COURT OF APPEALS OF VIRGINIA
Present: Judges Decker, AtLee and Malveaux
PUBLISHED
Argued at Richmond, Virginia
ALFRED BANKS, JR.
OPINION BY
v. Record No. 2055-15-2 JUDGE MARLA GRAFF DECKER
FEBRUARY 14, 2017
COMMONWEALTH OF VIRGINIA
FROM THE CIRCUIT COURT OF THE CITY OF RICHMOND
W. Reilly Marchant, Judge
Catherine French, Senior Appellate Coordinator (Dorian Dalton,
Senior Assistant Public Defender, on briefs), for appellant.
Craig W. Stallard, Assistant Attorney General (Mark R. Herring,
Attorney General, on brief), for appellee.
Alfred Banks, Jr., appeals his conviction for stalking, in violation of Code § 18.2-60.3.
He argues that the trial court erred by refusing his proposed jury instructions and in admitting
evidence of prior contacts. Further, the appellant contends that the evidence was insufficient to
support his conviction because it did not prove that more than one contact occurred during the
timeframe alleged in the warrant or that a reasonable person in the victim’s position would have
experienced fear of death, criminal sexual assault, or bodily injury. For the reasons that follow,
we affirm the conviction.
I. BACKGROUND
The appellant’s conviction is based on his contacts with D.B., a medical doctor. In 1990,
the appellant met D.B. in Richmond, Virginia, at the medical clinic where she was an intern and
he was an aide. D.B. described their contact as “cordial.” They were not friends and did not
socialize outside of work. D.B. did not give the appellant her personal contact information, such
as her address or phone number.
After D.B. graduated from medical school in 1990, she moved from Richmond and
started her medical residency in Newport News, Virginia. The appellant sent D.B. unsolicited
letters at her place of employment in Newport News. In those letters, the appellant wrote that he
wanted to move to Newport News and marry her because “he felt like [they] were supposed to be
together forever.” He also persistently telephoned her at work and at home. D.B. told the
appellant that she was not interested in having a relationship with him and wanted him to stop
calling her. However, the appellant did not stop until D.B. moved to Washington, D.C., where
she lived from 1992 to 1995. During that time, the appellant did not contact her.
D.B. moved back to Richmond in 1995. For the following year, she again received
unsolicited letters from the appellant. The letters were left at the front desk of the clinic where
she worked. In the letters, the appellant stated that he cared for D.B. and still wanted to “be [her]
boyfriend.” In one letter, he said that “he was never going to stop trying to talk” to her, which
D.B. found “disturbing.” During that same time period, the appellant also showed up in the
clinic’s parking lot at least three times. He asked D.B. why she would not talk to him.
According to D.B., the appellant “just started getting more and more sort of aggressive in his
tone,” which caused her to feel “scared” and “intimidated.” D.B. was worried that the appellant
“might try to hit [her] or do something violent.” She contacted the Chesterfield County and
Virginia Commonwealth University (VCU) police departments. D.B. spoke with Lieutenant
Carlton Edwards with the VCU police. Edwards contacted the appellant and told him to leave
D.B. alone.
For a “few years” after the contacts that occurred from 1995 to 1996, D.B. did not see or
hear from the appellant. In 1998 or 1999, the appellant visited her workplace parking lot again.
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He approached D.B. as she was getting into her car. He grabbed her car door and yelled, “Why
won’t you talk to me?” The appellant left only after two nurses who were passing by asked D.B.
if she was okay. D.B. contacted Lieutenant Edwards again to address the problem. Edwards
spoke with the appellant, and the appellant agreed that he would not have any further contact
with D.B.
In 2014, however, the appellant contacted D.B. again despite his representation to
Edwards. At that time, he repeated his behavior of approaching her in her workplace parking lot.
Although she did not recognize him at first, D.B. “didn’t feel good about” the man. She told him
to go inside the building, where there was a security guard, and that she would talk to him inside.
The man ignored her and asked, “Can you be my doctor?” D.B. asked him his name. When he
identified himself as Alfred Banks, D.B. recognized him. She said that she could not be his
doctor and told him to leave. Despite D.B.’s responses, the appellant remained and repeatedly
asked her to be his doctor. D.B. went into the building as the security guard went outside. The
appellant left before the guard had the chance to speak with him. According to the security
guard, D.B. was upset and said “he[’s] back, he found me.”
The jury found the appellant guilty of misdemeanor stalking. In accordance with the
recommendation of the jury, the court sentenced him to twelve months in jail, with six months
suspended.
II. ANALYSIS
The appellant argues that the trial court erred by denying his proposed jury instructions
on prior offense evidence. He also contends that the trial court erred in admitting evidence of
prior contacts during the 1990s as proof that he “engaged in conduct directed at [D.B.] on more
than one occasion under the first element” of the stalking statute. Additionally, the appellant
argues that the evidence was insufficient to support his conviction because the Commonwealth
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did not prove that he “engaged in conduct directed” at the victim “on more than one occasion
during April of 2014” as was alleged in the warrant. Finally, he contends that the evidence was
insufficient to support his conviction because the Commonwealth failed to prove that his conduct
placed D.B. in reasonable fear of death, criminal sexual assault, or bodily injury.
A. Jury Instructions and Scope of Evidence
The appellant argues that the trial court erred by refusing his proposed jury instructions
limiting consideration of the evidence of his previous contacts with D.B. and allowing the jury to
consider them as evidence of the “on more than one occasion” element of stalking. The
Commonwealth responds that the appellant’s proffered instructions would improperly have
prevented the jury from considering whether those contacts established an element of the offense
for which he was on trial.
In proposing possible jury instructions, the appellant first suggested that the jury be
instructed that it “may consider evidence of [d]efendant’s prior contacts with [D.B.], specifically
contact which occurred prior to the dates of the alleged offense, only as evidence of the
defendant’s intent in connection with the offense for which he is on trial and for no other
purpose.” Alternatively, the appellant offered an instruction limiting consideration of the
testimony about prior conduct for purposes of establishing intent, motive, and factors other than
the element of “on more than one occasion.” The court refused both instructions based on its
ruling that the evidence of the appellant’s prior contacts with D.B. could be considered for
purposes of establishing any element of the offense.
The appellant argues that it was error for the trial court to refuse to give either of these
instructions to the jury. He reasons that consideration of the evidence of his prior contacts with
D.B. that occurred earlier than the preceding year violated the one-year statute of limitations for
the stalking charge. See Code §§ 18.2-60.3, 19.2-8.
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The decision regarding granting or denying a jury instruction generally rests “in the
sound discretion of the trial court.” Cooper v. Commonwealth, 277 Va. 377, 381, 673 S.E.2d
185, 187 (2009). However, whether an instruction “accurately states the relevant law is a
question of law” that the appellate court reviews de novo. Sarafin v. Commonwealth, 288 Va.
320, 325, 764 S.E.2d 71, 74 (2014) (quoting Lawlor v. Commonwealth, 285 Va. 187, 228, 738
S.E.2d 847, 870 (2013)). This Court’s “sole responsibility in reviewing” the trial court’s
decision “is to see that the law has been clearly stated and that the instructions cover all issues
which the evidence fairly raises.” Cooper, 277 Va. at 381, 673 S.E.2d at 187 (quoting Molina v.
Commonwealth, 272 Va. 666, 671, 636 S.E.2d 470, 473 (2006)).
This assignment of error requires interpretation of Code § 18.2-60.3. We apply de novo
review to purely legal questions of statutory interpretation. L.F. v. Breit, 285 Va. 163, 176, 736
S.E.2d 711, 718 (2013); see also Taylor v. Commonwealth, 64 Va. App. 282, 285, 767 S.E.2d
721, 723 (2015) (noting that whether a claim is barred by the statute of limitations is a question
of law). Further, under accepted principles of statutory construction, we look to the plain
meaning of the words contained in a statute to determine the General Assembly’s intent. Elliott
v. Commonwealth, 277 Va. 457, 463, 675 S.E.2d 178, 182 (2009). “If the language is clear and
unambiguous, we will assign the statute its plain meaning.” Browning-Ferris Indus. of S. Atl. v.
Residents Involved in Saving the Env’t, Inc., 254 Va. 278, 284, 492 S.E.2d 431, 435 (1997).
Consistent with this standard, “[t]he plain, obvious, and rational meaning of a statute is to be
preferred over any curious, narrow, or strained construction.” Meeks v. Commonwealth, 274
Va. 798, 802, 651 S.E.2d 637, 639 (2007) (alteration in original) (quoting Commonwealth v.
Zamani, 256 Va. 391, 395, 507 S.E.2d 608, 609 (1998)). Additionally, this Court must “give
effect to the legislature’s intention as expressed by the language used unless a literal
interpretation of the language would result in a manifest absurdity.” Conyers v. Martial Arts
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World of Richmond, Inc., 273 Va. 96, 104, 639 S.E.2d 174, 178 (2007). When statutory
language is subject to more than one interpretation, “we must apply the interpretation that will
carry out the legislative intent behind the statute.” Id. Separate “statutes must be read ‘as a
consistent and harmonious whole to give effect to the overall statutory scheme.’” L.F., 285 Va.
at 178, 736 S.E.2d at 719 (quoting Bowman v. Concepcion, 283 Va. 552, 563, 722 S.E.2d 260,
266 (2012)).
Stalking is defined in pertinent part as when a person “on more than one occasion
engages in conduct directed at another person with the intent to place, or when he knows or
reasonably should know that the conduct places[,] that other person in reasonable fear of death,
criminal sexual assault, or bodily injury.” Code § 18.2-60.3. The Supreme Court has explained
that the crime comprises three elements:
(1) the defendant directed his . . . conduct toward the victim on at
least two occasions; (2) the defendant intended to cause fear or
knew or should have known that his . . . conduct would cause fear;
and (3) the defendant’s conduct caused the victim “to experience
reasonable fear of death, criminal sexual assault, or bodily injury.”
Stephens v. Rose, 288 Va. 150, 155, 762 S.E.2d 758, 761 (2014) (quoting Parker v.
Commonwealth, 24 Va. App. 681, 685, 485 S.E.2d 150, 152 (1997)). Notably, the plain
language in Code § 18.2-60.3 does not place any limitation on when prohibited conduct must
have occurred. See Johnson v. Commonwealth, 58 Va. App. 625, 641, 712 S.E.2d 751, 759
(2011) (“We can only administer the law as it is written.” (quoting Uninsured Emplrs. Fund v.
Wilson, 46 Va. App. 500, 506, 619 S.E.2d 476, 479 (2005))).
First-offense stalking is a Class 1 misdemeanor. Code § 18.2-60.3. Consequently, a
prosecution for stalking “shall be commenced within one year next after there was cause
therefor.” Code § 19.2-8. “[T]he issuance of a warrant commences a prosecution” for statute of
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limitations purposes. Taylor, 64 Va. App. at 286, 767 S.E.2d at 723 (quoting Hall v.
Commonwealth, 2 Va. App. 159, 162, 342 S.E.2d 640, 641 (1986)).
A statute of limitations protects “against stale prosecutions.” Sandoval v.
Commonwealth, 64 Va. App. 398, 409, 768 S.E.2d 709, 715 (2015).
The purpose of a statute of limitations is to limit exposure to
criminal prosecution to a certain fixed period of time following the
occurrence of those acts the legislature has decided to punish by
criminal sanctions. Such a limitation is designed to protect
individuals from having to defend themselves against charges
when the basic facts may have become obscured by the passage of
time and to minimize the danger of official punishment because of
acts in the far-distant past. Such a time limit may also have the
salutary effect of encouraging law enforcement officials promptly
to investigate suspected criminal activity.
Toussie v. United States, 397 U.S. 112, 114-15 (1970), superseded by statute on other grounds,
50 U.S.C. § 462(d), as recognized in United States v. Kerley, 838 F.2d 932, 935 (7th Cir. 1988).
A “statute[] of limitations normally begin[s] to run when the crime is complete.”
Toussie, 397 U.S. at 115 (quoting Pendergast v. United States, 317 U.S. 412, 418 (1943))
(recognizing the exception to this general principle for continuing offenses); see also United
States v. Perry, 757 F.3d 166, 173 (4th Cir. 2014), cert. denied, 135 S. Ct. 1000 (2015). An
offense is “complete when the defendant has completed all of the elements of the crime.” See
Rowland v. Commonwealth, 281 Va. 396, 399, 707 S.E.2d 331, 333 (2011).
In this case, appellant completed the elements of the stalking in April 2014. Appellant’s
contact with D.B. at that time constituted an “occasion” of the “on more than one occasion”
element of Code § 18.2-60.3. The length of the time that elapsed between contacts did not as a
matter of law prevent completion of the offense in 2014. See Raja v. Commonwealth, 40
Va. App. 710, 721, 581 S.E.2d 237, 242 (2003) (noting that stalking, “by its very nature,
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involves multiple instances of conduct, taking place on ‘expansive dates’”1). Rather, the
chronology was a circumstance for the trier of fact to consider in determining whether the
Commonwealth proved the other elements of the offense: (1) whether the appellant “intended to
cause fear or knew or should have known that his . . . conduct would cause fear,” and
(2) whether the appellant’s “conduct caused the victim ‘to experience reasonable fear of death,
criminal sexual assault, or bodily injury.’” See Stephens, 288 Va. at 155, 762 S.E.2d at 761
(quoting Parker, 24 Va. App. at 685, 485 S.E.2d at 152). Consequently, the statute of limitations
began to run in April 2014 when the offense was complete.
The appellant further argues on appeal that the stalking that occurred in the 1990s was a
separate offense from any offense committed in 2014. However, he did not raise this specific
argument in the trial court.
Under Rule 5A:18, “[n]o ruling of the trial court . . . will be considered as a basis for
reversal unless an objection was stated with reasonable certainty at the time of the ruling, except
for good cause shown or to enable the Court of Appeals to attain the ends of justice.”
Interpreting Rule 5A:18, this Court has held that “[a] general argument or an abstract reference
to the law is not sufficient to preserve an issue.” Edwards v. Commonwealth, 41 Va. App. 752,
760, 589 S.E.2d 444, 448 (2003) (en banc), aff’d by unpub’d order, No. 040019 (Va. Oct. 15,
2004). In addition, “[m]aking one specific argument on an issue does not preserve a separate
legal point on the same issue for review.” Id.; see Copeland v. Commonwealth, 42 Va. App.
424, 441, 592 S.E.2d 391, 399 (2004). The purpose of the rule requiring an adequately
articulated objection is to allow both the trial court and the opposing party “the opportunity to
intelligently address, examine, and resolve issues in the trial court” in order to avoid unnecessary
1
“Expansive” is defined as “having considerable extent: broad” and is “characterized by
largeness . . . of scale.” Webster’s Third New International Dictionary 798 (2002).
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appeals and retrials. See Correll v. Commonwealth, 42 Va. App. 311, 324, 591 S.E.2d 712, 719
(2004).
The appellant never argued to the trial court that any stalking that occurred in the 1990s
was a separate offense from any 2014 stalking, as opposed to a single offense. This is the case
even though the prosecutor argued that the “gravamen of the statute” was “to prevent someone
from continuously harassing a person where they feel that they are in reasonable fear.” Instead,
the appellant argued that evidence of the earlier contacts was not probative of whether he stalked
D.B. during the April 2014 time period alleged in the warrant. Alternatively, he argued that the
evidence of the contacts occurring before April 2014 was relevant only to motive, scheme, or
plan, and not to an element of the offense. Although the appellant did argue at one point that
“there [was] not continuous contact between the defendant and the alleged victim,” he did so
only in response to the trial court’s observation that his previous interactions with D.B. tended to
show that he knew or should have known that his presence caused her fear.
The appellant’s failure to make the “separate offense” argument below deprived the
Commonwealth of the chance to address it and the trial court of the opportunity to make a ruling
on this legal issue. See Taylor, 64 Va. App. at 291 n.7, 767 S.E.2d at 726 n.7. At no point has
the appellant asserted that the ends of justice exception to Rule 5A:18 applies to permit this
Court to consider the separate offense challenge, and we decline to consider that limited
exception sua sponte. See Edwards, 41 Va. App. at 761, 589 S.E.2d at 448. In addition, the
appellant does not raise the “good cause” exception to Rule 5A:18, and a review of the record
does not provide any reason to invoke it. See Andrews v. Commonwealth, 37 Va. App. 479,
494, 559 S.E.2d 401, 409 (2002). As a result, we conclude that Rule 5A:18 bars our
consideration of this specific issue.
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In sum, the appellant’s argument that all of the conduct which comprises the elements of
the stalking offense must occur within the one-year statute of limitations fails. The statute of
limitations began to run when the crime was complete, which was in April of 2014. To hold
otherwise would insulate from prosecution a defendant who engages in prohibited contact every
year for a series of years as long as each subsequent contact occurs more than 365 days after the
previous contact. This interpretation would lead to an absurd result and cannot have been what
the General Assembly intended when it enacted the statutory scheme. See Turner v
Commonwealth, 65 Va. App. 312, 325, 777 S.E.2d 569, 576 (2015) (rejecting the defendant’s
proposed interpretation of a statute because it “would lead to absurd results”). Consequently, the
trial court did not err in allowing the jury to consider the evidence of the earlier contacts as
probative of the “on more than one occasion” element of the crime and in refusing the proffered
jury instructions, which would have limited the use of such evidence.2 We do not address
whether the conduct in the 1990s constituted a separate offense because the appellant did not
make this argument in the trial court.
2
Whether the trial court erred by not requiring the jury to limit its consideration of the
appellant’s prior contacts with D.B. is integrally related to his first assignment of error. That
assignment of error challenges the admission of testimony about the appellant’s contacts with
D.B. that occurred before the time period alleged in the warrant. The appellant alternatively
contends that the testimony was admissible for only a limited purpose and it should not have
been considered as proof of whether he engaged in conduct that violated the “on more than one
occasion” element of the statute. As this opinion makes clear, the challenged evidence was
probative to the “on more than one occasion” element of the offense. As evidence of an element
of the offense, the testimony was admissible without limitation. See Spencer v. Commonwealth,
240 Va. 78, 89, 393 S.E.2d 609, 616 (1990) (“Evidence of other crimes is admissible if it tends
to prove any fact in issue . . . .”); Sutphin v. Commonwealth, 1 Va. App. 241, 245, 337 S.E.2d
897, 899 (1985) (holding that evidence of other crimes “relevant to an issue or element” is
admissible). In light of this holding, we need not consider the appellant’s argument that the
evidence was admissible for a limited purpose or the Commonwealth’s contention that the
appellant failed to properly preserve his argument below. See, e.g., Commonwealth v. Swann,
290 Va. 194, 196, 776 S.E.2d 265, 267 (2015) (noting that appellate courts decide cases on the
“best and narrowest ground[] available” (quoting McGhee v. Commonwealth, 280 Va. 620, 626
n.4, 701 S.E.2d 58, 61 n.4 (2010))).
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B. Sufficiency of Evidence
The appellant’s third and fourth assignments of error challenge the sufficiency of the
evidence to support his conviction. He argues that the evidence was insufficient because the
Commonwealth did not prove that he engaged in conduct directed at the victim during the time
period alleged in the warrant. The appellant also contends that the Commonwealth failed to
prove that his conduct placed D.B. in reasonable fear of death, criminal sexual assault, or bodily
injury.
We review a challenge to the sufficiency of the evidence under well-settled legal
principles. On appeal, this Court considers the evidence in the light most favorable to the
Commonwealth, as the prevailing party below, granting to it all reasonable inferences that flow
from the evidence. Clark v. Commonwealth, 279 Va. 636, 640, 691 S.E.2d 786, 788 (2010).
“Viewing the record through this evidentiary prism requires [the Court] to ‘discard the evidence
of the accused in conflict with that of the Commonwealth . . . .’” Cooper v. Commonwealth, 54
Va. App. 558, 562, 680 S.E.2d 361, 363 (2009) (quoting Parks v. Commonwealth, 221 Va. 492,
498, 270 S.E.2d 755, 759 (1980)). We will reverse a trial court’s refusal to set aside a jury
verdict only if that verdict was “plainly wrong or without evidence to support it.” Code
§ 8.01-680. “If there is evidence to support the conviction[], the reviewing court is not permitted
to substitute its own judgment, even if its opinion might differ from the conclusions reached by
the finder of fact at the trial.” Clark, 279 Va. at 641, 691 S.E.2d at 788. The pivotal question on
appellate review of a sufficiency challenge is “whether, after viewing the evidence in the light
most favorable to the prosecution, any rational trier of fact could have found the essential
elements of the crime beyond a reasonable doubt.” Maxwell v. Commonwealth, 275 Va. 437,
442, 657 S.E.2d 499, 502 (2008) (quoting Jackson v. Virginia, 443 U.S. 307, 319 (1979)).
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1. Prior Contacts
The appellant contends in his assignment of error that “[t]he trial court erred by denying
[his] motions to strike the charge of stalking and motion to set aside the verdict where the
Commonwealth failed to prove that [he] engaged in conduct directed at [D.B.] on more than one
occasion during April of 2014.” In support of this claim, he argues that the Commonwealth
failed to establish two or more contacts within the timeframe alleged in the warrant.3
In support of his sufficiency challenge based on the warrant, the appellant cites
authorities that pertain to issues other than the sufficiency of the evidence. He references Bissell
v. Commonwealth, 199 Va. 397, 399, 100 S.E.2d 1, 3 (1957), and Raja v. Commonwealth, 40
Va. App. 710, 720-21, 581 S.E.2d 237, 242-43 (2003), in which the Supreme Court and this
Court considered whether an arrest warrant was defective. Similarly, the appellant cites
procedural requirements for warrants for the proposition that they must “describe the offense
charged with reasonable certainty” and provide the accused with notice of the nature and
character of the offense. See Code § 19.2-72 (listing requirements for criminal warrants); Rules
3A:4 (governing issuance and execution of arrest warrants), 3A:6(a) (providing the content
requirements of an indictment or information). However, the appellant’s assignment of error
does not allege that the warrant was defective or that he did not receive due process because of a
3
The warrant of arrest charged the appellant with violating Code § 18.2-60.3 “on or
about 04/14/2014 to 04/16/2014” by, “on more than one occasion[,] engag[ing] in conduct
directed at D.B. with the intent to place, or when [he] knew or reasonably should have known
that the conduct placed, such person in reasonable fear of death, criminal sexual assault, or
bodily injury.”
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variance between the dates alleged in the warrant and those proved at trial.4 This Court is limited
to reviewing the assignments of error presented by the litigant. See Rule 5A:12(c)(1)(i); Whitt v.
Commonwealth, 61 Va. App. 637, 646-47, 739 S.E.2d 254, 259 (2013) (en banc); Thompson v.
Commonwealth, 27 Va. App. 620, 626, 500 S.E.2d 823, 826 (1998) (noting that Rule 5A:12(c),
unlike Rule 5A:18, “contains no ‘good cause’ or ‘ends of justice’ exceptions”); cf.
Commonwealth v. Bass, 292 Va. 19, 26-32 & n.4, 786 S.E.2d 165, 169-72 & n.4 (2016) (holding
that failing to raise a claim regarding a variance between the charging document and the
evidence in proper form in the trial court results in a waiver under the contemporaneous
objection rule). Consequently, we do not consider issues touched upon by the appellant’s
argument but not encompassed by his assignment of error.
The appellant’s assignment of error expressly challenges only the sufficiency of the
evidence to prove an element of the offense. It is clear that in a criminal case appealed on
sufficiency grounds, the relevant question is whether “[any] rational trier of fact could have
found the essential elements of the crime beyond a reasonable doubt.” Maxwell, 275 Va. at 442,
657 S.E.2d at 502 (emphasis added) (quoting Jackson, 443 U.S. at 319). The appellant’s
sufficiency challenge fails because, insofar as the wording of his assignment of error is
concerned, the dates alleged in the warrant have no bearing on whether the evidence was
4
Established precedent provides that “when time is . . . of the essence of the offence,” the
charging instrument must “set out . . . the date of the alleged offence” and the prosecution is
“confined to the time as stated.” Cool v. Commonwealth, 94 Va. 799, 800-01, 26 S.E. 411, 411
(1896). Further, when time is of the essence, a warrant that does not meet these requirements is
procedurally defective. See id. (holding that time was “of the essence” of the offense charged
because the alleged date of the offense determined the statutorily prescribed punishment in light
of a statutory amendment). In Raja, this Court considered whether the arrest warrant for stalking
was defective. We recognized that when a “particular charge, by its very nature, involves
multiple instances of conduct,” if “the date of the offense” is not “‘shown to be significant,’ the
Commonwealth is not required to charge that it occurred on a specific date.” Raja, 40 Va. App.
at 721, 581 S.E.2d at 242 (quoting Marlowe v. Commonwealth, 2 Va. App. 619, 622, 347 S.E.2d
167, 169 (1986)).
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sufficient to establish the three elements of this offense. See Stephens, 288 Va. at 155, 762
S.E.2d at 761 (listing the elements of stalking). The only element relating to the “time” of the
commission of the offense is the element that the appellant “directed his . . . conduct toward the
victim on at least two occasions.” Id. The evidence establishes that he did so.
The Commonwealth was permitted to prove that the offense occurred on a date different
than the dates referenced in the warrant. See Raja, 40 Va. App. at 721, 581 S.E.2d at 242.
Consequently, we conclude that the appellant’s third assignment of error challenging the
sufficiency of the evidence establishing that the offense occurred on the dates alleged in the
warrant must fail.
2. Victim’s Fear
An element of the offense of misdemeanor stalking is that the defendant’s conduct caused
the victim “to experience reasonable fear of death, criminal sexual assault, or bodily injury.” See
Stephens, 288 Va. at 155, 762 S.E.2d at 761 (quoting Parker, 24 Va. App. at 685, 485 S.E.2d at
152). The appellant argues that the evidence was insufficient to prove this element of the
offense.
The standard for determining fear is “an objective one.” Id. at 157, 762 S.E.2d at 762.
“A victim need not specify what particular harm she fears to satisfy” this element. Id.; see also
Parker, 24 Va. App. at 685-86, 485 S.E.2d at 152 (decided under a former version of Code
§ 18.2-60.3). Further, the law is clear that “[c]ircumstantial evidence is as competent and is
entitled to as much weight as direct evidence, provided it is sufficiently convincing to exclude
every reasonable hypothesis except that of guilt.” Breeden v. Commonwealth, 43 Va. App. 169,
177, 596 S.E.2d 563, 567 (2004) (quoting Coleman v. Commonwealth, 226 Va. 31, 53, 307
S.E.2d 864, 876 (1983)). Nevertheless, “the Commonwealth need only exclude reasonable
hypotheses of innocence that flow from the evidence, not those that spring from the imagination
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of the defendant.” Archer v. Commonwealth, 26 Va. App. 1, 12, 492 S.E.2d 826, 832 (1997)
(quoting Hamilton v. Commonwealth, 16 Va. App. 751, 755, 433 S.E.2d 27, 29 (1993)).
“Whether an alternative hypothesis of innocence is reasonable is a question of fact . . . .” Id.
D.B. testified about the numerous times that the appellant contacted her against her
wishes. The two met at work in Richmond in 1990 and initially were cordial but merely distant
co-workers. D.B. did not provide the appellant with any of her contact information, nor did she
have any type of relationship with him. However, for two years after D.B. moved to another
city, the appellant telephoned her and wrote her letters averring that he wanted to marry her. The
unsolicited calls and letters stopped only after D.B. moved out of state to a third city. Once D.B.
moved back to Richmond in 1995, however, the appellant resumed unwanted contact by leaving
her letters at her workplace. In those letters, the appellant told her that he still wanted to have a
relationship with her. The appellant approached D.B. in her workplace parking lot during this
period, and his tone was aggressive. He stopped for “a few” years only after being told to do so
by law enforcement. Then, he found D.B. again and confronted her in her workplace parking lot.
He grabbed her car door and yelled, “Why won’t you talk to me?” Again, a law enforcement
officer contacted the appellant, and the appellant agreed that he would stop contacting D.B.
Regardless of his assurance, after a fifteen- to sixteen-year hiatus, the appellant approached D.B.
in her workplace parking lot. This time, he repeatedly asked her if she could be his doctor, even
after she said no and told him to leave. The appellant left only after D.B. entered the building
and a security guard went outside to the parking lot. D.B. testified that she “felt intimidated” and
“scared that this . . . was getting more and more aggressive.” According to the guard, D.B. was
upset and said that “he[’s] back, he found me.” D.B. was worried that “[the appellant] might try
to hit [her] or do something violent.”
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The appellant argues that the evidence was insufficient to prove the requisite element of
fear because of the long gap that preceded the April 2014 contact. He also argues that he never
threatened D.B. and in their final encounter he “only asked [D.B.] to be his doctor and then left
when she told him to leave.”
Although the appellant never actually touched D.B. or made specific verbal threats of
harm, explicit threats are not the only means by which someone can instill reasonable fear in
another. See Parker, 24 Va. App. at 685-86, 485 S.E.2d at 152 (affirming stalking conviction
based on a “barrage of unwelcome phone calls” even though the defendant did not overtly
threaten the victim). Based on the evidence, the jury was not plainly wrong in concluding that
the appellant’s actions would place an ordinary, reasonable person in fear of death, criminal
sexual assault, or bodily injury. The jury could reasonably conclude that the appellant’s
fifteen-year absence before he contacted D.B. again would cause a reasonable person to be more
fearful, not less. It is entirely logical that D.B. viewed the appellant’s fixation on her as more
threatening due to its long duration and unpredictability. Further, the evidence supported an
inference that the appellant’s persistence and ability to locate her would reasonably cause D.B.
fear as the target of his obsession. Finally, the appellant’s characterization of the last encounter
between him and D.B. does not view the evidence in the light most favorable to the
Commonwealth and fails to take into account D.B.’s specific testimony regarding her fear of him
as a result of their encounters. See, e.g., Clark, 279 Va. at 640, 691 S.E.2d at 788. Based on the
record before us, the evidence was sufficient for the jury to find beyond a reasonable doubt that
the appellant’s conduct caused D.B. to experience reasonable fear of death, criminal sexual
assault, or bodily injury.
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III. CONCLUSION
The trial court did not err by rejecting the appellant’s proposed jury instructions and
allowing the jury to consider evidence of the appellant’s contacts with D.B. that occurred before
the time period alleged in the warrant as relevant to the “on more than one occasion” element of
the offense. Further, the trial court did not err by admitting that evidence. In addition, the
Commonwealth was allowed to prove that contacts comprising elements of the offense occurred
on a different date than that contained in the warrant, and consequently the appellant’s challenge
to the sufficiency of the evidence establishing that the offense occurred on the dates alleged in
the warrant fails. Finally, the nature and duration of the appellant’s contacts with D.B. and her
testimony regarding her fear supported the jury’s finding that his conduct instilled a reasonable
fear of death, criminal sexual assault, or bodily injury. Accordingly, the appellant’s sufficiency
challenge to the evidence supporting the element of reasonable fear is without merit. For these
reasons, we affirm.
Affirmed.
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