ILLINOIS OFFICIAL REPORTS
Appellate Court
People v. Peterson, 2011 IL App (3d) 100513
Appellate Court THE PEOPLE OF THE STATE OF ILLINOIS, Plaintiff-Appellant, v.
Caption DREW PETERSON, Defendant-Appellee.
District & No. Third District
Docket Nos. 3-10-0513, 3-10-0514, 3-10-0515, 3-10-0546, 3-10-0550
cons.
Filed July 26, 2011
Held In the State’s interlocutory appeal, the appellate court lacked jurisdiction
(Note: This syllabus to consider the trial court’s refusal to admit 8 of the 14 hearsay
constitutes no part of statements it offered under the common law doctrine of forfeiture by
the opinion of the court wrongdoing where the notice of appeal was untimely and there was no
but has been prepared showing of any material change in the facts that would justify an
by the Reporter of untimely filing pursuant to Supreme Court Rule 604(a)(1) or 606(c), and,
Decisions for the further, the exclusion of evidence of other crimes defendant allegedly
convenience of the
committed was neither arbitrary nor unreasonable, and the trial court’s
reader.)
refusal to allow the attorney who was representing defendant’s wife in
their divorce proceedings to testify as to what the judge in that case
would have ruled if defendant’s wife had lived was not an abuse of
discretion.
Decision Under Appeal from the Circuit Court of Will County, No. 09-CF-1048; the Hon.
Review Stephen D. White, Judge, presiding.
Judgment No. 3-10-0514, Dismissed for lack of jurisdiction.
Nos. 3-10-0515 and 3-10-0550, Affirmed; cause remanded.
Nos. 3-10-0513 and 3-10-0546, Affirmed; cause remanded.
Counsel on James Glasgow (argued), State’s Attorney, of Joliet (Colleen M. Griffin
Appeal (argued), Assistant State’s Attorney, of counsel), for the People.
Steven A. Greenberg (argued), of Steven A. Greenberg, Ltd., Joseph R.
Lopez, Joel A. Brodsky, of Brodsky & Odeh, Ralph E. Meczyk, Darryl
Goldberg, and Lisa M. Lopez, all of Chicago, for appellee.
Panel JUSTICE HOLDRIDGE delivered the judgment of the court, with
opinion.
Justice Schmidt concurred in the judgment and opinion.
Presiding Justice Carter concurred in part and dissented in part, with
opinion.
OPINION
¶1 The defendant, Drew Peterson, was charged with two counts of first degree murder (720
ILCS 5/9-1(a)(1), (a)(2) (West 2004)) in connection with the death of Kathleen Savio.
During pretrial matters, the circuit court issued several rulings on the admissibility of
evidence the State intended to present at trial. The State appealed from these rulings, arguing
that the court erred when it: (1) denied the State’s motion in limine to admit certain hearsay
statements under the common law doctrine of forfeiture by wrongdoing; (2) denied the
State’s motion in limine to admit other-crimes evidence; and (3) excluded portions of the
proposed testimony of attorney Diane Panos, whom the State had intended to call as an
expert witness.
¶2 FACTS
¶3 On March 1, 2004, Kathleen Savio, the defendant’s third wife, was found dead in her
bathtub. At the time of her death, the Illinois State Police conducted an investigation into
Kathleen’s death and a pathologist performed an autopsy. The pathologist concluded that
Kathleen had drowned but did not opine on the manner of death. A coroner’s jury
subsequently determined that the cause of death was accidental drowning. No charges were
filed in connection with her death.
¶4 Several months before Kathleen’s death, the judge presiding over divorce proceedings
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between Kathleen and the defendant entered a bifurcated judgment for dissolution of their
marriage. The court’s judgment reserved issues related to matters such as property
distribution, pension, and support. A hearing on those issues had been scheduled for April
2004.
¶5 The defendant’s fourth wife, Stacy Peterson, disappeared on October 27, 2007. Stacy and
the defendant had been discussing a divorce. Following Stacy’s disappearance, Kathleen’s
body was exhumed and two additional autopsies were conducted. The pathologists who
conducted the autopsies concluded that Kathleen’s death was a homicide.
¶6 On May 7, 2009, the State charged the defendant with the murder of Kathleen. During
pretrial proceedings, the defendant contested the admissibility of some of the evidence the
State intended to present at trial. Three rulings of the circuit court on these matters are the
subject of this appeal. The State has appealed each of these rulings separately by filing three
discrete interlocutory appeals which were consolidated for briefing. Each of the three
appeals is discussed in turn below.
¶7 I. APPEAL No. 3-10-0514: ADMISSIBILITY OF HEARSAY STATEMENTS
¶8 In appeal No. 3-10-0514, the State challenges the circuit court’s refusal to admit certain
hearsay statements allegedly made by Kathleen and Stacy. On January 4, 2010, the State
filed a motion in limine arguing that 11 statements made by Kathleen and 31 statements made
by Stacy were admissible under section 115-10.6 of the Code of Criminal Procedure of 1963
(Code) (725 ILCS 5/115-10.6 (West 2008) (hearsay exception for the intentional murder of
a witness)) and under the common law doctrine of forfeiture by wrongdoing. Section 115-
10.6 of the Code provides that “[a] statement is not rendered inadmissible by the hearsay rule
if it is offered against a party that has killed the declarant in violation of clauses (a)(1) and
(a)(2) of Section 9-1 of the Criminal Code of 1961 intending to procure the unavailability
of the declarant as a witness in a criminal or civil proceeding.” 725 ILCS 5/115-10.6(a)
(West 2008). The statute requires the circuit court to conduct a pretrial hearing to determine
the admissibility of any statements offered pursuant to the statute. 725 ILCS 5/115-10.6(e)
(West 2008). During the hearing, the proponent of the statement bears the burden of
establishing by a preponderance of the evidence: (1) that the adverse party murdered the
declarant and that the murder was intended to cause the unavailability of the declarant as a
witness; (2) that the time, content, and circumstances of the statements provide “sufficient
safeguards of reliability”; and (3) that “the interests of justice will best be served by
admission of the statement into evidence.” 725 ILCS 5/115-10.6(e) (West 2008). The circuit
court must make “specific findings as to each of these criteria on the record” before ruling
on the admissibility of the statements at issue. 725 ILCS 5/115-10.6(f) (West 2008). The
statute provides that it “in no way precludes or changes the application of the existing
common law doctrine of forfeiture by wrongdoing.” 725 ILCS 5/115-10.6(g) (West 2008).
The common law doctrine of forfeiture by wrongdoing provides a hearsay exception for
1
The State’s motion had included four statements made by Stacy, but the State withdrew one
of the statements at the hearing on the State’s motion.
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statements made by an unavailable witness where the defendant intentionally made the
witness unavailable in order to prevent her from testifying. People v. Hanson, 238 Ill. 2d 74
(2010); People v. Stechly, 225 Ill. 2d 246, 272-73 (2007).
¶9 The State asked the circuit court to conduct a hearing to determine the admissibility of
these hearsay statements under both the statute and the common law doctrine of forfeiture
by wrongdoing and sought the admission of the statements under both the statute and the
common law. In January and February 2010, the circuit court held an evidentiary hearing on
the State’s motion. The State argued, inter alia, that the defendant killed Kathleen with the
intent of preventing her testimony at the hearing on the distribution of the marital property.
The State also argued that the defendant killed Stacy with the intent of preventing her
testimony not only at a future divorce and property distribution hearing, but also at a trial for
Kathleen’s murder. Seventy-two witnesses testified at the hearing, including three
pathologists. Two pathologists testified for the State that Kathleen’s death was a homicide.
The defense’s pathologist disagreed with the State’s pathologist’s conclusions and testified
that Kathleen had drowned accidentally.
¶ 10 The circuit court took the matter under advisement and issued its written ruling on May
18, 2010. Applying the statutory criteria, the court found that the State had proved by a
preponderance of the evidence that: (1) the defendant murdered Kathleen and Stacy; and (2)
he did so with the intent to make them unavailable as witnesses. Further, the court found
that, pursuant to the statute, 6 of the 14 proffered hearsay statements contained sufficient
“safeguards of reliability” and that the interests of justice would be served by the admission
of those statements into evidence. The court found the following six statements admissible
under the statute: (1) portions of a letter that Kathleen wrote to the Will County State’s
Attorney’s office which described a confrontation that Kathleen allegedly had with the
defendant on July 5, 2002, while the divorce proceedings were pending;2 (2) a redacted
version of a handwritten statement that Kathleen gave to the Bolingbrook police describing
the alleged July 5, 2002, incident; (3) a statement that Kathleen allegedly made to her sister,
Anna Doman; (4) a statement that Kathleen allegedly made in late 2003 to Mary Sue Parks,
who attended nursing classes with Kathleen at Joliet Junior College; (5) another statement
that Kathleen allegedly made to Parks; and (6) a statement that Stacy allegedly made to her
pastor, Neil Schori, regarding an encounter that she allegedly had with her husband on the
night Kathleen died.
¶ 11 The circuit court ruled that the remaining eight hearsay statements proffered by the State
did not meet the statutory standard of reliability and that the interests of justice would not
be served by the admission of those statements. The court excluded the following statements
under the statute: (1) statements that Kathleen allegedly made to her other sister, Susan
Doman; (2) a statement that Kathleen allegedly made to her attorney, Harry Smith; (3)
statements that Kathleen allegedly made to her friend, Kristen Anderson, regarding the
alleged July 5, 2002, incident; (4) a statement that Kathleen allegedly made to Issam Karam,
one of her former coworkers; (5) statements that Stacy allegedly made to Michael Miles,
whom she had met at Joliet Junior College in 2002; (6) a statement that Stacy allegedly made
2
Other portions of Kathleen’s letter were redacted by the circuit court.
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to her friend, Scott Rossetto, in the fall of 2007 regarding her alleged encounter with the
defendant on the night Kathleen died; (7) portions of an audiotaped statement made by
Kathleen to an insurance agent; and (8) portions of statements that Kathleen made under oath
during an examination conducted by a Country Insurance agent on August 6, 2003.3 As
noted above, the court also redacted portions of Kathleen’s letter to the Will County State’s
Attorney’s office and her written statement to the Bolingbrook police regarding the alleged
July 2002 incident.
¶ 12 The circuit court’s May 18, 2010, order failed to address whether any of the proffered
statements were admissible under the common law doctrine of forfeiture by wrongdoing, as
the State had requested in its motion. On May 28, 2010, the defendant filed a motion to
clarify the circuit court’s ruling. The defendant’s motion asked the court to clarify whether
it ruled under the common law doctrine. During a hearing held the same day, the court
stated, “I didn’t even get to that. There was no request as to any of the others. I ruled strictly
pursuant–there was a hearing pursuant to the statute.”
¶ 13 On June 30, 2010, the State filed another motion to admit the hearsay statements in
which the State again requested the circuit court to rule on the admissibility of the same
hearsay statements under the common law doctrine of forfeiture by wrongdoing. In both the
body of the June 30 motion and in the prayer for relief, the State asked the court to
“reconsider” its decision to exclude the hearsay statements at issue and urged the court to
admit the statements under the common law doctrine. In seeking this relief, the State relied
upon the Illinois Supreme Court’s decision in People v. Hanson, 238 Ill. 2d 74 (2010), which
was issued on June 24, 2010. The State argued that Hanson had “clarified that the Illinois
common law doctrine of forfeiture by wrongdoing is both a hearsay exception and an
exception to the Confrontation Clause, and that the reliability of any such hearsay statement
is not relevant to its admissibility [under the common law doctrine].” The State also argued
that Hanson had “expressly adopted” Federal Rule of Evidence 804(b)(6), which establishes
a hearsay exception for “[f]orfeiture by wrongdoing,” as the law in Illinois. In the prayer for
relief, the State asked the court to “reconsider its ruling on the statements previously
excluded under the statutory criteria and, pursuant to the common law doctrine of forfeiture
by wrongdoing and Federal Rule of Evidence 804(b)(6), admit those statements at trial.”
¶ 14 The defendant objected that the State’s motion to reconsider was untimely because the
State did not file the motion within 30 days of the circuit court’s May 18 order. On July 6,
the court issued an order denying the State’s motion, which it described as a motion to
reconsider the May 18 ruling. The court’s order did not address the defendant’s argument
that the State’s motion was untimely or provide any specific reasons for its ruling. Two days
3
Because the circuit court record and the parties’ briefs on appeal have been placed under
seal, we have chosen not to reveal the content of these statements. We are concerned that the public
dissemination of these statements could taint the jury pool. It would be particularly ill-advised to
reveal the content of prejudicial statements that were excluded by the circuit court. Accordingly, we
have also chosen not to discuss the details of Eric Peterson’s, Anna Doman’s, and Victoria
Connolly’s testimony regarding prior crimes allegedly committed by the defendant, which the circuit
court excluded.
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later, however, the court stated that its ruling was based on its belief that the statute codified
the common law and that the statute therefore takes precedence over the common law unless
the statute is declared unconstitutional or otherwise invalidated.
¶ 15 On July 7, 2010, one day before the trial was scheduled to begin, the State filed a notice
of appeal and a certificate of impairment. Both of these documents indicated that the State
was appealing the circuit court’s May 18, 2010, order and its July 6 denial of the State’s
“motion to reconsider” that order. In the certificate of impairment, the State asserted that the
circuit court’s May 18, 2010, order suppressing certain hearsay statements substantially
impaired the State’s ability to proceed with the case and rendered the State “unable to
proceed to trial.”
¶ 16 The defendant moved to dismiss the State’s appeal as untimely. The defendant argued
that the State’s appeal was jurisdictionally defective because the State had failed to file either
a motion to reconsider or a notice of appeal within 30 days of the circuit court’s May 18,
2010, order, as required by Illinois Supreme Court Rule 604(a)(1) (eff. July 1, 2006) and
various supreme court decisions construing that rule, including People v. Holmes, 235 Ill.
2d 59, 67-68, 72 (2009). The defendant also argued that the supreme court’s decision in
Hanson did not announce any change in the common law. In response, the State filed a
motion for leave to file a late notice of appeal under Illinois Supreme Court Rule 606(c) (eff.
July 1, 1971). Four days later, the State filed an amended notice of appeal which indicated
that the State was appealing both the circuit court’s May 18 and July 6 orders. The amended
notice omitted any reference to a “motion for reconsideration.”
¶ 17 On August 9, 2010, this court allowed a late notice of appeal to be filed and denied as
moot the defendant’s motion to dismiss the appeal. The defendant then filed a motion for
supervisory order in the Illinois Supreme Court asking the supreme court to order this court
to vacate its ruling allowing the State to file a late notice of interlocutory appeal. The
supreme court denied the defendant’s motion without explanation or analysis.
¶ 18 II. APPEAL Nos. 3-10-0515 AND 3-10-0550: OTHER-CRIMES EVIDENCE
¶ 19 In appeal Nos. 3-10-0515 and 3-10-0550, the State appeals the circuit court’s denial of
the State’s motion in limine to admit other-crimes evidence.4 This evidence included the
testimony of Eric Peterson, the defendant’s son from his first marriage, and Anna Doman,
Kathleen’s sister. Eric and Anna testified regarding an incident of domestic abuse that the
defendant allegedly committed upon Kathleen during their marriage in 1993. The State also
presented the testimony of the defendant’s second wife, Victoria Connolly, who was married
to the defendant from 1982 to 1992. Connolly testified about three instances of threats and/or
abuse that the defendant allegedly committed during their marriage and another alleged
4
The State filed appeal No. 3-10-0515 within 30 days of the circuit court’s oral ruling
denying the State’s motion in limine. Because the circuit court had not yet issued a written order at
that time, the State was concerned that its appeal might be deemed premature. Accordingly, after the
circuit court denied the State’s subsequent motion to issue a written order, the State filed appeal No.
3-10-0550 as a precaution. Both appeals address the same ruling by the circuit court, and the
defendant does not argue that the State’s appeal of this issue is untimely.
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incident involving the defendant which occurred after she had divorced him in 1992. The
State argued that this evidence was admissible under the common law to show the
defendant’s motive and intent to kill Kathleen. It also argued that the evidence was
admissible under section 115-7.4 of the Code (725 ILCS 5/115-7.4 (West 2008) (allowing
the admission of other-crimes evidence for any relevant purpose in domestic violence cases))
to show the defendant’s propensity to commit crimes of domestic violence.
¶ 20 On June 18, 2010, the circuit court held a hearing on the State’s motion. In an oral ruling
issued during the hearing, the court excluded the State’s other-crimes evidence under section
115-7.4 of the Code and the common law because it considered the evidence too remote. In
this regard, the court focused on the timing of the incidents and indicated that the State’s
inability to show a continuing course of domestic violence rendered the evidence
inadmissible. Maintaining that the circuit court’s order effectively suppressed evidence, the
State filed a certificate of impairment and a timely notice of appeal on July 7, 2010.
¶ 21 III. APPEAL Nos. 3-10-0513 AND 3-10-0546:
ADMISSIBILITY OF PROPOSED EXPERT TESTIMONY
¶ 22 In appeal Nos. 3-10-0513 and 3-10-0546, the State appeals the circuit court’s granting
of the defendant’s motion in limine to exclude the testimony of Diane Panos, an attorney
whom the State intended to call as an expert witness.5 The State intended to present Panos’s
opinion on the minimum possible financial impact that the marital property distribution
proceeding would have had on the defendant had Kathleen lived. Panos’s proposed opinion
included a prediction of what the judge would have ruled at the hearing.
¶ 23 On July 2, 2010, the circuit court ruled that Panos could testify as to the statutory factors
that would have been applicable to the marital property distribution case between Kathleen
and the defendant. However, after commenting that “[y]ou can’t sit there and tell a jury that
this judge is going to do this when we have no idea what the judge is going to do,” the court
prohibited Panos from testifying as to how the judge in the divorce case would have
ultimately ruled at the marital property distribution proceeding. Further, the court also
prohibited Panos from testifying as to what the defendant’s attorney in that case would have
advised him to expect to occur. In this regard, the court stated, “[t]hat’s not an opinion
coming into a criminal case based upon the facts that are there, and that’s not an opinion
that’s going to go to a jury. This is a murder case. This is not a malpractice case with what
a judge was going to do.” On July 7, 2010, the State filed a certificate of impairment and a
timely notice of appeal from the court’s ruling limiting Panos’s testimony.
¶ 24 ANALYSIS
¶ 25 I. ADMISSIBILITY OF HEARSAY STATEMENTS UNDER THE
5
Although appeal No. 3-10-0513 was filed within 30 days of the circuit court’s oral ruling
on this issue, the defendant filed appeal No. 3-10-0546 as a precaution in case appeal No. 3-10-0513
was deemed premature. (See supra note 4.) The defendant does not argue that the State’s appeal of
this issue is untimely.
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COMMON LAW DOCTRINE OF FORFEITURE BY WRONGDOING
¶ 26 The State’s argument in appeal No. 3-10-0514 relates to the circuit court’s rulings on the
admissibility of the aforementioned eight hearsay statements allegedly made by Kathleen
Savio and Stacy Peterson. Although the circuit court’s May 18, 2010, order admitted several
other hearsay statements allegedly made by Kathleen and Stacy under section 115-10.6 of
the Code (725 ILCS 5/115-10.6 (West 2008) (hearsay exception for the intentional murder
of a witness)), it excluded the eight statements at issue partly because it found that they
“[did] not provide sufficient safeguards of reliability as to the time, contents, and
circumstances of the statements,” as required by that statute. The State argues that the circuit
court’s refusal to admit these statements under the common law was an error that
substantially impairs the State’s ability to prosecute the defendant.
¶ 27 Although it is tempting to address the merits of the State’s argument, we must resist this
temptation because we lack jurisdiction to consider the State’s appeal of this issue.
¶ 28 A. Rule 604(a)(1) and the Taylor Rule
¶ 29 Supreme Court Rule 604(a)(1) authorizes the State to appeal certain types of
interlocutory orders issued in criminal matters. Ill. S. Ct. R. 604(a)(1) (eff. July 1, 1969).
Whether the State may appeal a particular order on an interlocutory basis “depends solely
upon [the supreme court’s] construction of *** Rule 604(a)(1).” (Internal quotation marks
omitted.) People v. Holmes, 235 Ill. 2d 59, 66 (2009). In People v. Taylor, 50 Ill. 2d 136
(1971), and its progeny, the supreme court established a procedural framework governing
interlocutory appeals under Rule 604(a)(1). Holmes, 235 Ill. 2d at 62. This framework,
which is commonly referred to as the “Taylor rule,” prescribes jurisdictional time limits for
appeals brought under Rule 604(a)(1). Specifically, the Taylor rule requires a party seeking
review of an order appealable under Rule 604(a)(1) to either appeal or file a motion to
reconsider the order within 30 days. Holmes, 235 Ill. 2d at 72; People v. Williams, 138 Ill.
2d 377, 394 (1990). An exception to the Taylor rule permits review beyond the 30-day frame
only when there is “a material change in the facts that could not have been presented earlier
with due diligence.” (Emphasis added.) Holmes, 235 Ill. 2d at 61, 67; see also Williams, 138
Ill. 2d at 394.
¶ 30 The 30-day time limit established by the Taylor rule is jurisdictional. Holmes, 235 Ill.
2d at 68, 72 (describing the Taylor rule as a “jurisdictional barrier”). Thus, if the State fails
to file a motion to reconsider a trial court’s order or a notice of appeal within 30 days of the
issuance of the order, this court has no jurisdiction to hear any subsequently filed appeal of
that order unless the State shows a material change in the facts that could not have been
presented earlier with due diligence. Holmes, 235 Ill. 2d at 67-68, 72; Williams, 138 Ill. 2d
at 394.
¶ 31 The order at issue in this case was issued by the circuit court on May 18, 2010. Under
the Taylor rule, the State was required to file a motion to reconsider or a notice of appeal
within 30 days, i.e., by June 17, 2010. The State did neither. Instead, it filed a motion for
reconsideration 43 days after the court’s May 18 order and a notice of appeal 50 days after
that order. These filings fell outside the jurisdictional deadline prescribed by the Taylor rule.
Accordingly, we have jurisdiction to hear the State’s appeal of the circuit court’s May 18
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order only if the State can show that there has been a material change in the facts that could
not have been presented earlier with due diligence.
¶ 32 The State argues that the supreme court’s decision in Hanson–which was issued one
week after the 30-day deadline for appealing the May 18 order had expired–“marked a
material change in the law of the doctrine of forfeiture by wrongdoing” that was “akin to a
change in the facts” under the Taylor rule. In Hanson, the supreme court upheld the trial
court’s admission of certain nontestimonial hearsay statements against a murder defendant
under the common law doctrine of forfeiture by wrongdoing. Hanson, 238 Ill. 2d at 96-99.
In so holding, the supreme court rejected the defendant’s argument that statements are
admissible under the common law doctrine only if they are testimonial and only if they
“show some measure of reliability.” Hanson, 238 Ill. 2d at 96, 97-99. The State asserts the
supreme court’s decision in Hanson was the first time that the court expressly recognized
that the common law doctrine is both a hearsay exception and an exception to the
confrontation clause, and that the admissibility of a hearsay statement under the common law
doctrine does not depend upon a showing that the statement is reliable.
¶ 33 We disagree. Assuming arguendo that a change in the governing law could trigger the
Taylor rule’s exception for a “material change in facts”–a question which we do not
decide–the State cannot show that any change in the applicable law occurred here. The
common law doctrine of forfeiture by wrongdoing was recognized by the United States
Supreme Court as early as 1878. Hanson, 238 Ill. 2d at 96. In 1997, the doctrine was
codified at the federal level by Federal Rule of Evidence 804(b)(6) as an exception to the
general rule against hearsay. Fed. R. Evid. 804(b)(6); Hanson, 238 Ill. 2d at 96; Giles v.
California, 554 U.S. 353, 367 (2008). Rule 804(b)(6) provides a hearsay exception for “[a]
statement offered against a party that has engaged or acquiesced in wrongdoing that was
intended to, and did, procure the unavailability of the declarant as a witness.” Fed. R. Evid.
804(b)(6). The rule does not condition the admissibility of such statements upon a showing
that the statements are trustworthy or reliable. Fed. R. Evid. 804(b)(6); United States v.
White, 116 F.3d 903, 912-13 (D.C. Cir. 1997).6 In a case decided more than three years
before Hanson, our supreme court adopted the common law doctrine as the law of Illinois
and expressly recognized that the doctrine was “coextensive with” Federal Rule 804(b)(6),
which was a “codifi[cation]” or “legislative enactment” of the doctrine. People v. Stechly,
225 Ill. 2d 246, 272-73 (2007) (citing Davis v. Washington, 547 U.S. 813, 833 (2006)).
¶ 34 Thus, contrary to the State’s argument, it was clear long before Hanson that the common
6
See also, e.g., Anthony Bocchino & David Sonenshein, Rule 804(b)(6)–The Illegitimate
Child of the Failed Liaison Between the Hearsay Rule and Confrontation Clause, 73 Mo. L. Rev. 41
(2008) (noting that, unlike the other hearsay exceptions, Rule 804(b)(6) “admits out-of-court
statements bearing no indicia of trustworthiness” and “allows for the admission of any relevant
statement made by the absent hearsay declarant irrespective of the trustworthiness of that statement”);
Kelly Rutan, Comment, Procuring the Right to an Unfair Trial: Federal Rule of Evidence 804(b)(6)
and the Due Process Implications of the Rule’s Failure to Require Standards of Reliability for
Admissible Evidence, 56 Am. U.L. Rev. 177, 179 (2006) (noting that “unlike other exceptions to the
hearsay rule, the [Federal Advisory] Committee adopted the forfeiture by wrongdoing rule [in Rule
804(b)(6)] without any standards of reliability or particular guarantees of trustworthiness”).
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law doctrine of forfeiture by wrongdoing was a general hearsay exception in Illinois and that
the admission of hearsay statements under the doctrine did not depend upon a showing of
reliability. See Stechly, 225 Ill. 2d at 272-73; see also Michael H. Graham, Graham’s
Handbook of Illinois Evidence § 804.5, at 985 (10th ed. 2011) (citing Stechly for the
proposition that “[a] statement offered against a party that has engaged or acquiesced in
wrongdoing that was intended to, and did, procure the unavailability of the declarant as a
witness is admissible as an exception to the rule against hearsay” (emphasis added));
Graham, supra, § 804.9, at 998-99 (stating that the common law forfeiture rule “results in
the forfeiture of the defendant’s right to confront witnesses against him as well as the right
to object to inadmissible hearsay” (emphasis added), and noting that Stechly did not require
a finding of “sufficient safeguards of reliability” with respect to statements admitted under
the forfeiture rule (emphasis added)); Bocchino & Sonenshein, supra, at 81 (noting that
Stechly adopted the common law doctrine as a general hearsay exception in Illinois without
requiring a showing of trustworthiness).
¶ 35 Hanson further confirms this point. Hanson did not purport to expand or change the
existing common law rule in any way. To the contrary, in Hanson, the supreme court noted
that it had “already expressed” in Stechly that the common law doctrine was “coextensive
with” Rule 804(b)(6), which “is a general exception to the hearsay rule.” Hanson, 238 Ill.
2d at 97. Thus, when it stated in Hanson that the common law doctrine serves as an
exception to the hearsay rule under Illinois law, the supreme court merely “expressly
recognize[d]” something that was “left unsaid” but already clearly established by implication
in Stechly. Hanson, 238 Ill. 2d at 97.
¶ 36 In addition, Hanson’s holding that the common law doctrine does not require a showing
of reliability was not an alteration or even a clarification of the existing law. Rather, it was
merely a straightforward statement of traditional common law principles. In rejecting the
defendant’s argument that the common law doctrine required a showing of reliability, the
court stated that the defendant had “misapprehend[ed] the purpose” of the common law
doctrine, which provides for the forfeiture of hearsay objections on equitable grounds.
Hanson, 238 Ill. 2d at 97-98. The common law rule provides that a defendant who
intentionally prevents a witness from testifying against him forfeits the right to challenge the
reliability of the witness’s hearsay statement. White, 116 F.3d at 912-13. Thus, the common
law rule has never required a showing of additional indicia of reliability. White, 116 F.3d at
912-13; cf. Crawford v. Washington, 541 U.S. 36, 62 (2004) (noting that “the [common law]
rule of forfeiture by wrongdoing *** extinguishes confrontation claims on essentially
equitable grounds; it does not purport to be an alternative means of determining reliability”).
Such a requirement would “undermine the equitable considerations at the center of the
doctrine.” Hanson, 238 Ill. 2d at 98. Thus, the supreme court did not change the law as to
this issue in Hanson; rather, it rejected the defendant’s invitation to change the law by
imposing a requirement of reliability.7
7
During oral argument, the State suggested that the application of the common law doctrine
in Illinois was uncertain prior to Hanson because some other jurisdictions that had adopted the
common law doctrine had required a showing of reliability. However, the State never raised this
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¶ 37 Moreover, even if Hanson did clarify the common law rule in some material respects,
that would not excuse the State’s failure to file a timely appeal or motion to reconsider the
circuit court’s May 18 order. The State’s January 4, 2010, motion to admit the hearsay
statements at issue was based on both the statute and the common law rule. However, the
court’s May 18, 2010, order did not address the common law rule or reserve ruling on that
issue. Ten days later, in response to the defendant’s motion for clarification, the circuit court
confirmed that it did not consider the common law doctrine in rendering its decision. For that
reason alone, the State could have appealed or moved to reconsider the order within 30 days.
This remains true even if the State reasonably believed, based on the law in existence at that
time, that the common law forfeiture rule was merely an exception to the confrontation
clause that applied only to testimonial statements, rather than a general hearsay exception
that applied to nontestimonial statements. As the State conceded during oral argument, some
of the hearsay statements that the circuit court excluded were testimonial statements. At a
minimum, the State could have timely appealed the circuit court’s exclusion of those
statements under Stechly.8
¶ 38 In sum, the State had ample grounds to appeal or move to reconsider the circuit court’s
May 18 order within 30 days, and there was no “material change in facts” (or law) in this
case that would excuse the State’s failure to comply with the Taylor rule’s jurisdictional
deadline.
¶ 39 The State argues in the alternative that its appeal was timely because the court did not
rule on the common law issue until July 6, 2010, one day before the State filed its notice of
appeal. The State argues that, in its May 18 order, the circuit court ruled that the eight
hearsay statements at issue were inadmissible under the statute, but it did not rule on the
admissibility of those statements under the common law doctrine. The court did not
expressly rule on the common law doctrine until July 6 when it denied the State’s June 30
motion. The State claims that its July 7 notice of appeal addressed that ruling only, not the
court’s May 18 ruling that the statements were inadmissible under the statute. In essence, the
State suggests that its June 30 motion addressed an entirely separate and independent issue
which was not decided by the court until July 6. Thus, the State claims that its July 7 notice
of appeal was timely under the Taylor rule.
¶ 40 We disagree. First, contrary to the State’s suggestion, the State’s June 30 motion did not
raise any new issues. To the contrary, it raised the identical issue that the State had
previously raised in its January 4 motion. In both motions, the State asked the court to admit
argument in its briefs. The argument is therefore waived. In any event, the law in other jurisdictions
is irrelevant because, as shown above, the application of the common law doctrine in Illinois was
clear long before Hanson.
8
In any event, the State’s conduct in this case belies any claim that the State believed that the
common law doctrine applied only to testimonial statements prior to Hanson. The State’s January
4, 2010, motion to admit the hearsay statements at issue, which was filed almost six months before
Hanson was decided, argued for the admission of all of the proffered statements under the common
law doctrine. The State did not limit its arguments under the common law doctrine to the testimonial
statements.
-11-
the same 14 hearsay statements under the common law doctrine of forfeiture by wrongdoing.
After the circuit court issued its May 18 order refusing to admit eight of the statements, the
State filed its June 30 motion asking the court to “reconsider” its refusal to admit those
statements and reasserting its argument that the statements were admissible under the
common law. Both the circuit court and the State treated the State’s June 30 motion as a
motion to reconsider the court’s May 18 ruling rather than a new, independent motion. The
court referred to the State’s June 30 motion as a motion to reconsider in its July 6 written
order denying the motion. Similarly, in its initial notice of appeal and certificate of
impairment, the State characterized its June 30 motion as a motion to reconsider the circuit
court’s May 18 order. In addition, the State’s certificate of impairment and all of the notices
of appeal filed by the State indicated that the State was appealing both the circuit court’s
May 18 order and its July 6 order. This refutes any suggestion that the State has appealed
only the July 6 order.
¶ 41 Moreover, the fact that the circuit court did not rule on or even consider the common law
doctrine in its May 18 order does not affect the analysis under the Taylor rule. Our supreme
court has held that the Taylor rule’s jurisdictional bar “resembles the doctrine of res
judicata” in that it is “not limited to issues actually considered, but also covers any issues
that could have been raised in the earlier proceeding.” (Emphasis added.) Holmes, 235 Ill.
2d at 67; see also Williams, 138 Ill. 2d at 390-91 (“[N]one of our Taylor line of cases limited
the Taylor rule only to those subsidiary issues that may actually have been considered ***.
*** Each of the Taylor line of cases speaks of an order itself, not merely of issues upon
which the order may or may not have turned.”). In other words, the Taylor rule applies to
appealable suppression orders per se, not merely to the legal grounds upon which those
suppression orders were decided. Holmes, 235 Ill. 2d at 67; Williams, 138 Ill. 2d at 390-91.
¶ 42 In this case, the State’s January 4 motion asked the circuit court to admit 14 statements
under both the statute and the common law. The court ruled as to the admissibility of each
of those statements in its May 18 order and it did not reserve ruling as to any of those
statements. Thus, the circuit court’s May 18 order was an appealable order under Rule
604(a) (People v. Abata, 165 Ill. App. 3d 184, 186-87 (1988); Williams, 138 Ill. 2d at 391),
and the Taylor rule’s 30-day time limit started to run upon issuance of that order. The fact
that the May 18 order did not address every legal theory or ground for admission raised in
the State’s motion did not change this fact. Holmes, 235 Ill. 2d at 67; Williams, 138 Ill. 2d
at 390-91. Under the Taylor rule, the State was required to appeal or move to reconsider the
May 18 order within 30 days. Because the State failed to do so, it was barred from
relitigating the suppression of those hearsay statements before the circuit court under any
legal theory that was raised or could have been raised in the initial motion, even a theory that
was not previously considered by the circuit court. Holmes, 235 Ill. 2d at 67; Williams, 138
Ill. 2d at 390-91; see also People v. Daniels, 346 Ill. App. 3d 350, 360 (2004); People v.
Lawson, 327 Ill. App. 3d 60, 67 (2001). That includes the State’s argument for the admission
of the hearsay statements under the common law, an argument that the State actually did
raise in its initial motion. Accordingly, both the State’s June 30 motion to reconsider and its
subsequent notices of appeal were untimely and jurisdictionally barred.
¶ 43 The dissent takes issue with this analysis in several respects. Although we disagree with
-12-
many of the assertions contained in the dissenting opinion, in the interest of brevity we will
address only what we take to be the dissent’s principal challenges to our analysis. We do this
in order to dispel any potential confusion regarding our holding.
¶ 44 First, the dissent contends that the State’s June 30 motion was timely filed because it
sought to secure a ruling on the common law argument that the State had raised in its initial
motion but that the circuit court had “ignored” in its May 18 order. Infra ¶¶ 92, 96; see also
infra ¶¶ 85-91. Based on this premise, the dissent maintains that the State’s appeal of the
circuit court’s order denying the State’s June 30 motion was timely, and that the Taylor rule
does not apply. Infra ¶¶ 85-96. The dissent fails to recognize that it is the circuit court’s
suppression order itself–not a ruling on the subsidiary issues or legal theories upon which
the order may or may not have turned–that triggers the 30-day deadline for appeal or
reconsideration under the Taylor rule. Williams, 138 Ill. 2d at 391. After that deadline has
passed, the order suppressing evidence bars the litigation or appeal of any legal issues that
could have been asserted in favor of the admission of that evidence, whether those issues
were raised before the suppression order was issued (as here) or not. Williams, 138 Ill. 2d
at 392 (holding that, like res judicata, the Taylor rule applies to all issues that “were or could
have been” raised earlier).9 In short, for purposes of the Taylor rule, what matters is the
circuit court’s judgment suppressing the evidence, not its reasons for doing so.
¶ 45 Here, the court issued an order on May 18 excluding some of the hearsay statements
proffered by the State. That suppression order was immediately appealable under the Taylor
rule regardless of whether it addressed each (or any) theory of admissibility raised by the
State. Holmes, 235 Ill. 2d at 67; Williams, 138 Ill. 2d at 391. Thus, if the State desired either
to appeal that suppression order or challenge the order before the circuit court, it was
required to do so within 30 days. The fact that the May 18 order did not expressly address
the State’s common law argument or explain the circuit court’s reasons for disregarding that
argument is immaterial. After 30 days passed, the State could no longer challenge the circuit
court’s suppression of the 8 statements at issue unless it could show “a material change in
the facts that could not have been presented earlier with due diligence.” Holmes, 235 Ill. 2d
at 61, 67; see also Williams, 138 Ill. 2d at 394. The State has failed to make such a showing.
Thus, the State’s June 30 motion was untimely, and we lack jurisdiction to review the circuit
court’s denial of that motion.10
¶ 46 The dissent’s assertion that the State could not have appealed or moved to reconsider the
9
This distinguishes both res judicata and the Taylor rule from the doctrine of collateral
estoppel, which applies only “to the precise factual or legal issues actually litigated and decided when
a prior order was entered.” Williams, 138 Ill. 2d at 393.
10
The dissent’s contention that the State has appealed only the circuit court’s denial of the
State’s June 30 motion (and not the May 18 order) (infra ¶¶ 85, 89, 96) is incorrect. As noted above,
the State’s certificate of impairment and all of the State’s notices of appeal indicate that the State has
appealed both the circuit court’s May 18 order and its July 6 order. In any event, even if the State had
appealed only the denial of the June 30 motion, it would not change the fact that we lack jurisdiction.
Because the June 30 motion was untimely under the Taylor rule, the State’s interlocutory appeal of
the circuit court’s denial of that motion is jurisdictionally barred. Holmes, 235 Ill. 2d at 64, 72.
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circuit court’s May 18 order until it obtained a ruling on its common law argument is
incorrect. See infra ¶¶ 90-93. As noted above, the May 18 order ruled on the admissibility
of each of the hearsay statements proffered by the State and was therefore immediately
appealable under the Taylor rule even if it did not address every legal argument raised by the
State. Williams, 138 Ill. 2d at 391. Thus, the dissent’s reliance upon cases in which a litigant
failed to obtain a ruling on a motion or trial objection before filing an appeal is misplaced.
See infra ¶¶ 90-91 (citing Lipsey v. People, 227 Ill. 364, 373 (1907), and People v. Urdiales,
225 Ill. 2d 354, 425 (2007)); see also infra ¶ 92. Moreover, contrary to the dissent’s
suggestion, the State could have moved the circuit court to reconsider its May 18 order
within 30 days of the issuance of that order. The May 18 order ruled on the admissibility of
all of the statements proffered by the State and ruled that eight of those statements were
inadmissible. The order did not reference the State’s argument under the common law. Thus,
from the moment the May 18 order was issued, it was clear that the court had issued a
judgment adverse to the State and that the court had not admitted any of the proffered
statements under the common law.11 Accordingly, the State could have immediately filed a
motion asking the court to reconsider its failure to admit the statements under the common
law. The State did in fact file just such a motion on June 30, two weeks too late. Neither the
State nor the dissent offers any plausible reason why the State could not have filed that
motion within 30 days of the May 18 order, as required by the Taylor rule.12
11
Even if this were somehow in doubt on May 18, any possible doubt was eliminated ten days
later. For reasons that are not clear, the defendant filed a motion on May 28 asking the circuit court
to clarify whether it had ruled under the common law doctrine. During a hearing held the same day,
the court stated “I didn’t even get to that. There was no request as to any of the others. I ruled strictly
pursuant–there was a hearing pursuant to the statute.” Thus, within the 30-day deadline, the State was
on notice that the circuit court had failed to admit any of the proffered statements under the common
law.
12
The dissent asserts that the June 30 motion “could not have been a motion to reconsider the
May 18 order” because “the circuit court could not reconsider something that it never considered in
the first place.” Infra ¶ 93. Once again, however, the dissent erroneously focuses on subsidiary legal
issues instead of the order or judgment itself. In the May 18 order, the circuit court issued a judgment
denying some of the the relief the State sought in its initial motion (i.e., it refused to admit 8 of the
14 statements proffered by the State). Thus, the State could have moved the court to reconsider its
judgment as to those statements. In support of such a motion, the State could have raised any legal
arguments previously raised in support of its initial motion, including the common law argument not
addressed in the May 18 order. Contrary to the dissent’s assertion, litigants commonly file motions
to reconsider when a circuit court issues an order that denies relief on one ground but fails to address
an alternative ground for relief that the litigant had raised in its initial motion. See, e.g., CSM
Insurance Building, Ltd. v. Ansvar America Insurance Co., 272 Ill. App. 3d 319, 321 (1995) (noting
that the defendant had filed a motion to reconsider the circuit court’s denial of its motion to dismiss
because the court’s order did not address one of the grounds asserted in the initial motion); see also
People v. R.J. Reynolds Tobacco Co., 2011 IL App (1st) 101736, ¶ 14 (noting that the State moved
the circuit court to reconsider its order ruling that the defendant had not violated a master settlement
agreement where the court failed to rule on a pertinent legal issue).
-14-
¶ 47 In the alternative, the dissent suggests that, even if the Taylor rule does apply, the State
should nevertheless be allowed to challenge the circuit court’s May 18 order because the
order contravenes our supreme court’s holding in Hanson and is therefore “manifestly
erroneous.” Infra ¶ 114; see also infra ¶¶ 115-17. In support of this suggestion, the dissent
cites cases recognizing an exception to the law-of-the-case doctrine “when the supreme
court, following the first appeal, makes a contrary ruling on the precise issue of law on
which the appellate court based its first opinion.” However, those cases do not support the
dissent’s position. As shown above, Hanson did not effect any material change in the
common law doctrine of forfeiture by wrongdoing. Three years before Hanson was decided,
the supreme court ruled that Illinois’s common law doctrine of forfeiture by wrongdoing was
“coextensive with” Federal Rule 804(b)(6), which is a hearsay exception that has never
required a showing of reliability as a condition for admissibility. Thus, even assuming
arguendo that the law-of-the-case principles cited by the dissent applied here, they could not
justify an untimely reconsideration of the May 18 order.
¶ 48 Moreover, the fact that the May 18 order is arguably in tension with the Illinois common
law of forfeiture by wrongdoing as articulated by the supreme court in Stechly and Hanson
does not render the order nonbinding under the Taylor rule. As noted above, the Taylor rule
“most resembles [the doctrine of] res judicata” (Williams, 138 Ill. 2d at 392; see also id. at
393) which “is not dependent upon the correctness of the judgment *** on which it is based”
(People v. Kidd, 398 Ill. 405, 410 (1947)). Even a “manifestly erroneous” judgement issued
by a court of competent jurisdiction “is binding upon all parties and privies until it is
reversed or set aside.” Id. at 409; see also Pierog v. H.F. Karl Contractors, Inc., 39 Ill. App.
3d 1057, 1060 (1976) (“The res judicata effect of a prior judgment is not mitigated by the
fact that it rests upon an erroneous view of the law; nor is the value of a plea of res judicata
determined by the reasons given by a court in support of the prior judgment.”). Thus, if a
party fails to timely appeal a valid but erroneous judgment entered against it, res judicata
bars re-litigation of any issues that were raised or could have been raised below. See, e.g.,
Patzner v. Baise, 144 Ill. App. 3d 42, 44 (1986). Because the Taylor rule’s “closest
analogue” is res judicata, the same principle should apply here. See Williams, 138 Ill. 2d at
390 (citing Harris v. Chicago House Wrecking Co., 314 Ill. 500 (1924) for the proposition
that an unappealed order binds a party “no matter how erroneous it might have been at the
time it was entered”). The Taylor rule would be meaningless if the preclusive effect it
affords could be avoided based merely on a claim that the circuit court’s order involved legal
error.
¶ 49 B. Rule 606
¶ 50 The State also argues, however, that its failure to file a timely appeal should be excused
under Supreme Court Rule 606. Rule 606 addresses the perfection of appeals in criminal
cases. Rule 606(b) provides that a notice of appeal must be filed within 30 days after the
entry of the judgment or order appealed from or, if a motion for reconsideration is “timely”
filed in the circuit court, within 30 days after the entry of the order disposing of the motion.
Ill. S. Ct. R. 606(b) (eff. Jan. 1, 1970); People v. Marker, 233 Ill. 2d 158, 168-78 (2009).
This rule applies to interlocutory appeals brought by the State under Rule 604(a). Marker,
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233 Ill. 2d at 168-78 (holding that State’s motion to reconsider the circuit court’s
interlocutory order suppressing evidence, which was filed within 30 days of the issuance of
the suppression order, tolled the 30-day period for filing a notice of appeal under Rule
606(b)). Rule 606(c) provides for extensions of time to file notices of appeal in certain
circumstances. Where the appellant files a notice of appeal within 30 days of the expiration
of the time for filing a notice of appeal, as the State has done here, Rule 606(c) provides that
the reviewing court may allow a late notice of appeal to be filed if the appellant files a
motion with the court that is “supported by a showing of reasonable excuse for failing to file
a notice of appeal on time.” Ill. S. Ct. R. 606(c) (eff. July 1, 1971).
¶ 51 Rule 606 cannot excuse the State’s failure to file a timely appeal in this case. First, the
State’s June 30 motion to reconsider did not toll the 30-day deadline for filing a notice of
appeal under Rule 606(b) because, as noted above, that motion was not timely. Second, the
State is not entitled to file a late notice of appeal under Rule 606(c) because the State has
failed to show a “reasonable excuse” for its untimely appeal. The only excuse that the State
offers for its tardiness is its claim that Hanson changed the common law doctrine of
forfeiture by wrongdoing. As shown above, however, that claim is unsupportable.13 Thus,
the State may not invoke Rule 606(c) in this case.
¶ 52 The fact that the supreme court denied the defendant’s motion for a supervisory order
which sought to vacate this court’s ruling allowing the State to file a late notice of
interlocutory appeal under Rule 606(c) is of no consequence. “[The] supreme court’s denial
of a motion for a supervisory order does not have the effect of a ruling on any issue, nor does
it support the decision of the lower court.” People ex rel. Madigan v. Illinois Commerce
Comm’n, 407 Ill. App. 3d 207, 218 (2010); see also Roth v. St. Elizabeth’s Hospital, 241 Ill.
App. 3d 407, 417 (1993) (reversing the circuit court’s ruling and rejecting the circuit court’s
finding that the supreme court’s denial of the appellant’s motion for supervisory order
supported the circuit court’s ruling and decided the matter at issue). Moreover, it would be
particularly inappropriate to assume that the supreme court decided the merits of the
jurisdictional issue raised by the defendant’s motion in this case because the State urged the
supreme court to reject the defendant’s motion for reasons other than the merits of the
jurisdictional issue; for example, the State argued that the defendant’s motion should be
denied because the defendant had sought the wrong remedy and because he had failed to
provide a proper supporting record to the supreme court. Thus, there is no reasonable basis
to conclude that the supreme court’s denial of the defendant’s motion was a determination
13
In cases involving interlocutory appeals brought by the State, Rule 606(c) must be read in
concert with Rule 604(a)(1) and the cases construing that rule. As noted above, the supreme court
decisions construing Rule 604(a)(1) hold that the State may file a late motion to reconsider a circuit
court’s order suppressing evidence and obtain interlocutory appellate review outside the 30-day
deadline only if it can show “a material change in the facts that could not have been presented earlier
with due diligence.” Holmes, 235 Ill. 2d at 61, 67; see also Williams, 138 Ill. 2d at 394. Thus, where
the State files an untimely interlocutory appeal of a circuit court’s suppression order, as here, the
State can show a “reasonable excuse” for its untimely appeal under Rule 606(c) only if it can show
a material change in the facts that could not have been presented earlier with due diligence. As shown
above, the State has failed to make such a showing.
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of the merits. In any event, the State notes in its reply brief that it “do[es] not dispute
defendant’s right to request that this Court revisit the jurisdictional issue.”
¶ 53 Accordingly, the State may not invoke Rule 606(c) to save its untimely appeal in this
case. Although we initially granted the State leave to file a late notice of appeal, we have a
continuing obligation to review our own jurisdiction over any matter before us. This
obligation includes the duty to reconsider the question of our jurisdiction if our earlier ruling
finding jurisdiction appears to be erroneous. Fair Automotive Repair, Inc. v. Car-X Service
Systems, Inc., 128 Ill. App. 3d 763, 773 (1984). Upon further review, we conclude that Rule
606(c) cannot cure the jurisdictional defect in this case. Because the Taylor rule operates to
bar the State’s appeal of the circuit court’s order refusing to admit certain hearsay statements
and the State has shown no “reasonable excuse” for its untimely appeal, we lack jurisdiction
and appeal No. 3-10-0514 must be dismissed.
¶ 54 C. “Suppression” Under Rule 604(a)(1)
¶ 55 There is an additional potential jurisdictional concern that bears mentioning. Although
we do not decide the issue, we note that the circuit court’s exclusion of some of the eight
hearsay statements at issue might not amount to the “suppression of evidence” under Rule
604(a)(1). In pertinent part, Rule 604(a)(1) provides that “[i]n criminal cases the State may
appeal only from an order or judgment the substantive effect of which results in ***
suppressing evidence.” Ill. S. Ct. R. 604(a)(1) (eff. July 1, 1969). Whether an order has the
substantive effect of suppressing evidence is a jurisdictional issue which the reviewing court
must decide. In re K.E.F., 235 Ill. 2d 530, 537 (2009); People v. Truitt, 175 Ill. 2d 148, 151-
52 (1997), abrogated on other grounds, People v. Miller, 202 Ill. 2d 328 (2002). In making
this determination, we do not defer to the parties or the circuit court. In re K.E.F., 235 Ill.
2d at 538. An order has the substantive effect of suppressing evidence where it prevents
information from being presented to the jury. In re K.E.F., 235 Ill. 2d at 538; Truitt, 175 Ill.
2d at 152. Thus, if the information excluded by the circuit court could be presented to the
jury in some other manner, then the exclusion does not have the substantive effect of
suppressing evidence under Rule 604(a). In re K.E.F., 235 Ill. 2d at 538; Truitt, 175 Ill. 2d
at 152; People v. Baltimore, 381 Ill. App. 3d 115, 124-25 (2008). The reviewing court lacks
jurisdiction to hear an interlocutory appeal in such cases. Truitt, 175 Ill. 2d at 153.
¶ 56 Here, the content of at least some of the hearsay statements that the circuit court
excluded can be presented to the jury in another manner because other statements that the
court found admissible express the same information. For example, the circuit court
excluded a statement which Stacy allegedly made to Scott Rossetto regarding her alleged
encounter with the defendant on the night that Kathleen died. However, Stacy allegedly
made a similar statement to her pastor in which she recounted the same incident in greater
detail. The court found the latter statement admissible under the statute. In addition, the
circuit court excluded a statement that Kathleen allegedly made to Kristen Anderson
regarding a confrontation between Kathleen and the defendant that allegedly took place in
July 2002. However, Kathleen told the same story in far greater detail in her letter to the Will
County State’s Attorney and in her written report of the incident to the Bolingbrook police,
-17-
both of which the circuit court found admissible under the statute.14 Thus, the circuit court’s
exclusion of Stacy’s alleged statement to Rossetto and Kathleen’s alleged statement to
Anderson arguably does not have the substantive effect of suppressing evidence under Rule
604(a).
¶ 57 II. ADMISSIBILITY OF OTHER-CRIMES EVIDENCE
¶ 58 In appeal Nos. 3-10-0515 and 3-10-0550, the State argues that the circuit court erred
when it denied the State’s motion in limine with regard to other-crimes evidence.
Specifically, the State contends that the court erroneously excluded the testimony of Eric
Peterson, Anna Doman, and Victoria Connolly.
¶ 59 The question of whether other-crimes evidence is admissible is a matter within the circuit
court’s discretion. People v. Dabbs, 239 Ill. 2d 277, 284 (2010). We review the court’s ruling
on the admissibility of other-crimes evidence with deference (People v. Donoho, 204 Ill. 2d
159, 186 (2003)), and we will not disturb that ruling absent an abuse of discretion (Dabbs,
239 Ill. 2d at 284)). A trial court abuses its discretion when its ruling is “arbitrary, fanciful,
unreasonable,” or when “no reasonable [person] would take the view adopted by the trial
court.” (Internal quotation marks omitted.) People v. Illgen, 145 Ill. 2d 353, 364 (1991).
¶ 60 At common law, other-crimes evidence is admissible only if it is relevant to matters other
than the defendant’s propensity to commit crimes, such as the motive and intent of the
accused. Dabbs, 239 Ill. 2d at 284-85; Illgen, 145 Ill. 2d at 364; see also Ill. R. Evid. 404(b)
(eff. Jan. 1, 2011). However, Section 115-7.4 of the Code (725 ILCS 5/115-7.4 (West 2008))
abrogates the common law rule in prosecutions for certain crimes of domestic violence.
Dabbs, 239 Ill. 2d at 284, 288. In such cases, evidence of the defendant’s commission of
another offense or offenses of domestic violence is admissible and “may be considered for
its bearing on any matter to which it is relevant” (emphasis added) (725 ILCS 5/115-7.4
(West 2008)), including the defendant’s propensity to commit crimes of domestic violence
(Dabbs, 239 Ill. 2d at 291, 295). Thus, in domestic violence cases, if other-crimes evidence
is relevant to show the defendant’s propensity to commit such crimes, the evidence will be
excluded only if its prejudicial effect outweighs its probative value. Dabbs, 239 Ill. 2d at
291. Evidence that the defendant has committed other offenses of domestic violence is
admissible under section 115-7.4 whether it relates to the same victim or other victims.
Dabbs, 239 Ill. 2d at 293-94.
¶ 61 However, evidence of prior acts of domestic violence may not be admitted under section
115-7.4 if the probative value of the evidence is substantially outweighed by the risk of
undue prejudice to the defendant. Dabbs, 239 Ill. 2d at 291. The same limitation applies
under the common law. See, e.g., People v. Turner, 373 Ill. App. 3d 121, 127 (2007); People
v. Smith, 236 Ill. App. 3d 1060, 1062 (1992). In weighing the probative value of other crimes
14
The similarities between the admitted statements and the excluded statements are readily
apparent when the content of each statement is examined and compared. As noted above, however,
we have chosen not to reveal the content of these statements because the trial record has been placed
under seal to prevent tainting of the jury pool.
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evidence against its potential to cause undue prejudice under section 115-7.4, the court may
consider “the proximity in time to the charged or predicate offense,” “the degree of factual
similarity to the charged or predicate offense,” and “other relevant facts and circumstances.”
725 ILCS 5/115-7.4 (West 2008).
¶ 62 In this case, the State argued that the testimony of Eric Peterson, Anna Doman, and
Victoria Connolly regarding the defendant’s alleged prior crimes was admissible under the
common law to show the defendant’s motive and intent, and was admissible under section
115-7.4 to show the defendant’s propensity to commit crimes of domestic violence. In
excluding this testimony, the circuit court focused on the fact that the alleged other crimes
occurred several years before the charged offense. In finding that the alleged prior offenses
were too remote in time, the court implicitly found that the prejudicial effect of the State’s
other-crimes evidence outweighed its probative value.
¶ 63 “We ordinarily presume that the trial judge knows and follows the law unless the record
indicates otherwise.” People v. Gaultney, 174 Ill. 2d 410, 420 (1996). While “the
admissibility of other-crimes evidence should not, and indeed cannot, be controlled solely
by the number of years that have elapsed between the prior offense and the crime charged”
(Illgen, 145 Ill. 2d at 370), the fact that the court only mentioned remoteness when it
excluded the evidence is not an indication that the court performed a truncated or incomplete
analysis. The court stated it had read the applicable case law when it ruled on these matters
under the statute. The court simply found remoteness to be the overriding factor. We have
found nothing in the record to rebut the presumption that the court knew and followed the
applicable law.
¶ 64 Moreover, even if the circuit court failed to consider each of the factors for determining
whether alleged other crimes may be admitted under section 115-7.4 or under the common
law, we may affirm if the court’s decision is supported by the record. Leonardi v. Loyola
University of Chicago, 168 Ill. 2d 83, 97 (1995) (noting that a reviewing court “can sustain
the decision of a lower court on any grounds which are called for by the record, regardless
of whether the lower court relied on those grounds and regardless of whether the lower
court’s reasoning was correct”); People v. Reed, 361 Ill. App. 3d 995, 1000 (2005) (“[w]e
review the trial court’s judgment, not its rationale,” and “[w]e can affirm for any reason the
record supports”). Thus, regardless of the reasoning employed by the circuit court, the
ultimate issue is whether it would be an abuse of discretion to conclude that the unduly
prejudicial effect of defendant’s alleged prior bad acts outweighed their probative value to
show motive, intent, or propensity to commit crimes of domestic violence. See 725 ILCS
5/115-7.4(b) (West 2008); People v. Smith, 406 Ill. App. 3d 747, 752 (2010); People v.
Taylor, 383 Ill. App. 3d 591, 595-96 (2008).
¶ 65 The circuit court did not abuse its discretion in this case. Although the alleged prior
incidents shared some factual similarities to the charged conduct and were arguably relevant
to show the defendant’s motive, intent, and propensity, all of these incidents occurred many
years before the charged offense. The 1993 incident occurred approximately 11 years before
the charged offense and the incidents involving Connolly occurred between approximately
12 and 22 years before the charged offense. Although the remoteness of these alleged prior
incidents is not dispositive (Illgen, 145 Ill. 2d at 370), it is a relevant consideration that
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diminishes the probative value of this evidence and weighs against its admission. 725 ILCS
5/115-7.4(b)(1) (West 2008); see also Illgen, 145 Ill. 2d at 370 (“other offenses which are
close in time to the charged offense will have more probative value than those which are
remote”); People v. Ward, 101 Ill. 2d 443, 455 (1984) (noting that a trial court may reject
offered evidence on grounds of irrelevancy if it has “little probative value due to its
remoteness”). This is particularly true in regard to Connolly’s testimony, which concerned
alleged incidents that were extremely remote in time from the charged offense.
¶ 66 Moreover, some of the alleged prior incidents are factually dissimilar from the charged
conduct in some material respects. For example, unlike the alleged conduct at issue in this
case, the defendant’s alleged abuse of Kathleen in 1993 did not take place while a divorce
proceeding was pending and did not involve violence or threats used to intimidate Kathleen
into dropping her legal claims. Moreover, the alleged abuse of Connolly involved a different
victim. Although these factual differences, standing alone, do not render the proffered other-
crimes evidence inadmissible (Dabbs, 239 Ill. 2d at 293; Illgen, 145 Ill. 2d at 373), they
diminish the probative value of the evidence and augment its prejudicial impact. See People
v. Wilson, 214 Ill. 2d 127, 142 (2005) (“As factual similarities increase, so does the
relevance or probative value.”); Smith, 406 Ill. App. 3d at 754 (“as the number of
dissimilarities increase, so does the prejudicial effect of the other-crimes evidence” (internal
quotation marks omitted)); see generally 725 ILCS 5/115-7.4(b)(2) (West 2008). Both of
these effects are compounded by the remoteness of the alleged prior incidents. Smith, 406
Ill. App. 3d at 754. Accordingly, it was not an abuse of discretion for the circuit court to
conclude that the unduly prejudicial effect of the defendant’s alleged prior acts outweighed
their probative value to show motive, intent, or propensity.
¶ 67 Under the abuse of discretion standard, a reviewing court may not substitute its judgment
for that of the circuit court. Donoho, 204 Ill. 2d at 186; Illgen, 145 Ill. 2d at 371. The
reviewing court must give “deference to the trial court’s ability to evaluate the impact of the
evidence on the jury.” Donono, 204 Ill. 2d at 186 (citing Illgen, 145 Ill. 2d at 375-76). When
applying this deferential standard, we must uphold the trial court’s decision even if
“reasonable minds [can] differ” about whether such evidence is admissible. Illgen, 145 Ill.
2d at 375-76. As noted above, we may reverse only if the trial court’s decision was
“arbitrary,” “fanciful,” or “unreasonable,” such that “no reasonable [person] would take the
view adopted by the trial court.” (Internal quotation marks omitted.) Illgen, 145 Ill. 2d at
364. The circuit court’s ruling in this case is not reversible under this highly deferential
standard. Although reasonable minds might disagree on whether the State’s motion in limine
should have been granted at this stage of the proceedings, we cannot say that the court’s
pretrial ruling rose to the level of an abuse of discretion. See Smith, 406 Ill. App. 3d at 751.
¶ 68 III. ADMISSIBILITY OF PROPOSED EXPERT TESTIMONY
¶ 69 In appeal Nos. 3-10-0513 and 3-10-0546, the State argues that the circuit court erred
when it prohibited Diane Panos from offering expert opinions as to: (1) what the judge in the
divorce case would have ultimately ruled at the marital property distribution proceeding had
Kathleen lived; and (2) what the defendant’s attorney in that case would have advised him
to expect to occur.
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¶ 70 “The permissive use of expert testimony is favored in any case where the testimony
would assist the jury in its understanding of the facts.” Sohaey v. Van Cura, 240 Ill. App. 3d
266, 283 (1992), aff’d, 158 Ill. 2d 375 (1994); see also People v. Jordan, 103 Ill. 2d 192, 208
(1984). The decision whether evidence is admissible is a matter within the circuit court’s
discretion (People v. Williams, 188 Ill. 2d 365, 369 (1999)), and we review those rulings
with deference (People v. Caffey, 205 Ill. 2d 52, 89 (2001)). We will not disturb the court’s
decision on a motion in limine absent an abuse of discretion. Williams, 188 Ill. 2d at 369. An
abuse of discretion occurs when the circuit court’s ruling is arbitrary, fanciful, unreasonable,
or where no reasonable person would take the view adopted by the court. Caffey, 205 Ill. 2d
at 89.
¶ 71 In this case, the circuit court did not abuse its discretion when it limited Panos’s
proposed expert testimony. Experts may not testify as to statutory interpretation or legal
conclusions. LID Associates v. Dolan, 324 Ill. App. 3d 1047, 1058 (2001); see also Christou
v. Arlington Park-Washington Park Race Tracks Corp., 104 Ill. App. 3d 257, 261 (1982)
(noting that not even attorneys can testify as experts as to statutory interpretation). Further,
expert testimony that is based on speculation or conjecture will be excluded. People v. Patel,
366 Ill. App. 3d 255, 272 (2006). Here, Panos’s opinion on how the judge would have ruled
was speculative and therefore not the proper subject of expert testimony.
¶ 72 Moreover, the State’s argument that Panos’s excluded testimony was admissible because
it was “representative of what a reasonably competent divorce lawyer would have advised
defendant to expect to occur” is unavailing. As the circuit court noted, this is not a legal
malpractice case in which such testimony may be relevant. While what the defendant in fact
knew about the divorce case and when he knew it would arguably be relevant to the
defendant’s motive and intent in this case, Panos is not an expert on what the defendant in
fact knew. It appears that the court indicated it would allow Panos to testify regarding the
issues facing the parties in the divorce proceeding based on the “statutory scheme,” which
would include matters such as support, custody, property division, pensions, and financial
issues under the Illinois Marriage and Dissolution of Marriage Act (750 ILCS 5/101 et seq.
(West 2008)). However, the inferences a fact finder could draw from that and the other
relevant evidence as to the defendant’s motive and intent are not the proper subject of expert
testimony.
¶ 73 For these reasons, we hold that the circuit court did not abuse its discretion when it
prohibited Diane Panos from testifying as to: (1) what the judge in the divorce case would
have ultimately ruled at the marital property distribution proceeding had Kathleen lived; and
(2) what the defendant’s attorney in that case would have advised him to expect to occur.
¶ 74 CONCLUSION
¶ 75 The State’s interlocutory appeal of the circuit court’s refusal to admit 8 of the 14 hearsay
statements offered by the State under the common law doctrine of forfeiture by wrongdoing
was untimely filed. The State has not shown any material change in facts that would justify
an untimely filing under Supreme Court Rule 604(a)(1) or 606(c). Accordingly, we lack
jurisdiction to hear the State’s appeal of the circuit court’s ruling on this issue, and that
appeal is dismissed.
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¶ 76 Moreover, although reasonable minds may disagree on whether the circuit court should
have granted the State’s motion in limine to admit evidence of other crimes allegedly
committed by the defendant, our review of the circuit court’s ruling on the issue is extremely
limited under the law. We may not substitute our judgment for that of the circuit court, and
we may reverse only if we find that the circuit court abused its discretion. That occurs only
when the circuit court’s ruling was so arbitrary and unreasonable that no reasonable person
would take the view adopted by the circuit court. Here, the circuit court found that the
alleged other crimes at issue were excessively remote in time. Moreover, the alleged prior
offenses were unlike the charged offense in some important respects. Taken together, these
facts diminish the probative value of the evidence and increase the likelihood that the
admission of the evidence would unfairly prejudice the defendant. Thus, the circuit court’s
decision to exclude the evidence was not arbitrary or unreasonable, and its ruling is not
reversible under the highly deferential abuse of discretion standard.
¶ 77 Finally, we uphold the circuit court’s decision prohibiting attorney Diane Panos from
testifying as to what the judge in the divorce case would have ultimately ruled had Kathleen
lived and what the defendant’s attorney in that case would have advised him. Those matters
are speculative and are not the proper subject of expert testimony. Thus, the circuit court’s
refusal to allow Panos to testify as an expert on these matters was correct and was not an
abuse of discretion.
¶ 78 No. 3-10-0514, Dismissed for lack of jurisdiction.
¶ 79 Nos. 3-10-0515 and 3-10-0550, Affirmed; cause remanded.
¶ 80 Nos. 3-10-0513 and 3-10-0546, Affirmed; cause remanded.
¶ 81 PRESIDING JUSTICE CARTER, concurring in part and dissenting in part:
¶ 82 I concur with the result that the circuit court did not abuse its discretion when it excluded
the State’s other-crimes evidence, but I do not join in the entirety of the majority’s analysis
on that issue. I disagree with the majority’s independent assessment of the strength of the
evidence (supra ¶¶ 64-66) because, arguably, the incidents are relevant to show motive and
intent. I concur with the result and supporting analysis that the circuit court did not abuse its
discretion when it limited the expert testimony of Diane Panos. However, I respectfully
dissent from the majority’s conclusion that we lack jurisdiction to hear the State’s appeal
with regard to the admissibility of the eight hearsay statements of Kathleen Savio and Stacy
Peterson under the forfeiture by wrongdoing doctrine.
¶ 83 What divides this panel on the jurisdiction issue in this case is a difference of opinion
regarding the nature of this appeal and the extent and reach of the rule from People v. Taylor,
50 Ill. 2d 136 (1971). I strongly disagree with the majority’s assertion that the Taylor rule
applies, as I believe the State filed a timely motion on June 30 and a timely appeal from the
circuit court’s July 6 order. Furthermore, even if the Taylor rule did apply, I do not believe
the rule should operate in the formalistic manner suggested by the majority. I do not agree
with the majority’s suggestion that the State and the court should be bound at trial by a
manifestly erroneous ruling that contravenes a June 2010 decision from our supreme court
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(People v. Hanson, 238 Ill. 2d 74, 99 (2010)). In addition, I would hold that the eight hearsay
statements are admissible under the common law doctrine of forfeiture by wrongdoing, as
codified in Illinois Rule of Evidence 804(b)(5), because reliability is not a proper basis for
excluding the statements. See Hanson, 238 Ill. 2d at 99.
¶ 84 I. Jurisdiction Under Rule 604(a)(1)
¶ 85 The majority concludes that pursuant to the Taylor rule, the State had to file its notice
of appeal, without exception, within 30 days of the circuit court’s May 18 order because the
State failed to file a timely motion to reconsider. Supra ¶ 31. The majority’s ruling is
erroneous and irremediably flawed because it assumes a proposition that it cannot
support–namely, that the order at issue is the May 18 order.
¶ 86 To understand why the majority’s ruling on this issue is erroneous, it is necessary to
understand the procedural history of this case. On January 4, 2010, the State filed a pretrial
motion to admit 15 hearsay statements under section 115-10.6 of the Code of Criminal
Procedure of 1963 (Code) (725 ILCS 5/115-10.6 (West 2008)) and under the common law
doctrine of forfeiture by wrongdoing. In a written order dated May 18, 2010, the circuit court
ruled, according to the statutory criteria, that eight of the statements were inadmissible
because they lacked additional indicia of reliability.15 The May 18 order was silent with
regard to the State’s common law argument. On May 28, 2010, the defendant filed a motion
in which it asked the court to clarify its ruling; in particular, whether the court ruled on the
State’s common law argument. In response, the court stated, “I didn’t even get to that. There
was no request as to any of the others. I ruled strictly pursuant–there was a hearing pursuant
to the statute.” On June 30, 2010, the State filed a motion to admit the eight excluded
statements under the common law doctrine of forfeiture by wrongdoing and under Federal
Rule of Evidence 804(b)(6). Specifically, the State requested the court to:
“reconsider its decision to deny the People’s request to admit the hearsay statements
previously not admitted under the statutory criteria, and that this Court find that the
hearsay statements are admissible at trial under the common law doctrine of forfeiture
by wrongdoing and Federal Rule of Evidence 804(b)(6).
WHEREFORE, the People request this Court to reconsider its ruling on the
statements previously excluded under the statutory criteria, and, pursuant to the common
law doctrine of forfeiture by wrongdoing and Federal Rule of Evidence 804(b)(6), admit
those statements at trial.”
¶ 87 On July 6, 2010, the circuit court denied the State’s motion, which it construed as a
motion to reconsider the May 18 order. Two days later, the court clarified that it so ruled
because it believed the statute codified, and therefore supplanted, the common law doctrine
of forfeiture by wrongdoing.
¶ 88 On July 7, 2010, the State filed a notice of appeal from the circuit court’s May 18 and
July 6 orders. The notice of appeal indicated that the State was appealing from the May 18
15
The State withdrew one of the statements at the hearing and the court admitted the
remaining six statements.
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order and the July 6 denial of a motion to reconsider. On July 23, 2010, the State amended
the notice of appeal and indicated that it was appealing from the May 18 order and the July
6 denial of the State’s motion to admit statements under the common law doctrine of
forfeiture by wrongdoing.16
¶ 89 In arriving at its ruling on this issue, the majority operates from the assumption that
“[t]he order at issue in this case was issued by the circuit court on May 18, 2010.” Supra
¶ 31. In interlocutory appeals such as the instant case, our jurisdiction to hear the appeal
hinges on whether the State filed a timely notice of appeal from a ruling of the circuit court.
Ill. S. Ct. R. 604(a)(1) (eff. July 1, 2006); R. 606(b) (eff. Mar. 20, 2009); see also People v.
Hubbard, 170 Ill. App. 3d 572, 575 (1988) (30-day period in Rule 606(b) applies to
interlocutory appeals by the State). There are two orders of the circuit court that the State
referenced in its notice of appeal in No. 3-10-0514: May 18, 2010, and July 6, 2010.
Resolution of the jurisdiction question therefore rests on which of these orders is at issue on
appeal. The majority’s assumption that the May 18 order is the order at issue is erroneous,
as it is incompatible with the facts. The State has not requested this court to review the
circuit court’s May 18 order, which was based solely on the statutory criteria. Rather, the
State seeks review of the court’s July 6 order in which it denied the State’s June 30 motion,
which requested the court to rule on its common law argument.
¶ 90 The majority attempts to downplay the importance of the circuit court’s failure to rule
on the State’s common law argument on May 18 when it claims, without citation to
authority:
“[T]he court’s May 18, 2010, order did not address the common law rule or reserve
ruling on that issue. Ten days later, in response to the defendant’s motion for
clarification, the circuit court confirmed that it did not consider the common law doctrine
in rendering its decision. For that reason alone, the State could have appealed or moved
to reconsider the order within 30 days.” Supra ¶ 37.
I submit that the majority cites no authority because there is absolutely no support in the law
for this claim. Our supreme court has acknowledged for over 100 years that “[t]he rule in this
state is clear and well settled that a party litigant can only complain where he has objected
and obtained a ruling and excepted to it, or excepted to the refusal of the court to act.” Lipsey
v. People, 227 Ill. 364, 373 (1907). By the majority’s own acknowledgment, the court did
not rule on the State’s common law argument on May 18. Supra ¶¶ 12, 37, 39. Thus, the
majority’s claim that “the State could have appealed or moved to reconsider the [May 18]
order within 30 days” (supra ¶ 37) is incorrect. An appeal from the circuit court’s failure to
rule on the State’s common law argument would have resulted in the forfeiture of the
common law issue on appeal. See Lipsey, 227 Ill. at 373; see also People v. Urdiales, 225
Ill. 2d 354, 425 (2007) (“[a] movant has the responsibility to obtain a ruling on his motion
if he is to avoid forfeiture on appeal”).
¶ 91 The majority repeatedly claims throughout its opinion that the State’s June 30 motion
16
On August 9, the State filed a late notice of appeal from what it described as the May 18
order and the July 6 denial of the State’s motion to admit statements under the common law doctrine
of forfeiture by wrongdoing.
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was nothing more than a motion to reconsider the May 18 order (supra ¶¶ 13, 14, 31, 40, 42,
46, 51) and emphasizes that the circuit court construed the motion as a motion to reconsider
in its July 6 order (supra ¶¶ 14, 40). The record indicates that the court construed the motion
as a motion to reconsider because it believed the statute codified, and therefore supplanted,
the common law doctrine of forfeiture by wrongdoing. Even if this was a correct
assumption–which it was not–the fact remains that the court specifically refused to allow the
admission of the evidence pursuant to the State’s common law argument on July 6 by its
denial of the State’s June 30 motion, which is distinctly different than its failure to rule on
the issue on May 18. See Lipsey, 227 Ill. at 373; Urdiales, 225 Ill. 2d at 425.
¶ 92 The majority’s emphasis on “reconsideration” ignores the substance of the State’s June
30 motion, which is what determines a motion’s character. See, e.g., People v. Harper, 345
Ill. App. 3d 276, 284 (2003). The State’s June 30 motion sought, for a second time, the
circuit court’s ruling on its common law argument because the court ignored that argument
on May 18. The State’s approach was appropriate under the circumstances. See generally
Urdiales, 225 Ill. 2d at 425 (“[a] movant has the responsibility to obtain a ruling on his
motion if he is to avoid forfeiture on appeal”); see also Rinesmith v. Sterling, 293 Ill. App.
3d 344, 348 (1997) (duty is on the party to obtain a separate ruling as to each portion of an
offer of proof to preserve any error); People v. Beasley, 307 Ill. App. 3d 200, 207 (1999)
(“ ‘trial court does not have a duty to consider all possible theories; rather, its task is to rule
on the basis of the theories presented’ ” (quoting People v. Hamilton, 283 Ill. App. 3d 854,
861 (1996) rev’d on other grounds, 179 Ill. 2d 319 (1997))).
¶ 93 The State’s June 30 motion as to the common law basis could not have been a motion
to reconsider the May 18 order, as the circuit court could not reconsider something that it
never considered in the first place. Thus, the majority’s characterization of the State’s June
30 motion as a motion to reconsider the May 18 order contravenes the actual circumstances
of this case.
¶ 94 In addition, the majority improperly extends the principle that “the Taylor rule applies
to prior orders per se and is therefore not limited to issues actually considered, but also
covers any issues that could have been raised in the earlier proceeding” (People v. Holmes,
235 Ill. 2d 59, 67 (2009)), to the very different circumstances presented by this case. Here,
we are not faced with a situation in which an issue either was actually considered or could
have been raised, but was not. Rather, this case involves a situation in which the State raised
the common law issue, but the circuit court failed to rule on that issue. The State raised the
issue again on June 30, and the court finally decided it on July 6 by denying the motion.
¶ 95 Thus, the majority has no basis to equate the instant circumstance, in which an issue was
raised but was ignored by the circuit court, with a circumstance in which an issue is actually
considered or could have been raised, but was not (see, e.g., Holmes, 235 Ill. 2d at 67-68).
The four cases cited by the majority in this regard do not stand for the proposition that the
Taylor rule prevents the State from attempting to secure a ruling on an issue raised but
ignored by the circuit court. See Holmes, 235 Ill. 2d at 68 (State attempted to raise an issue
that could have been raised at the original suppression hearing); People v. Williams, 138 Ill.
2d 377, 396 (1990) (State’s attenuation argument was not presented to the circuit court at the
original suppression hearing); People v. Daniels, 346 Ill. App. 3d 350, 360 (2004) (defendant
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attempted to raise an issue not raised at the original suppression hearing); People v. Lawson,
327 Ill. App. 3d 60, 67 (2001) (State attempted to raise issues not raised at the original
suppression hearing). Thus, the aforementioned bar on issues actually considered or issues
that could have been raised does not apply to this case.
¶ 96 In sum, the Taylor rule is inapplicable because the State’s June 30 motion was a timely
filed motion, as it sought to secure a ruling on the common law argument that the circuit
court ignored on May 18. The court finally ruled, by its denial of the State’s motion, on the
State’s common law argument on July 6. The State filed a notice of appeal from that ruling
on July 7, then amended the notice of appeal on July 23. Thus, contrary to the majority’s
position, I would find that the State’s notice of appeal was timely filed and therefore was
sufficient to confer jurisdiction on this court over the July 6 order. Ill. S. Ct. R. 604(a)(1);
R. 606(b); see also Hubbard, 170 Ill. App. 3d at 575 (30-day period in Rule 606(b) applies
to interlocutory appeals by the State).
¶ 97 II. The Circuit Court’s July 6 Ruling Was Manifestly Erroneous
¶ 98 The circuit court’s July 6 ruling was a denial of a motion in limine filed on June 30.
“Motions in limine are designed to call to the attention of a trial court, in advance of trial,
some evidence which, because of its potentially prejudicial nature, cannot be discussed in
the jury’s presence until the court has determined it is admissible.” People v. Owen, 299 Ill.
App. 3d 818, 822 (1998). Motions in limine can be used by either the proponent or opponent
of certain evidence; the former requests a ruling that the evidence is admissible at trial, while
the latter requests a ruling that the evidence should be excluded at trial. Owen, 299 Ill. App.
3d at 822; see also Michael H. Graham, Graham’s Handbook of Illinois Evidence § 103.9,
at 44 (10th ed. 2010). Because motions in limine invoke the circuit court’s inherent power
to admit or exclude evidence, a court’s decision thereon is typically reviewed for an abuse
of discretion. People v. Williams, 188 Ill. 2d 365, 369 (1999). However, “[w]here a trial
court’s exercise of discretion has been frustrated by an erroneous rule of law,” our review
is de novo. Williams, 188 Ill. 2d at 369.
¶ 99 At the heart of the circuit court’s July 6 order was its belief that section 115-10.6 of the
Code codified, and therefore supplanted, the common law doctrine of forfeiture by
wrongdoing. For the following reasons, the court erred as a matter of law when it so ruled.
¶ 100 At common law, the doctrine of forfeiture by wrongdoing provides a hearsay exception
for “[a] statement offered against a party that has engaged or acquiesced in wrongdoing that
was intended to, and did, procure the unavailability of the declarant as a witness.” Fed. R.
Evid. 804(b)(6); Giles v. California, 554 U.S. 353, 367 (2008) (noting that Federal Rule of
Evidence 804(b)(6) codified the common law doctrine of forfeiture by wrongdoing). In
Hanson, our supreme court held that “the doctrine serves both as an exception to the hearsay
rule and to extinguish confrontation clause claims.” Hanson, 238 Ill. 2d at 97. In addition,
our supreme court clarified that, “so long as the declarant’s statements are relevant and
otherwise admissible, statements admitted under the forfeiture by wrongdoing doctrine need
not reflect additional indicia of reliability.” Hanson, 238 Ill. 2d at 99.
¶ 101 In contrast to the forfeiture by wrongdoing doctrine, as clarified by Hanson, reliability
is an element of the statutory hearsay exception for the intentional murder of a witness (725
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ILCS 5/115-10.6(e)(2) (West 2008)), under which the circuit court ruled on May 18. Thus,
the statute stands in direct conflict with the common law doctrine of forfeiture by
wrongdoing in Illinois. See Hanson, 238 Ill. 2d at 99.
¶ 102 On September 27, 2010, our supreme court adopted the Illinois Rules of Evidence, which
became effective in Illinois courts on January 1, 2011. The Illinois Rules of Evidence
codified and replaced the common law rules of evidence in this state, including the forfeiture
by wrongdoing doctrine. Under Rule of Evidence 804(b)(5), a hearsay exception is provided
for “[a] statement offered against a party that has engaged or acquiesced in wrongdoing that
was intended to, and did, procure the unavailability of the declarant as a witness.” Ill. R.
Evid. 804(b)(5) (eff. Jan. 1, 2011). Reliability is not an element of Rule of Evidence
804(b)(5). See Hanson, 238 Ill. 2d at 99.
¶ 103 Rule 101 states that “[a] statutory rule of evidence is effective unless in conflict with a
rule or a decision of the Illinois Supreme Court.” Ill. R. Evid. 101 (eff. Jan. 1, 2011). Thus,
as a matter of separation of powers in Illinois, our supreme court has the ultimate authority
to promulgate the manner by which evidence may be introduced into the courts. See People
v. Bond, 405 Ill. App. 3d 499, 508-09 (2010). Applying Rule of Evidence 101 to this case,
in light of the forfeiture by wrongdoing doctrine as it existed at common law, as it was
clarified in Illinois in Hanson, and as it now exists in Rule of Evidence 804(b)(5), the
conflict between section 115-10.6 of the Code and the forfeiture by wrongdoing doctrine
must be resolved in favor of the promulgations of our supreme court. In this case, the circuit
court believed that the statutory rule of evidence in section 115-10.6 of the Code supplanted
the forfeiture by wrongdoing doctrine. As a matter of law, that decision was manifestly
erroneous.
¶ 104 While the circuit court’s exercise of discretion in excluding the eight hearsay statements
was frustrated by a manifestly erroneous rule of law, the court nevertheless made the
appropriate and necessary factual findings for the evidence to be admissible under Rule of
Evidence 804(b)(5). That is, under the forfeiture by wrongdoing doctrine, the court found
that the State proved by a preponderance of the evidence that: (1) the defendant murdered
Kathleen and Stacy; and (2) he did so with the intent to make them unavailable as witnesses.
Ill. R. Evid. 804(b)(5); see also Hanson, 238 Ill. 2d at 97-99. Thus, I would also hold that
the statements are admissible under Rule of Evidence 804(b)(5), even though that holding
would not be determinative of whether the statements would be otherwise admissible and
in fact admitted at trial (Ill. R. Evid. 804(b)(5); see People v. Dabbs, 239 Ill. 2d 277, 287-88
(2010) (noting that just because evidence is admissible does not mean that it will in fact be
admitted); see also People v. Drum, 321 Ill. App. 3d 1005, 1008 (2001) (final decision on
evidentiary matters will be made by the circuit court during trial); see also Ill. R. Evid. 403
(eff. Jan. 1, 2011)).17
17
It is also noteworthy that the six statements admitted by the circuit court under section 115-
10.6 of the Code are not at issue on appeal. However, the admissibility of those statements is not
negated by the fact that the court also considered reliability in issuing its decision. Without the
consideration of reliability, those statements would also be admissible under Rule of Evidence
804(b)(5).
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¶ 105 III. History of the Forfeiture by Wrongdoing Doctrine in Illinois
¶ 106 I also disagree with the majority’s position regarding the historical reach of the common
law doctrine of forfeiture by wrongdoing in Illinois evidence, including its claim that
Hanson did not represent a change in the law. Contrary to the majority position, the doctrine
was not deeply embedded into the tissues of Illinois evidence law prior to People v. Stechly,
225 Ill. 2d 246 (2007), and Hanson. The doctrine was first accepted in Illinois by the
appellate court in People v. Melchor, 362 Ill. App. 3d 335, 345 (2005), vacated & remanded
on other grounds, 226 Ill. 2d 24 (2007). Noteworthy for purposes of this discussion is that
the Melchor court claimed that no Illinois case had adopted the federal version of the
forfeiture by wrongdoing doctrine (Fed. R. Evid. 804(b)(6)) and its independent research had
not disclosed any Illinois case that had addressed the forfeiture by wrongdoing doctrine.
Melchor, 362 Ill. App. 3d at 345; see also People v. Hampton, 363 Ill. App. 3d 293, 301
(2005) (accepting the forfeiture by wrongdoing doctrine), vacated in part on other grounds,
225 Ill. 2d 238 (2007).
¶ 107 In fact, our supreme court declined to adopt the forfeiture by wrongdoing exception to
hearsay as early as 1856 (Bergen v. People, 17 Ill. 426, 427-28 (1856)), despite its English
common law roots dating back to 1666 (see Lord Morley’s Case, 6 How. St. Tr. 769, 771
(H.L. 1666)). Bergen referenced an earlier version of the former-testimony hearsay
exception when it indicated that if a witness testified at a former trial, and has since died, the
witness’s former testimony could be given into evidence. Bergen, 17 Ill. at 427. That
principle is now expressed in Illinois Rule of Evidence 804(b)(1) and section 115-10.4 of
the Code (725 ILCS 5/115-10.4 (West 2008)). The witness in Bergen was not dead; rather,
the evidence indicated that the defendant had taken the witness out of the state to deprive the
People of her testimony. Our supreme court stated:
“Here, the witness was not dead, but beyond the jurisdiction of the court, by the
procurement of the defendant; and we think the rules of evidence do not permit, in such
a case, the admission of the testimony given on the former occasion. [Citations.] Some
of the authorities hold that, in a criminal proceeding, this kind of evidence is not
admissible, although the witness be dead; but it is not necessary for us here to decide this
question. It is true, if a party in any case spirits away his adversary’s witness, he ought
not to profit thereby; or, at least, suitable penalties should be provided against such
conduct, but it is for the legislature to correct the evil.” Bergen, 17 Ill. at 427-28.18
¶ 108 In Stechly, our supreme court recognized and first accepted the forfeiture by wrongdoing
doctrine. Stechly, 225 Ill. 2d at 268-78. Thus, arguably, the 1856 Bergen case was not
overruled as precedential authority in relevant part until 2007. Then, three years later in
Hanson, our supreme court expressly recognized that the doctrine was both an exception to
the hearsay rule and it also extinguished confrontation clause issues. Hanson, 238 Ill. 2d at
97. Our supreme court also held, for the first time in Illinois law, that if statements are
18
The Bergen decision is most frequently cited for the principle that corroboration of a
defendant’s extrajudicial confession is necessary to prove that a criminal offense occurred. See, e.g.,
People v. Sargent, 239 Ill. 2d 166, 188 (2010).
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relevant and otherwise admissible, the statements need not reflect additional indicia of
reliability. Hanson, 238 Ill. 2d at 99.
¶ 109 Thus, I disagree with the majority’s assertion that “it was clear long before Hanson that
the common law doctrine of forfeiture by wrongdoing was a general hearsay exception in
Illinois and that the admission of hearsay statements under the doctrine did not depend upon
a showing of reliability.” Supra ¶ 34. While it is true that Stechly held that Federal Rule of
Evidence 804(b)(6) and the forfeiture by wrongdoing doctrine “are coextensive” (Stechly,
225 Ill. 2d at 272), I do not believe that Stechly can therefore be read as a blanket adoption
of all of the developments of the doctrine at common law, including whether reliability is
required.19 Reliability was not at issue in Stechly, and it was not addressed in any Illinois
case until our supreme court specifically addressed it in Hanson and held that it was not an
element of the forfeiture by wrongdoing doctrine in Illinois (Hanson, 238 Ill. 2d at 99).
Contrary to the majority’s assertion, I believe that Hanson did in fact clarify the forfeiture
by wrongdoing doctrine in Illinois.
¶ 110 The majority’s discussion of the doctrine’s history in the federal courts begs the question.
A history of the common law doctrine of forfeiture by wrongdoing in the federal courts does
not equate with the doctrine’s history in Illinois. While the United States Supreme Court
recognized the forfeiture by wrongdoing doctrine as early as 1878 in Reynolds v. United
States, 98 U.S. 145, 158 (1878), our supreme court declined to adopt the doctrine in 1856
in Bergen, did not adopt it until 2007 in Stechly, and clarified it in 2010 in Hanson. The
Hanson opinion, issued one week after the majority’s alleged 30-day deadline had expired
for the State to appeal the May 18 order, marked a material change in the forfeiture by
wrongdoing doctrine in Illinois. The Hanson holding that reliability is not a required element
of the doctrine was not accreted into precedent in the law of evidence in Illinois until the
decision was issued. As such, the circuit court’s reliance on reliability as a factor to be
considered became manifestly erroneous.
¶ 111 IV. Additional Disagreements With the Majority’s Analysis
¶ 112 First, I submit that the majority’s discussion that “the circuit court’s exclusion of some
of the eight hearsay statements at issue might not amount to the ‘suppression of evidence’
under Rule 604(a)(1)” (supra ¶ 55) is flawed because it misclassifies the evidence in this
case. The majority states that, “[h]ere, the content of at least some of the hearsay statements
19
Of the 24 states that have adopted a version of the forfeiture by wrongdoing doctrine,
unanimity does not exist with regard to whether the doctrine requires reliability. See Anthony
Bocchino & David Sonenshein, Rule 804(b)(6)–The Illegitimate Child of the Failed Liaison Between
the Hearsay Rule and Confrontation Clause, 73 Mo. L. Rev. 41, 79 app. (2008) (California law
requires reliability in “serious felony” cases, Arizona law is unclear, Maryland law requires reliability
in civil cases, Massachusetts law is undecided, and Minnesota law might require reliability); see also
James F. Flanagan, Forfeiture by Wrongdoing and Those Who Acquiesce in Witness Intimidation:
A Reach Exceeding Its Grasp and Other Problems With Federal Rule of Evidence 804(b)(6), 51
Drake L. Rev. 459, 519-26 (2003) (discussing the concerns about the reliability of the hearsay
admitted under the misconduct exception).
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that the [circuit] court excluded can be presented to the jury in another manner because other
statements that the circuit court found admissible express the same information.” Supra ¶ 56.
In support of its claim, the majority cites to In re K.E.F., 235 Ill. 2d 530 (2009), People v.
Truitt, 175 Ill. 2d 148 (1997), abrogated on other grounds by People v. Miller, 202 Ill. 2d
328, 335 (2002); and People v. Baltimore, 381 Ill. App. 3d 115 (2008). I submit that the
majority’s citations to these cases are misleading. Each of those cases involved the means
by which evidence was sought to be introduced. K.E.F., 235 Ill. 2d at 540 (involving the
choice of presenting one witness’s testimony either live or through her previously recorded
statement); Truitt, 175 Ill. 2d at 152 (involving the choice of presenting one witness’s
testimony either live or through a report the witness previously prepared); Baltimore, 381
Ill. App. 3d at 124 (involving the means by which the State sought to introduce a
surveillance video). In contrast, this case does not involve the choice between forms in
which to present evidence from one witness or one source. Rather, this case involves the
testimony of different witnesses regarding separate conversations they had with the declarant
about certain events. While those testimonies might be similar, they are not identical, as the
majority suggests, and the question of whether the exclusion of those statements amounts
to the suppression of evidence is not answered by the cases cited by the majority.
¶ 113 Apparently, what is at issue for the majority in this regard is whether the evidence
represents the needless presentation of cumulative evidence. See Ill. R. Evid. 403.
Cumulative evidence can be excluded if repetition or time considerations outweigh the
proffered evidence’s incremental probative value. See Maffett v. Bliss, 329 Ill. App. 3d 562,
572-73 (2002); Graham, supra, § 403.1, at 206; see also People v. Culbreath, 343 Ill. App.
3d 998, 1004 (2003). I would disagree with any suggestion that these statements are
needlessly cumulative and I submit that the circuit court’s order did in fact suppress
evidence.
¶ 114 Second, even if the Taylor rule did apply–which I believe it does not–I do not accept the
consequence of the majority’s ruling on this issue that the State and the circuit court should
be bound at trial by the circuit court’s manifestly erroneous ruling. Our supreme court has
not had this type of issue regarding manifestly erroneous rulings presented to it in the
context of the Taylor rule and its progeny.
¶ 115 In Williams, our supreme court stated that the Taylor rule is a “discrete rule of Illinois
procedure, independent of such related doctrines as collateral estoppel, law of the case, or
even res judicata. Of these three doctrines, the Taylor rule most resembles res judicata.”
Williams, 138 Ill. 2d at 392. The Williams court contrasted the Taylor rule with the fact that
the law-of-the-case doctrine might not “preclude reconsideration of an earlier judge’s order
if the facts before the court changed or error or injustice were manifest.” Williams, 138 Ill.
2d at 392. As a consequence of its analysis, the Williams court adopted an exception to the
Taylor rule based on a law-of-the-case principle:
“Even though the Taylor rule’s closest analogue is res judicata doctrine, we judge that
the rule admits of one comparison to law-of-the-case doctrine: As with law of the case,
if the facts before the court change materially, the court should not be bound by its
former interlocutory ruling but can correct itself in light of the newly presented facts. In
order to prevent this exception from swallowing the rule, the new evidence should not
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be of a nature that with due diligence could have been presented earlier.” Williams, 138
Ill. 2d at 393-94.
¶ 116 In Illinois, a recognized exception to the law-of-the-case doctrine exists when the
supreme court, following the first appeal, makes a contrary ruling on the precise issue of law
on which the appellate court based its former opinion. Relph v. Board of Education of DePue
Unit School District No. 103, 84 Ill. 2d 436, 443 (1981); Zerulla v. Supreme Lodge Order
of Mutual Protection, 223 Ill. 518, 520 (1906); Rice v. White, 374 Ill. App. 3d 870, 883
(2007); Bisco v. Liberty Mutual Insurance Co., 204 Ill. App. 3d 19, 21-22 (1990); People
v. Lyles, 208 Ill. App. 3d 370, 376 (1990). Another exception exists when the appellate court
finds its prior decision is palpably erroneous, but only when the court had remanded the case
for a new trial. Rice, 374 Ill. App. 3d at 883; Lyles, 208 Ill. App. 3d at 376. The Taylor rule
applies res judicata principles to bind the State and the circuit court to certain interlocutory
rulings, yet allows the court to correct itself in cases of newly discovered facts under a law-
of-the-case principle. Williams, 138 Ill. 2d at 393-94. I would suggest that, following law-of-
the-case principles, allowing the State to reopen an issue after a manifestly erroneous ruling
would not violate the prohibition on reopening issues for new theories of admission, judge
shopping, or fear of piecemeal litigation. See, e.g., Williams, 138 Ill. 2d at 388-89, 396. In
addition, reconsideration of a palpably erroneous ruling would not violate the law-of-the-
case doctrine’s purpose “to protect settled expectations of the parties, ensure uniformity of
decisions, maintain consistency during the course of a single case, effectuate proper
administration of justice, and bring litigation to an end.” Emerson Electric Co. v. Aetna
Casualty & Surety Co., 352 Ill. App. 3d 399, 417 (2004). Case law is generally construed
to serve the ends of justice and to avoid mischief and needless results, such as the result
suggested by the majority that the State and the court are bound by a manifestly erroneous
ruling at a future trial.
¶ 117 The May 18 ruling, which used reliability to exclude the eight hearsay statements, is
contrary to our supreme court’s June 24, 2010, decision in Hanson. I believe the question
of whether certain evidence is admissible at trial under the forfeiture by wrongdoing doctrine
should be decided in accordance with the law as it exists after Hanson. Ill. R. Evid.
804(b)(5). Just as Williams judged the Taylor rule can allow corrections in light of newly
discovered facts, I submit that the circuit court should not be bound, and can correct itself,
when the supreme court issues a contrary ruling on the precise issue of law on which the
circuit court based its earlier decision. In Relph, Justice Howard Ryan, who authored Taylor,
suggested as much when he stated, in a different context, that under the law-of-the-case
doctrine, “[r]egardless of the mandates, to avoid ‘illogical results,’ ” courts should not be
bound by rulings that are contrary to subsequent supreme court decisions. Relph, 84 Ill. 2d
at 444.
¶ 118 For the foregoing reasons, I concur in part and dissent in part.
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