from Hot Spring County, and Sanders was sentenced to death on each

count. This court affirmed the convictions on appeal but reversed the sentences and

remanded for resentencing because a prior murder conviction used as an aggravating

circumstance had since been overturned on appeal. Sanders v. State, 308 Ark. 178, 824

S.W.2d 353 (1992) (“Brannon I”).1 This prior conviction of Sanders for capital murder was

connected with the murder of Frederick LaSalle in December 1989, and the trial on this

murder charge occurred in March 1990, prior to the trial in the Brannon murders. Sanders’s

conviction in the LaSalle case was reversed, Sanders v. State, 305 Ark. 112, 805 S.W.2d 953

(1991) (“LaSalle I”), and a second trial was held in February 1992, after which Sanders was

again convicted of capital murder and received a life sentence. This conviction was affirmed

on appeal. Sanders v. State, 310 Ark. 510, 838 S.W.2d 359 (1992), cert. denied, 513 U.S. 1162

(“LaSalle II”).

       After the resentencing hearing in the Brannon case in August 1992, Sanders was again

sentenced to death, and we affirmed. Sanders v. State, 317 Ark. 328, 878 S.W.2d 391 (1994)

(“Brannon II”). Sanders subsequently filed a Rule 37 petition for postconviction relief, which

was denied by the circuit court without a hearing. On appeal, this court reversed and

remanded for an evidentiary hearing on Sanders’s petition. Sanders v. State, 352 Ark. 16, 98



       1
         Because there is an unrelated murder case involving Sanders that is relevant to the
issues raised in this appeal, we refer to our prior opinions by the name of the victim(s) in each
case, as Sanders does in his brief.


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S.W.3d 35 (2003), supp. op. upon reh’g, 352 Ark. 520, 102 S.W.3d 480 (2003) (“Brannon III”).

During the hearing, evidence of a possible Brady violation arose, and the circuit court halted

the proceedings while Sanders filed in this court a petition to reinvest jurisdiction in the

circuit court to consider a petition for writ of error coram nobis. We granted the petition in

part, so that Sanders could proceed on his due-process claim of a Brady violation. Sanders v.

State, 374 Ark. 70, 285 S.W.3d 630 (2008) (“Brannon IV”).

       A joint hearing was held before the circuit court on Sanders’s petition for

postconviction relief pursuant to Rule 37 and on his petition for writ of error coram nobis.

The circuit court granted Sanders’s petition for writ of error coram nobis and vacated his

convictions and sentences, finding that the prosecution’s failure to reveal information about

one of its witnesses prejudiced Sanders’s right to a fair trial. The court denied relief based on

Sanders’s Rule 37 petition, however, and Sanders appealed to this court. We dismissed his

appeal as moot, holding that once the circuit court granted Sanders’s petition for writ of error

coram nobis, there was no longer a sentence from which postconviction relief could be

sought. Sanders v. State, 2011 Ark. 127 (“Brannon V”). Sanders was retried for the Brannon

murders in October 2012, and the State waived the death penalty. He was again convicted

of both counts of capital murder and was sentenced to life without parole. He now appeals

from these convictions.

       A detailed recitation of the underlying facts has been previously set forth in our

opinion in Brannon I; however, briefly, Charles and Nancy Brannon were killed by gunshot

wounds. Charles’s body was found near a church in Malvern on November 21, 1989, and


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Nancy’s body was found in the surrounding area two days later, a short distance from the

Brannons’ truck. Their home had also been ransacked. The gun believed to have been used

in the murders was pawned several weeks later by a man identified as Sanders, along with an

unidentified female. Also, several pieces of jewelry identified as Nancy’s were pawned by

Sanders approximately one week after the murders. There was also evidence presented that

Charles was known to carry large amounts of cash on his person; that Sanders had worked for

Charles and had been to the Brannons’ home on many occasions; that acquaintances had seen

Sanders with a large sum of money in the days following the Brannons’ murder; and that

when one acquaintance questioned Sanders about a gun and some jewelry seen at his house

after the murders, he replied that “there were some things she didn’t need to know.”

       In his first point on appeal, Sanders argues that the circuit court erred in permitting

Byron Hopes to testify even though his testimony was procured through an illegal Rule 37

procedure. Prior to trial, Sanders filed a motion to exclude the testimony of Hopes, who was

his codefendant in the LaSalle case and who had testified against him in LaSalle II. Sanders

argued that Hopes’s testimony in LaSalle II had been obtained by a collusive and untimely

Rule 37 proceeding. As a result of that proceeding, Hopes’s original plea of guilty to the

LaSalle murder, for which he had received a forty-year sentence, was vacated, and he entered

a new guilty plea, receiving a reduced sentence of twenty years’ imprisonment. In addition

to asserting that this postconviction proceeding was untimely, as it was filed more than ninety

days after Hopes’s original plea was entered on July 5, 1990, Sanders argued that it was

procured by collusion because the prosecutor in LaSalle II, Dan Harmon, had served as


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Hopes’s defense counsel when he had entered his plea in 1990. Sanders asserted that a special

prosecutor was appointed for the purposes of Hopes’s Rule 37 proceeding and that Harmon

conceded in that proceeding that he had been ineffective as Hopes’s counsel. The circuit

court then granted Hopes’s Rule 37 petition and vacated his plea of guilty. Sanders argued

in his pretrial motion that Hopes’s testimony should be suppressed because the evidence was

obtained illegally and in violation of his due-process rights. The transcript from Sanders’s

postconviction evidentiary hearing was introduced to support his allegations.

       After a pretrial hearing, the circuit court denied Sanders’s motion to exclude Hopes’s

testimony, relying on this court’s decision in Burks v. State, 2009 Ark. 598, 359 S.W.3d 402,

in which we affirmed the trial court’s decision to admit the testimony of a witness that was

obtained through the use of an illegal writ of error coram nobis. Sanders argues on appeal that

the circuit court erred in permitting Hopes to testify because it was “the fruit of the poisonous

tree of the illegal deal.” He contends that our holding in Burks should be overruled, as the

prosecutorial misconduct in this case constitutes a denial of his due-process rights. Further,

Sanders asserts that this evidence should be suppressed pursuant to the factors set forth in Ark.

R. Crim. P. 16.2 (2013), as the integrity of the judicial system is of prime importance, there

was a “flagrant and willful violation of the rules of lawful conduct,” and exclusion of the

evidence will tend to prevent violation of the rules.

       We will reverse a circuit court’s decision on a motion to suppress only if it is clearly

against the preponderance of the evidence. Boldin v. State, 373 Ark. 295, 283 S.W.3d 565




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(2008).2 We defer to the circuit court’s superior position in determining the credibility of the

witnesses and resolving any conflicts in the testimony. Id.

       The State responds that the circuit court did not err in admitting Hopes’s testimony

because the remedy for a plea agreement that is improperly obtained through the use of a

postconviction proceeding is cross-examination. In support of its argument, the State cites

Burks, supra, where we held that the appropriate remedy for a witness’s potential bias resulting

from a plea agreement is to allow the defense to cross-examine the witness on the source of

that bias and thereby impeach the witness’s credibility. See also Gilcrease v. State, 2009 Ark.

298, 318 S.W.3d 70 (A defendant has wide latitude in cross-examining a witness on possible

bias resulting from the expectation of a plea offer by the State in exchange for the testimony

of the witness.); Windsor v. State, 338 Ark. 649, 1 S.W.3d 20 (1999) (The trial court was

correct in not excluding the testimony of a witness who obtained a reduced sentence in

exchange for his testimony against the defendant, as the appellant had ample opportunity to

cross-examine the witness concerning his plea agreement.).

       With regard to Sanders’s allegation that Hopes’s postconviction relief was obtained

through collusion by the prosecutor, special prosecutor, Hopes’s defense counsel, and the trial

judge, the State notes that Sanders failed to support such an allegation by calling each of them

to testify about the circumstances surrounding the prior deal. The State further asserts that


       2
         While the State asserts that Sanders’s pretrial motion to exclude Hopes’s testimony
is appropriately reviewed as a motion in limine rather than as a motion to suppress, we
disagree, as his primary contention is that the evidence should be excluded because it was
illegally obtained. See Burks v. State, supra.


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at the time of the charged offenses against both Hopes and Sanders, Ark. R. Crim. P. 37,

which had a three-year time limit on filing, had recently been abolished and was not

reinstated with its present-day time limit until 1991. Thus, the State contends that Sanders

has failed to prove misconduct on the part of Harmon or anyone else involved in Hopes’s

postconviction proceeding.

       We find it unnecessary to determine whether Hopes’s plea agreement was illegally

obtained in light of our holding in Burks, supra. The postconviction proceeding in Burks was

clearly illegal, yet this court concluded that the proper remedy was cross-examination of the

witness, not suppression of the testimony. Id. We also decline to overrule Burks, as requested

by Sanders. While Sanders argues that prosecutorial and judicial misconduct deprive the

defendant of due process, we agree with the State that the aim of due process is not

punishment of society for the misdeeds of a prosecutor, but avoidance of an unfair trial for the

accused. See Smith v. Phillips, 455 U.S. 209, 219 (“[T]he touchstone of due process analysis

in cases of alleged prosecutorial misconduct is the fairness of the trial, not the culpability of

the prosecutor.”). Thus, the circuit court’s denial of Sanders’s motion to suppress Hopes’s

testimony is not clearly erroneous, and we affirm on this point.

       Sanders next contends that the circuit court abused its discretion by ruling that cross-

examination of Hopes about his allegedly illegal sentence reduction would open the door to

testimony about Sanders’s other murder case. After the circuit court had denied his motion

to suppress Hopes’s testimony, Sanders then moved in limine, seeking to limit the testimony

provided by Hopes to the fact that he had received a deal to testify in another case involving


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himself and Sanders, without identifying the specific case or the details of the testimony

adduced in that case. A lengthy colloquy ensued between the parties and the court, the final

portion of which is set out below:

       DEFENSE COUNSEL: Your Honor, so you will allow them to elicit the actual facts he
       testified to? I’m just want . . .
       COURT: Well, to the extent that he fulfilled his obligations under the deal. Can I do
       that?
       PROSECUTOR: Yes, your Honor.
       COURT: I think you’re entitled to do that, cause that’s simply showing what the full
       deal is. You’re opening the door and saying there was a deal, and, you know, without
       allowing them to cross-examine on what the deal was, I don’t think that’d be fair.
       PROSECUTOR : Judge, he’s wanting to say, ‘Here was the price of the bull,’ and the
       jury is supposed to draw inference as just from the price of the bull without them
       seeing the bull.
       COURT: Yeah.
       PROSECUTOR: And they can’t do that, Judge.
       COURT: I agree.
       PROSECUTOR: That’s why his testimony that he gave in response for the alleged deal
       is admissible.
       COURT: Yeah. Now, to some extent– you know, I don’t know what the testimony
       is going to be, and – to some extent I’m sort of surmising what the testimony may be.
       So you feel free to object at any time you want . . .
       DEFENSE COUNSEL: Your Honor, I understand.
       COURT: . . . to during the course of that testimony. But I think we ought to know
       generally, though, once you raise the deal, they’re entitled to develop fully what that
       deal was, and did he fulfill his obligations.

       Due to the circuit court’s ruling, Sanders chose not to cross-examine Hopes about the

deal he had made in exchange for his prior testimony so that the door would not be opened

to details about the other case that would be prejudicial to Sanders, such as that it was a

murder case. Instead, Sanders introduced evidence showing that Hopes was a felon and had

been convicted of murder. In a proffer outside the presence of the jury, Sanders obtained

testimony from Hopes that he and Sanders were both charged with capital murder in the


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death of LaSalle, that Hopes pled guilty to first-degree murder and received forty years’

imprisonment, that Harmon was his attorney at the time, that Harmon then became the

prosecutor against Sanders in LaSalle II, that Hopes had filed a potentially untimely Rule 37

petition, that his petition was granted and a new trial was ordered, that he again pled guilty

to the charge and received a reduced sentence of twenty years, and that he had then testified

against Sanders in LaSalle II. In its proffer in response, the State only asked Hopes whether

he had testified truthfully and whether he had been promised anything or threatened in

connection with his present testimony.

       The State then noted that it would not have objected to any of that testimony, and

Sanders stated that it was his position that the proffered testimony should not have opened the

door to the details of the LaSalle case. The circuit court stated, “I think you would open the

details of the plea, is what we would have. I was not about to retry the LaSalle case or allow

any of that. But I did advise you though, that they could go into details about the plea that

he made which in itself would’ve reflected that the plea was made in the LaSalle case, instead

of in this case.”

       A circuit court’s ruling on a motion in limine is not reversed absent an abuse of

discretion. Mhoon v. State, 369 Ark. 134, 251 S.W.3d 244 (2007). An abuse of discretion

occurs when the circuit court acts arbitrarily or groundlessly. Isom v. State, 356 Ark. 156, 148

S.W.3d 257 (2004).

       Sanders argues that the circuit court abused its discretion in its ruling, as he was entitled

to cross-examine Hopes about the illegal deal he obtained, but if that opened the door to the


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admission of evidence about Sanders’s other murder conviction, he contends that that would

be unfairly prejudicial to him. Sanders asserts that he wished to keep out the fact that Hopes’s

deal included testimony in another murder case but that he did want to demonstrate that

Hopes had received a substantial benefit for his testimony against Sanders.

       We find no abuse of discretion on the record before us. While an accused is accorded

a wide latitude in cross-examination to impeach the credibility of a witness against him, the

circuit court may also impose reasonable limits on what testimony is admitted based upon

concerns about harassment, prejudice, waste of time, confusion of issues, or interrogation that

is repetitive or only marginally relevant. Gilcrease, supra. Here, the circuit court initially ruled

that if Sanders questioned Hopes about a previous deal, then the State could introduce

evidence about the details of the deal that he received. It was well within the circuit court’s

discretion to allow this limited explanation. As the circuit court noted, the amount of a

reduction in a witness’s sentence due to a plea deal has little meaning unless there is

information on the specific charge involved. The circuit court repeatedly stated that only the

full details of the plea agreement would be allowed and that it would not permit the LaSalle

case to be retried through Hopes’s testimony.

       In addition, the parameters of the testimony that would have been allowed by the

circuit court were not clearly defined, and the court stated that it would reserve ruling on

specific testimony with regard to the LaSalle case until an objection was raised by Sanders.

Because Sanders chose not to cross-examine Hopes about the deal, he has failed to

demonstrate any error by the circuit court with regard to the admission of specific evidence.


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See Johnson v. State, 2013 Ark. 494, ___ S.W.3d ___ (holding that argument as to admissibility

of specific evidence was waived where circuit court’s ruling on the motion in limine was not

definitive and appellant failed to contemporaneously object to the testimony at trial).

Furthermore, in the testimony of Hopes proffered by Sanders, he himself adduced the details

of the plea agreement, and both parties agreed that the testimony presented during the proffer

was not objectionable. Therefore, Sanders has failed to demonstrate an abuse of discretion by

the circuit court with respect to this issue, and we affirm on this point.

       In Sanders’s third point on appeal, he argues that the circuit court erred in refusing to

prohibit the use of trial transcripts of witness testimony from his first trial and his resentencing

hearing. Sanders filed a motion in limine prior to his retrial, seeking to prevent the State from

using the transcripts of six unavailable witnesses from his 1991 trial and the resentencing

hearing in 1992. He argued that these transcripts were inadmissible because his defense

attorney at the time of his original trial, William Murphy, had been involved in a criminal

conspiracy with Dan Harmon, the prosecuting attorney at that time.                   At Sanders’s

postconviction hearing, he presented evidence demonstrating that Murphy and Harmon had

been indicted on federal racketeering and conspiracy charges several years after his 1991 trial.

Although the circuit court granted Sanders’s petition for writ of error coram nobis on the basis

of a Brady violation, the court denied Rule 37 relief, finding that there was no evidence that

Harmon and Murphy’s illegal conduct occurred during the time period leading up to and

including Sanders’s 1991 trial. The court also found that Harmon and Murphy were not

actually convicted of the federal charges involving collusion.


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       Sanders contends that the circuit court’s findings were clearly erroneous because

Harmon was convicted of a federal charge involving collusion with Murphy. He argues that

the Harmon-Murphy conflict rendered his representation by Murphy constitutionally

ineffective. He further asserts that the transcripts from his resentencing trial, where he was

represented by Tona Demers, are inadmissible because the motive for cross-examination was

not the same as in the guilt-innocence phase of his trial and because she was also ineffective.

       Pursuant to Ark. R. Evid. 804(a)(4), (5), and (b)(1) (2013), where a declarant is

unavailable to testify as a witness due to death or because the proponent is unable to procure

his attendance by process or other reasonable means, former testimony of that declarant at a

prior hearing is not hearsay and is admissible as long as the party against whom it is now

offered had an opportunity and a similar motive to develop the testimony by direct, cross, or

redirect examination. In Crawford v. Washington, 541 U.S. 36 (2004), the Supreme Court

made it clear that the prior testimony is admissible only if the defendant had an adequate

opportunity to cross-examine the declarant.

       With regard to the Harmon-Murphy conflict, as the circuit court at Sanders’s

postconviction hearing found, there is no evidence that criminal collusion was occurring

between Murphy and Harmon at the time of Sanders’s original trial in February 1991. At that

time, Harmon had only been a prosecuting attorney for approximately one month. Also, the

examples cited by Sanders to show that Murphy was ineffective as his counsel are not

convincing. As the State asserts, Murphy’s cross-examination of one witness, Eddie Watkins,

laid the foundation for the later Brady claim in the coram nobis proceeding that led to the


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grant of a new trial. In addition to Murphy’s testimony at the Rule 37 hearing as to his

preparation of Sanders’s case and his decisions at trial, Robert Jeffrey, Murphy’s co-counsel

at the trial, also testified. Jeffrey indicated that Murphy made appropriate objections and

strategic decisions and adequately cross-examined witnesses. With regard to Sanders’s

argument regarding the change of venue to Grant County, both Jeffrey and Murphy testified

that it was the correct decision given that Sanders had very recently been convicted of another

capital murder in Hot Spring County. Under these circumstances, it was not an abuse of

discretion for the circuit court to find that the trial transcripts from Sanders’s 1991 trial were

admissible in his new trial.

       With regard to the two trial transcripts from the 1992 sentencing hearing, Sanders

asserts that his counsel did not have the same motive to cross-examine the witnesses as in the

guilt-innocence phase of the trial and that this, along with her ineffectiveness as counsel,

renders these transcripts inadmissible. We agree with the State that there is nothing to

demonstrate that Demer’s cross-examination of these two witnesses was deficient. As the

State asserts, Demer cross-examined all of the witnesses with the intent of establishing residual

doubt in the minds of the jurors as to Sanders’s guilt, and the record shows that the cross-

examination of these witnesses in both the trial and the sentencing hearing were similar.

Although Sanders cites several examples of Demer’s alleged incompetence, much of which

relates to mitigation evidence, none of these examples relates to whether Demer adequately

cross-examined the two witnesses at issue here. In fact, Sanders criticizes Demers’s focus on

proving actual innocence in the resentencing trial, which supports the State’s assertion that


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the motive for cross-examination at Sanders’s resentencing was similar to that at the guilt-

innocence phase of his trial. Thus, the circuit court did not abuse its discretion in admitting

the trial transcripts of the two witnesses from the resentencing hearing. We affirm on this

point.

         In his last point on appeal, Sanders argues that the circuit court abused its discretion

in denying his motion to admit a portion of the former testimony of Bill Keeling, who had

testified in the 1991 trial, that was previously proffered but rejected in that trial. The evidence

that Sanders sought to have admitted related to whether two men, named Hunter and Macon,

had owed Charles Brannon money and whether Charles had been afraid of a person named

“Arlie” or “Ollie.” The circuit court in this trial ruled that the proffered evidence was

inadmissible, noting that while this issue was not raised on appeal in Brannon I, this court did

review all adverse rulings under our mandatory review pursuant to Ark. Sup. Ct. R. 11(f)

(1992), which is currently found in Ark. Sup. Ct. R. 4-3(i) (2013), and found that no

reversible error existed. Brannon I, supra. Thus, the circuit court found that this court had

tacitly approved the trial court’s exclusion of this evidence. The circuit court also found that

the original ruling excluding this evidence was correct.

         Citing Camargo v. State, 337 Ark. 105, 987 S.W.2d 680 (1999), the State asserts that

this court’s review of the adverse ruling in Brannon I constitutes a ruling subject to the

limitations of res judicata and that Sanders’s argument can be dismissed on that basis. In

Camargo, this court held that our review pursuant to Ark. Sup. Ct. R. 4-3(h) was the law of

the case upon remand and that the law-of-the-case doctrine includes issues that were


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implicitly decided. We noted that this rule does not absolutely preclude correction of error,

but that it prevents an issue raised in a prior appeal from being reargued in a subsequent appeal

unless the evidence differs materially between the two appeals. Id. (citing Kemp v. State, 335

Ark. 139, 983 S.W.2d 383 (1998)). While Sanders cites Clemmons v. Office of Child Support

Enforcement, 345 Ark. 330, 47 S.W.3d 227 (2001), in support of his contention that this rule

does not absolutely preclude error correction, our decision not to apply the law-of-the-case

doctrine in that case was based on the fact that the original ruling on the issue was merely

obiter dictum. Here, the evidence sought to be admitted by Sanders is identical to the

proffered evidence excluded by the trial court in the 1991 trial and implicitly found not to be

reversible error by this court in Brannon I. As such, we agree with the State that Sanders’s

argument on this issue may be affirmed on the basis of law of the case.

       As required under Ark. Sup. Ct. R. 4-3(i) (2013), the record has been examined for

all objections, motions, and requests made by either party that were decided adversely to

Sanders, and no prejudicial error has been found.

       Affirmed.

       HANNAH, C.J., and CORBIN, J., dissent.

       DONALD L. CORBIN, Justice, dissenting. For the reasons set forth in the dissents

in Burks v. State, 2009 Ark. 598, 359 S.W.3d 402, I respectfully dissent from the majority’s

decision in the instant case. In Burks, a bare majority of this court affirmed a circuit court’s

order allowing a witness to testify on behalf of the State despite the fact that such testimony

was the result of blatant prosecutorial misconduct. To support its erroneous conclusion, the


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Burks majority reasoned that the remedy for any prejudice to the appellant was to allow the

appellant to cross-examine the witness about any possible witness bias.

       Here, the majority, much like the majority in Burks, wholly ignores that the purpose

of suppressing illegally obtained evidence, pursuant to Ark. R. Crim. P. 16.2 (2013), is to

deter misconduct by the authorities, including prosecutors. In fact, this court noted that

exclusion of such evidence is applicable in a number of contexts including where

“[p]rosecutors must know” that their conduct is “unreasonable and unconscionable.” See Jolly

v. State, 358 Ark. 180, 196, 189 S.W.3d 40, 49 (2004); see also State v. Shepard, 303 Ark. 447,

798 S.W.2d 45 (1990).

       Despite the State’s protestations to the contrary, the evidence here demonstrated that

then-prosecutor Harmon engaged in blatant misconduct in order to secure the testimony of

Byron Hopes against Appellant in his retrial. The majority, instead of taking the opportunity

to rectify the erroneous holding in Burks, compounds the error by concluding in this case that

“the aim of due process is not punishment of society for the misdeeds of a prosecutor, but

avoidance of an unfair trial for the accused.” How can we say with any certainty that

Appellant received a fair trial when the State was allowed to use illegally obtained evidence?1

The answer is that we cannot say the trial was fair, nor can we say any error resulting from



       1
         The majority states that there is no reason to determine whether the evidence was
illegally obtained in light of this court’s decision in Burks. I assert that there is no question
that the evidence was illegally obtained and further note that the circuit court recognized the
wrongful conduct of the former prosecutor and stated from the bench that but “for the Burks
case I probably would grant the motion.”


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the admission of such evidence was harmless. Accordingly, I would reverse and remand for

a new trial.

       I am authorized to state that HANNAH, C.J., joins in this dissent.

       Jeff Rosenzweig, for appellant.

       Dustin McDaniel, Att’y Gen., by: Kent G. Holt, Ass’t Att’y Gen., for appellee.




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