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Appellate Court Date: 2018.01.22
12:54:07 -06'00'
In re Commitment of Smego, 2017 IL App (2d) 160335
Appellate Court In re COMMITMENT OF RICHARD SMEGO (The People of the
Caption State of Illinois, Petitioner-Appellee, v. Richard Smego, Respondent-
Appellant).
District & No. Second District
Docket No. 2-16-0335
Rule 23 order filed May 12, 2017
Motion to publish
allowed November 2, 2017
Opinion filed November 2, 2017
Decision Under Appeal from the Circuit Court of Lake County, No. 05-MR-1464; the
Review Hon. Victoria A. Rossetti, Judge, presiding.
Judgment Affirmed.
Counsel on Kevin P. Malia, of Malia & Rinehart, P.C., of Waukegan, for
Appeal appellant.
Lisa Madigan, Attorney General, of Chicago (David L. Franklin,
Solicitor General, and Michael M. Glick and Evan B. Elsner, Assistant
Attorneys General, of counsel), for the People.
Panel JUSTICE McLAREN delivered the judgment of the court, with
opinion.
Presiding Justice Hudson and Justice Spence concurred in the
judgment and opinion.
OPINION
¶1 In 2009, respondent, Richard Smego, was adjudicated a sexually violent person (SVP)
under the Sexually Violent Persons Commitment Act (Act) (725 ILCS 207/1 et seq. (West
2008)) and committed to the custody of the Department of Human Services (DHS). He now
appeals a judgment denying, without an evidentiary hearing, his petition for conditional
release (see 725 ILCS 207/60 (West 2014)). We affirm.
¶2 In 2005, the State petitioned to have respondent committed as an SVP, based on his 1995
convictions of aggravated criminal sexual abuse (720 ILCS 5/12-16(a)(1) (West 1994)) and
other offenses. The victim was a 14-year-old male. The court found probable cause to detain
respondent, and he was committed to the DHS. On June 17, 2009, the parties stipulated that
Drs. Joseph Proctor and Raymond Wood had evaluated respondent, and Proctor would testify
that respondent had “Paraphilia Not Otherwise Specified [(NOS)], Sexually Attracted to
Both”; Wood would testify that respondent had “Paraphilia Not Otherwise Specified,
Sexually Attracted to Non-Consenting Adolescent Males, Nonexclusive [T]ype”; and both
would testify that the respondent’s mental disorder made it substantially probable that he
would engage in future acts of sexual violence (see 725 ILCS 207/5(f) (West 2008)). On that
day, by an agreed order, the trial court found that respondent was an SVP and committed him
to the DHS until further order.
¶3 Respondent was reevaluated periodically (see 725 ILCS 207/55(b) (West 2010)), and
each time, the trial court found no probable cause to hold a hearing on whether he was still an
SVP in need of treatment on a secure basis. On January 15, 2013, the State moved for a
finding of no probable cause, submitting the report of Dr. Kimberly Weitl. On January 22,
2013, the trial court granted the State’s motion and continued respondent’s confinement.
¶4 On June 26, 2014, the State moved for a finding of no probable cause, and respondent
petitioned for conditional release. The State’s motion attached a report by Dr. Steven
Gaskell. Respondent requested that the court appoint Dr. Luis Rosell as his expert. Rosell
had examined respondent in 2012.
¶5 Rosell’s report was delayed. On June 25, 2015, the State again moved for a finding of no
probable cause; its motion attached a report by Gaskell, dated June 4, 2015. We summarize
the five pertinent reports, in chronological order.
¶6 In Weitl’s report, dated December 8, 2012, and based on an evaluation that she conducted
on October 30, 2012, and December 8, 2012, she stated as follows. At one point, respondent
had said that he had sexually abused between 10 and 30 adolescents, ages 13 to 17, for which
no charges had been brought. Most of the victims were male. Respondent withdrew from
treatment in 2010 but started over in January 2012. He was still in the second phase of the
five-phase program. Respondent had scored eight on the Static-99; this placed him in the
high-risk category for recidivism. He had also scored in the high-risk range on the Minnesota
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Sex Offender Screening Tool-Revised. Additionally, he had several risk factors for which
these tests did not account, including having been emotionally abused as a child, deviant
sexual interests, intimacy deficits, and preoccupation with sex. His limited treatment
experience, age (then 46), and medical condition were not protective factors. Weitl
recommended continued confinement, given the substantial risk that respondent would
reoffend.
¶7 In Rosell’s first report, dated December 12, 2012, he stated as follows. He evaluated
respondent on August 17, 2012, and September 6, 2012. In 1994, respondent abducted a
14-year-old male at knifepoint, drove him to a warehouse, and sexually assaulted him. In
2005, respondent drove to Las Vegas with three other people and was accused of sexually
assaulting a 17-year-old male; an investigation turned up inconsistencies in the accusation,
and no charges were brought. Respondent told Rosell that he had previously withdrawn from
treatment after being sexually assaulted by a member of his treatment group but then was
forced to remain in the group.
¶8 Rosell noted that Proctor, Wood, and subsequent evaluators had diagnosed respondent
with paraphilia, not otherwise specified. Rosell stated, however, that “[t]he clinical diagnosis
of mental disorders in the [American Psychiatric Association’s diagnostic manual (DSM)]
does not exist for legal purposes. The legal definition involves impairments and the issue of
emotional or volitional capacity. These areas are not covered in the DSM nomenclature.”
Further, “whether Paraphilia, NOS, sexually attracted to nonconsenting persons is a
legitimate diagnosis is controversial in the field.”
¶9 Rosell also stated that risk-prediction tools such as the Static-99 had proven to be highly
imprecise. According to Rosell, respondent’s score of three on the Static-99 placed him in
“the low-moderate range relative to other sex offenders.” Rosell noted that Wood and Weitl
had scored respondent higher, but he explained, “This was based on considering his 2005
violation as a sexual offense even though he was never charged with one.” Respondent’s
score on the Static-2002R was four, placing him in the low-moderate range for likelihood of
reoffending. Finally, his score of two on the MATS-1, a newer actuarial tool, placed him in
the moderate range.
¶ 10 Rosell recommended conditional release for respondent. He believed, to a reasonable
degree of psychological certainty, that because respondent was “lower risk compared to the
majority of individuals who are currently [SVPs, respondent] could be supervised, managed
and treated in the community.”
¶ 11 We turn to Gaskell’s 2014 report. It summarized respondent’s criminal history. In
addition to the 1994 offenses, it noted that, in November 1994, the son of respondent’s
girlfriend reported that respondent had sexually abused him in 1993 and might have molested
the girlfriend’s other son. In September 2005, respondent was arrested for violating his
parole by going to Las Vegas. He denied having sex with anyone during his unauthorized
absence. He did admit to Gaskell that, starting in 1980, he had sexually assaulted a total of 10
males.
¶ 12 Gaskell reported that respondent scored six on the Static-99R, placing him in “the High
Risk category for being charged [with] or convicted of another sexual offense.” He scored six
on the Static-2002R, placing him in “the Moderate Risk Category.” Also, respondent had
several empirical risk factors that were not measured by the foregoing risk-assessment tools:
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deviant sexual interests, impulsiveness or recklessness, noncompliance with supervision,
early onset of sex offending, and intimate relationship conflicts.
¶ 13 Gaskell noted that, during the past year, respondent had reentered the second phase of the
five-phase treatment program. He was working on his sexual-offense timeline and “ha[d] yet
to accept full responsibility for his sexual offense or to work on his sexual assault cycle.” He
had not yet developed a relapse-prevention plan. According to Gaskell, respondent’s progress
in treatment was not “sufficient to reduce his substantial risk for sexually violent
re-offending.” Gaskell opined that it was substantially probable that respondent would
engage in acts of sexual violence in the future. He recommended that respondent remain
committed in the DHS facility.
¶ 14 Gaskell’s second report, filed June 4, 2015, and based on an evaluation conducted on
May 5, 2015, stated in pertinent part as follows. Respondent’s treatment-plan review of July
31, 2014, showed that he had actively participated in treatment. He had made progress in the
second phase of treatment and had told Gaskell that he had completed his sexual-offense
timeline and anticipated moving into the third phase of treatment in the coming year. He said
that he had no desire to reoffend.
¶ 15 Gaskell opined that respondent met the DSM criteria for “Other Specified Paraphilic
Disorder, Sexually Attracted to Nonconsenting Males, Nonexclusive Type.” Respondent had
scored six on the Static-99R, placing him in the high-risk category for being charged with or
convicted of a sexual offense. He had scored six on the Static-2002R, placing him in the
moderate-risk category. Moreover, he had the other empirical risk factors noted in the 2014
report. His age (then 48) had not been consistently found to be associated with decreased risk
of recidivism.
¶ 16 Gaskell opined that respondent had not made sufficient progress in treatment to be placed
on conditional release. Although he had participated in treatment over the preceding year, he
had not accepted full responsibility for his offenses, completed his sexual-assault cycle, or
developed a relapse-prevention plan. In short, he had not made “sufficient progress to lower
his risk.” Gaskell opined that, to a reasonable degree of psychological certainty, it was
substantially probable that respondent would engage in sexual violence in the future.
¶ 17 Rosell’s second report was dated September 15, 2015, and based on an evaluation
conducted June 24, 2015. Under the heading “Current Evaluation,” it noted the following.
Respondent reported that he had few sexual thoughts, none deviant, and that his sexual desire
was slight. He wanted to reside in the Chicago or Waukegan area and had been offered work
as a paralegal with a Chicago law firm.
¶ 18 Under “Previous Diagnoses,” Rosell reiterated his 2012 statement that the clinical
diagnosis of a mental disorder in the DSM “does not exist for legal purposes,” as the legal
definition involves impairments and volitional capacity. Also, the diagnoses that Gaskell and
other examiners had made of respondent had not been accepted in the DSM. Under
“Assessing Risk,” Rosell reiterated his criticisms of predictive tools and stated, as he had in
his 2012 report, that respondent actually scored three on the Static-99R and that this placed
him in “the low-moderate range relative to other sex offenders.” Also, on the Static-2002R,
respondent scored four, placing him in the moderate range. On the MATS-1, respondent
scored two, placing him in the “medium range.”
¶ 19 Rosell’s report concluded as follows:
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“Under typical but not all circumstances, the concept of sufficient progress is
interpreted by evaluators as representing progress made though treatment efforts by
the respondent. This concept is also viewed as representing the amount necessary to
move the person’s risk level from the time of commitment to a level below
substantially probable. Therefore, as I opined previously, [respondent] has made
sufficient progress for the court to consider that he be placed on conditional release.
The protective factors [include] treatment understanding, one known victim, time in
the community without reoffending, over twenty years since his last sexual offense,
low-moderate risk on three actuarial instruments and an appropriate release plan. In
my opinion, I believe to a reasonable degree of psychological certainty that because
he is lower risk compared to the majority of the individuals who are currently
sexually violent persons, [respondent] could be supervised, managed and treated in
the community.”
¶ 20 On April 6, 2016, after hearing arguments, the trial court granted the State’s motion for a
finding of no probable cause and denied respondent’s petition for conditional release. 1 He
timely appealed.
¶ 21 On appeal, respondent contends that he met the threshold for obtaining an evidentiary
hearing on his petition. The governing provision is section 60(c) of the Act:
“The court shall set a probable cause hearing as soon as practical after the examiners’
reports are filed. The probable cause hearing shall consist of a review of the
examining evaluators’ reports and arguments on behalf of the parties. If the court
finds probable cause to believe the person has made sufficient progress in treatment
to the point where he or she is no longer substantially probable to engage in acts of
sexual violence if on conditional release, the court shall set a hearing on the issue.”
725 ILCS 207/60(c) (West 2014).
¶ 22 Respondent notes that, although Gaskell recommended denying conditional release,
Rosell recommended granting it. He argues that the trial court was not allowed to credit one
expert opinion over the other but was limited to deciding whether respondent was entitled to
an evidentiary hearing at which the ultimate factual and legal issues could be decided. He
reasons that there was sufficient evidence at the preliminary stage to warrant a hearing.
¶ 23 Whether respondent met the probable-cause threshold is an issue of law, which we
review de novo. In re Detention of Stanbridge, 2012 IL 112337, ¶ 56. In a probable-cause
hearing on a petition for conditional release, a respondent must only “ ‘ “establish a plausible
account on each of the required elements to assure the court that there is a substantial basis
for the petition.” ’ ” (Emphasis in original.) Id. ¶ 58 (quoting In re Detention of Hardin, 238
Ill. 2d 33, 48 (2010), quoting State v. Watson, 595 N.W.2d 403, 420 (Wis. 1999)). The court
must consider the reasonable inferences that can be drawn from the evidence, but it must not
choose between conflicting facts or inferences or engage in a full and independent evaluation
of an expert’s credibility and methodology. Id.
1
In explaining her decision, the trial judge mistakenly cited the statutory requirements for discharge
(see 725 ILCS 207/65 (West 2014)), not for conditional release. The error is of no consequence, as our
review is de novo, and we are concerned with the correctness of the judgment and not the reasoning
given in support.
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¶ 24 It is important to note, however, that in a postcommitment hearing on a petition for
discharge or conditional release, the validity of the original commitment order is not at issue.
In setting out the burden imposed on a petitioner who seeks an outright discharge on the basis
that he is no longer an SVP (see 725 ILCS 207/65 (West 2014)), the Stanbridge court noted
that, in that situation, a court has already found that the petitioner is an SVP. See Stanbridge,
2012 IL 112337, ¶ 72. Thus, even at this preliminary stage, the petitioner must present some
plausible evidence of a change in the circumstances that led to the original finding. Id. The
change in circumstances can be one “in the committed person, *** in the professional
knowledge and methods used to evaluate a person’s mental disorder or risk of reoffending, or
even *** in the legal definitions of a mental disorder or a sexually violent person, such that a
trier of fact could conclude that the person no longer meets the requisite elements.” Id.
¶ 25 On a petition for conditional release, there is no more basis to challenge the court’s
original finding that the petitioner was an SVP who must be committed to the custody of the
DHS and for whom conditional release is not appropriate (see 725 ILCS 207/40(b)(2), (b)(3)
(West 2014)). Thus, even at the preliminary probable-cause stage, the propriety of the
original finding is not at issue, and the petitioner cannot show the required change in
circumstances merely by casting doubt on the original commitment order. Because the
petitioner has not yet obtained conditional release, and has recently been found not to merit
it, he must allege and eventually prove changed circumstances that support the requested
relief. And it follows that, at the probable-cause hearing, the plausible evidence that is
required is of changed circumstances such that “ ‘it is not substantially probable that the
person will engage in acts of sexual violence if on *** conditional release.’ ” Stanbridge,
2012 IL 112337, ¶ 54 (quoting 725 ILCS 207/60(c) (West 2008)).
¶ 26 We turn to respondent’s argument on appeal. He contends that Rosell’s report, and other
evidence before the trial court, provided the needed quantum of proof for his petition to
survive initial scrutiny and move to an evidentiary hearing. Respondent notes that, since the
previous no-probable-cause finding, he completed more of his treatment, although, as of the
court’s ruling, he was still in the second phase of the five-phase program. Respondent also
notes that Rosell gave him relatively favorable scores on the risk-assessment tools and
opined that he would be suitable for conditional release.
¶ 27 We do not find respondent’s arguments persuasive. Of course, we recognize that, in the
period between the most recent no-probable-cause finding and the trial court’s ruling,
respondent did complete some additional therapy. That does little to support a finding that he
had made sufficient “progress in treatment” (emphasis added) (725 ILCS 207/60(c) (West
2014)) such that it was no longer substantially probable that he would engage in acts of
sexual violence were he released. Moreover, that respondent was still in the second stage of a
five-stage program that has been deemed necessary and appropriate to reduce this probability
cuts strongly the other way.
¶ 28 Rosell’s interpretation of the actuarial risk-assessment tests was also of little value toward
resolving the question of whether respondent had made sufficient progress in therapy since
his previous periodic reexamination. In his 2015 report, Rosell gave respondent more
favorable scores than had Weitl in 2012 or Gaskell in either 2014 or 2015. But this was
because of Rosell’s disagreement with their methodology. There was little difference
between Rosell’s assessment of respondent in 2012 and his assessment in 2015. Thus,
Rosell’s differences with Weitl and Gaskell went to the validity of the earlier adjudications of
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respondent’s risk level and had no independent significance beyond calling into question
judicial decisions that had been settled when respondent filed his petition for conditional
release. And Rosell’s conclusion that respondent is less likely to reoffend than other SVPs
was likewise based on his different methodology, not on any progress in therapy that
respondent had made since his last reexamination.
¶ 29 Respondent also contends that his age was a protective factor to which the trial court
should have given more weight. However, respondent does not suggest how his age alone,
which Weitl and Gaskell rejected as a protective factor, would create probable cause to
believe that it was no longer substantially probable that he would reoffend if released.
¶ 30 In sum, although the probable-cause threshold is not high, neither is it minimal. The trial
court did not err in finding that respondent had not satisfied it and in denying him an
evidentiary hearing on his petition for conditional release.
¶ 31 For the foregoing reasons, the judgment of the circuit court of Lake County is affirmed.
¶ 32 Affirmed.
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