2018 IL App (1st) 162555
No. 1-16-2555
Opinion filed June 29, 2018
Fifth Division
______________________________________________________________________________
IN THE
APPELLATE COURT OF ILLINOIS
FIRST DISTRICT
______________________________________________________________________________
In re COMMITMENT OF STEVEN TUNGET, )
) Appeal from the
(The People of the State of Illinois, ) Circuit Court of
) Cook County.
Petitioner-Appellee, )
) No. 04 CR 80005
v. )
) Honorable
Steven Tunget, ) Dennis J. Porter,
) Judge, presiding.
Respondent-Appellant). )
JUSTICE LAMPKIN delivered the judgment of the court, with opinion.
Presiding Justice Reyes and Justice Hall concurred in the judgment and opinion.
OPINION
¶1 Respondent, Steven Tunget, was adjudicated a sexually violent person (SVP) as defined
by the Sexually Violent Persons Commitment Act (Act) (725 ILCS 207/1 et seq. (West 2008))
and subsequently institutionalized in a secure setting. The trial court later conditionally released
respondent; however, the conditional release was revoked on the State’s petition. On appeal,
respondent contends that the trial court erred in revoking his conditional release and
recommitting him to institutional care. Respondent additionally claims that the trial court abused
No. 1-16-2555
its discretion in allowing expert testimony that relied upon a nonstatutory standard. Based on the
following, we affirm.
¶2 FACTS
¶3 Respondent, who is 61 years old, was diagnosed with paraphilia, not otherwise specified;
voyeurism; exhibitionism; and antisocial personality disorder. He was detained under the Act in
2004 after a finding that it was substantially probable that he would engage in acts of sexual
violence. Thereafter, while institutionalized in a secure setting, respondent participated in the
Illinois Department of Human Services’ (DHS) sex offender treatment program.
¶4 On October 6, 2010, respondent filed a petition for conditional release. At the hearing on
respondent’s petition, Dr. Kimberly Weitl, a DHS evaluator, and Dr. Lesley Kane, an examiner
appointed by the court, recommended respondent’s conditional release. The trial court granted
respondent’s petition. DHS then prepared a conditional release plan requiring respondent to
agree to abide by the 52 listed conditions of release. On August 20, 2012, the trial court approved
the conditional release plan, which respondent agreed to by signing and initialing the plan next to
each condition. In relevant part, the conditional release plan required that respondent (1) refrain
from having any contact with other sex offenders outside the treatment setting without prior
approval (Condition 16), (2) refrain from having any contact with a minor child without prior
approval (Condition 17), (3) “provide a daily log of activities and monthly written reports as
directed by the DHS case management team” (Condition 27), (4) comply with all conditions
imposed by the conditional release agent and DHS case management team to restrict high-risk
situations and access to potential victims (Condition 28), and (5) refrain from having anyone in
his apartment without prior approval (Condition 50).
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¶5 Respondent remained on conditional release until the State filed a petition to revoke that
status. The petition was filed on July 15, 2015, and respondent was detained in a secure facility
pending a hearing. On August 24, 2015, the State filed an amended petition to revoke
respondent’s conditional release, alleging he violated six conditions of his conditional release
plan, namely, Conditions 11 (become self supporting and gainfully employed), 16, 17, 27, 28,
and 50. The State’s petition additionally alleged respondent’s conditional release should be
revoked to protect the safety of others. More specifically, the State alleged respondent
(1) engaged in inappropriate conversations with women in the community and misinterpreted the
women’s intentions as sexual advancements, (2) failed to make sufficient progress in treatment,
(3) frequently and intently watched his neighbors, and (4) consistently failed to be honest with
his case management team. Prior to the hearing, respondent moved to strike the allegation that he
violated Condition 11 where the State failed to present a sufficient claim to support revocation of
his conditional release on that basis. The trial court granted respondent’s motion.
¶6 The State presented three witnesses at the revocation hearing: Stephen Glazier,
respondent’s conditional release agent; Rhonda Meacham, respondent’s conditional release
treatment provider; and Dr. Weitl, who had been conducting periodic reexaminations of
respondent for eight years. Prior to the hearing, respondent attempted to bar Dr. Weitl’s
testimony, arguing she had no relevant admissible opinion because her opinion differed from the
statutory standard for conditional release and she inappropriately destroyed the notes she took
during her consultation with Meacham and interview with respondent. Respondent’s motion to
bar Dr. Weitl from testifying was denied.
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¶7 At the hearing, Glazier testified that, as respondent’s conditional release agent, he
monitored and supervised respondent while on conditional release through home contact visits
and surveillance. Glazier used a written log to memorialize his contacts with respondent and
wrote violation reports when respondent violated a condition of his release. Glazier stated that
respondent was assigned an apartment by DHS and was limited to home confinement, like all
SVPs, when first released.
¶8 Glazier testified that he completed a violation report on September 4, 2013, as a result of
respondent violating Condition 17 of his release plan. More specifically, Condition 17 prohibited
respondent from having any contact with a minor without prior approval, yet respondent sent a
homemade birthday card to the daughter of his former girlfriend, Takika Winston. Prior to
respondent’s conditional release, he was explicitly told that he could not have any contact with
Takika’s daughter. Takika’s daughter was believed to be 16 years old when respondent sent her
the birthday card. Respondent told Glazier that he placed the card in the mailbox as he exited his
apartment to meet Glazier. Respondent acknowledged that he was “not supposed” to mail the
card.
¶9 Glazier additionally testified that, on October 20, 2014, he completed another violation
report, resulting from three condition violations. The first was for a violation of Condition 16,
i.e., unauthorized contact outside of the treatment setting with a sex offender. Glazier explained
that, while conducting an unannounced home visit, he was standing outside respondent’s
apartment when he heard respondent’s voice engaged in a conversation. Glazier knocked on the
apartment door, but respondent failed to answer. Glazier proceeded to call respondent two times
without success. Glazier continued knocking on the apartment door until respondent eventually
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opened the door. After looking through respondent’s apartment and failing to find any occupants,
Glazier inquired whether respondent had been on the phone. Respondent said no. Respondent
acknowledged that he had been speaking through the window to another SVP named Troy K. in
the adjacent building. Respondent initially reported that he spoke to Troy K. a few times;
however, after further questioning, respondent admitted that he had been speaking to Troy K.
twice a day for a few months. According to respondent, he and Troy K. engaged in “general
conversation.” They did not plan anything illegal or commit any sex offenses. Glazier testified
that respondent previously requested authorization through the program to speak to Troy K., but
was denied approval to do so. Respondent acknowledged he was not supposed to speak to Troy
K. outside the treatment setting, yet he did anyway. Glazier stated that he was responsible for
transporting respondent and Troy K. to treatment because they were on restricted movement or
home confinement. Glazier drove them together to treatment, as well as to the grocery store and
Laundromat.
¶ 10 Glazier testified that the second violation included in the October 20, 2014, report was for
respondent’s violation of Condition 27 because he failed to include his communications with
Troy K. in his daily log of activity. Glazier described the daily event log as a log kept by the
individual on conditional release providing the details of his or her daily activities, including
finances, communications (in person and by telephone), reading habits, and television programs
watched. The daily logs were collected and reviewed on a weekly or bi-weekly basis. Glazier
explained that the purpose of the daily logs was transparency by the SVP with the conditional
release team. According to Glazier, respondent only logged two dates, October 10, 2014, and
October 15, 2014, for having communicated with Troy K.
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¶ 11 According to Glazier, the third conditional release violation included in the October 20,
2014, violation report was for Condition 28, which required respondent to comply with all
special conditions imposed by the conditional release agent and DHS management team to
restrict him from high-risk situations and access to potential victims. Respondent violated the
condition by communicating with Troy K., despite Glazier’s prior instruction to not have outside
contact with the fellow SVP. As a result of the conditional release violations, respondent’s
windows were covered on the side of the apartment adjacent to Troy K.’s building. Thereafter, in
January 2015, respondent was relocated to another apartment.
¶ 12 Glazier further testified that, on April 25, 2015, he wrote a letter of admonishment
resulting from a phone message he received from respondent. In the message, respondent
informed Glazier that he was in his kitchen with the door open to get fresh air, which had been
approved, when a neighbor knocked on his door. The female neighbor asked if she could walk
through respondent’s apartment to get to her front door because she was locked out. In the letter
of admonishment, Glazier cited Condition 50 because respondent did not have prior
authorization to have anyone in his apartment. Glazier added that respondent called him several
times after leaving the initial voicemail. Respondent did not attempt to touch the neighbor.
Glazier explained that respondent received a letter of admonishment and not a violation because
he immediately reported the interaction.
¶ 13 Meacham testified that she was a licensed clinical social worker and sex offender
treatment provider and evaluator. Meacham provided respondent’s individual and group therapy
while he was on conditional release. Meacham was deemed an expert in sex offender treatment.
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¶ 14 Meacham testified that respondent admitted violating a condition of his release in
September 2013 by contacting Takika’s minor daughter. Respondent reported that he sent the
minor Christmas and birthday cards, as well as a letter. According to Meacham, she had “many
conversations” (between 5 and 10) in which respondent was told that he could not contact
Takika’s daughter.
¶ 15 Meacham also discussed events that occurred in June, July, and August 2014. The first
interaction involved a woman who allegedly invited respondent to be her roommate. The second
interaction involved a woman that respondent had contact with in connection with his medical
transportation services. Respondent reported to Meacham that he rode in the front seat of the
vehicle while being transported. The female driver purchased ice cream for respondent and put
her hand on respondent’s leg while they shared conversations about their families. Respondent
also shared information regarding his participation in the program with the driver. According to
Meacham, respondent withheld reporting the incident for a “period of time” and did not include
the interactions in his daily logs. Meacham testified that the boundaries between respondent and
the female driver were inappropriate. Later, respondent further informed Meacham that, during
another transport with the same female driver, she disclosed that she was a victim of sexual
abuse. Respondent then shared his own history of victimization with the driver. After that
interaction, respondent requested that he only receive male medical transport drivers. Despite his
request, the next time he needed to be transported, the same female driver arrived. Respondent
told Meacham that the pair continued having personal conversations during the transport. The
third interaction involved a woman at Target. Respondent told Meacham that he would become
excited when he knew that he was going to Target, hoping he would “run into” the woman.
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Meacham testified that respondent’s behaviors were concerning because he lacked the ability to
establish boundaries regardless of the consequences. Meacham added that she was concerned
with respondent’s decision to withhold information from his care providers.
¶ 16 Meacham further testified that respondent engaged in concerning behavior in September
2014. At that time, respondent reported his observations of other individuals in his apartment
complex to the building management. Respondent “seemed to have a great deal of information
about some of the tenants in the building.” This was concerning in light of respondent’s
voyeurism and exhibitionism diagnoses, as well as in terms of respondent’s own safety because
he was witnessing alleged criminal behavior within the building. In fact, in October 2014,
respondent reported witnessing a drug transaction through his window. He called the police and
“watched everything unfold.”
¶ 17 Meacham added that, also in October 2014, she learned respondent had been
communicating with another client in the conditional release program who was housed in the
adjacent building. The pair had been communicating once or twice per day for a “couple of
months” through the window. Meacham testified that the communications were violations of
respondent’s conditional release. According to Meacham, the pair had general conversations
about their day and what they watched on television; however, they had a couple of “fairly
negative conversations about their conditional release agents.”
¶ 18 Respondent additionally reported to Meacham that, in October 2014, he had an
interaction with a nurse at a doctor’s appointment. Respondent believed the nurse “gave him a
lingering handshake.” According to Meacham, respondent interpreted the handshake as an
“attraction.” He responded by telling the nurse she was attractive.
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¶ 19 Meacham further testified that, in December 2014, respondent reported that he walked
through his apartment naked after showering and passed two pictures of former girlfriends while
doing so. When he walked by the pictures, respondent asked “what they were looking at.”
Respondent stated that he masturbated to fantasies of the interactions. Meacham testified that
respondent did not include the sexual activity in his sexuality logs, which she required
respondent to keep. Meacham clarified that the sexuality logs were not a separate condition in his
conditional release plan but, rather, were part of the condition that required him to fully
participate in treatment.
¶ 20 Also, in December 2014, respondent had an interaction after undergoing hernia surgery.
When he woke from the surgery, he discovered his genital area had been shaved and reported
wondering “whether or not the nurse who shaved him had liked what she saw.” Respondent
additionally reported that, when asked by a hospital nurse if she could view his surgical stitches,
he fantasized that she was asking to see his penis. Respondent also lifted his clothes to reveal his
stitches to group members and the conditional release agents. Meacham testified that respondent
asked if she wanted to see respondent’s stitches. Meacham believed respondent’s behaviors
served to reinforce his interest in exhibitionism.
¶ 21 Meacham opined that respondent was in his “offending cycle,” meaning “a progressive
build up in thought and behavior and emotion typically that if not intervened on it could result in
reoffense.” Meacham did not believe respondent was aware he was in his offending cycle.
Meacham discontinued her work with respondent in May 2015 due to other responsibilities. As a
result, respondent was transitioned to a different therapist. His group therapy sessions no longer
consisted of only SVPs, but also included individuals on probation and parole. Meacham
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described respondent’s progress in the program as “variable.” Meacham explained that, initially
when he was released, there was a period of stability and progress; however, around June 2014,
respondent started to decline. Meacham observed no progress from that time until May 2015.
Meacham also described a shift in respondent’s willingness to share information close in time to
when a given event occurred.
¶ 22 On cross-examination, Meacham described respondent as “a verbally active participant”
in group therapy. Meacham testified that she was unaware of the content of the cards respondent
sent to Takika’s minor daughter. Meacham stated there was no evidence he sent unauthorized
mail to a minor after that incident. Meacham additionally testified that there was no indication
respondent touched or made inappropriate comments to the female medical transport driver, nor
was there any evidence respondent attacked, touched, flashed, or made sexual comments to the
female Target employee. Meacham stated there was no indication that respondent became
sexually aroused by watching his neighbors.
¶ 23 Dr. Weitl testified next. Dr. Weitl was qualified as an expert in clinical psychology in the
evaluation and risk analysis of sex offenders. Dr. Weitl testified that she reevaluated respondent
on an annual basis as required by the Act. In her initial evaluation in 2008, Dr. Weitl learned
respondent’s sexually violent history. The first incident of record was in 1977 wherein
respondent committed a sexual offense against a 15-year-old girl that was babysitting
respondent’s brother. Respondent was 20 years old at the time. In 1981, respondent was
convicted of public indecency after he was found peeping over a bathroom stall at a 10-year-old
girl and an 11-year-old girl while he had his pants down. In 1982, respondent was convicted of
attempted rape by force involving a 14- or 15-year-old girl. In 1984, respondent was convicted of
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No. 1-16-2555
aggravated battery wherein he broke into a woman’s home, dragged her to the bathroom, forced
her to undress, banged her head on the floor or sink, commanded her to get into the bathtub, and
then he fled. In 1986, respondent was found to be a sexually dangerous person after 14 charges
were filed against him, including placing obscene phone calls, exposing himself to minors,
exposing himself outside of a store, and masturbating in a parking lot. Dr. Weitl testified that
respondent was discharged from the sexually dangerous persons program in 2003. However,
approximately three months later, respondent was convicted of criminal sexual abuse in relation
to groping an 11-year-old girl’s buttocks while in a grocery store. Respondent attempted to pay
off the child’s father to not report the incident and attempted to flee. While in prison following
his conviction, respondent exposed himself to female correctional officers.
¶ 24 Dr. Weitl testified that she recommended respondent for conditional release in August
2012. According to Dr. Weitl, respondent “appeared from [her] treatment notes and from [her]
interview with him to have gained benefit from treatment. He had a long pattern of treatment
before that. He was in the final phases of treatment at the facility. So [she] recommended him for
release.”
¶ 25 Dr. Weitl stated, however, that she wrote a report in June 2015 upon which the State
based its underlying petition to revoke respondent’s conditional release. Prior to writing the
report, Dr. Weitl conducted her annual reevaluation, which consisted of reviewing the records
from the case management team, the therapist’s notes, completed assessments, polygraphs, and
penile plethysmograph examinations, which measure sexual arousal, and conducting interviews
with Meacham and respondent. Dr. Weitl testified that, as a result of her reevaluation, she
recommended that respondent required “more supervision and more intense therapy than could
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No. 1-16-2555
be provided in the community and that he be returned to the facility.” Specifically, in her June
2015 report, Dr. Weitl opined that respondent’s “progress in treatment [wa]s insufficient for him
to continue to be safely managed and treated in the community on Conditional Release and he
should be returned to the DHS [facility] for secure care and intense sex offender specific
treatment.” Dr. Weitl explained at trial that respondent was “engaging in high risk behaviors, in
his cycle and not recognizing it, and ready to reoffend. [Respondent] was not being honest. There
were some serious concerns about what exactly he was doing. There had been some polygraph
failures and then he would tell a little bit. So there were some serious indicators that [respondent]
was not safe out there.” Dr. Weitl added that respondent was not following the conditions of his
release and disclosed only limited details of his violations after failing multiple polygraph tests.
Moreover, after returning to the secure facility, respondent still did not admit the extent of his
conditional release violations. Dr. Weitl opined that respondent continued to be an SVP and “that
he’s substantially probable to commit another act of sexual violence if not confined to a secure
facility.”
¶ 26 Dr. Weitl continued by stating that, since having completed the June 2015 report, she had
reviewed respondent’s DHS reports through February 2016. Based on what she had learned, Dr.
Weitl did not change her opinion from that rendered in the June 2015 report. Dr. Weitl
elaborated that, in that time period, respondent had not addressed his sexual deviance and
provided “extremely vague” disclosures in his group therapy. Dr. Weitl acknowledged that
respondent had not had any “tickets for sexual misconduct” since he had been back in the
secured setting. Dr. Weitl additionally acknowledged a therapist’s monthly progress note from
October 13, 2015, which provided that respondent had “processed the violations and warnings
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No. 1-16-2555
that ultimately led to his return from conditional release.” Dr. Weitl, however, dismissed the
therapist’s note as “a summary” that had been “over-generaliz[ed].” Dr. Weitl also
acknowledged that respondent passed his most recent polygraph exam administered in July 2015.
¶ 27 At the close of the hearing, respondent moved for a directed finding. The motion was
granted as to the allegation related to sending a card to Takika’s minor daughter. The remainder
of the motion was denied. Respondent then moved to strike Dr. Weitl’s testimony, arguing the
State failed to disclose her opinion in its Illinois Supreme Court Rule 213 (eff. Jan. 1, 2007)
interrogatory response. The trial court denied respondent’s motion without providing a basis for
its ruling.
¶ 28 On April 11, 2016, the trial court found respondent had violated conditions of his release
and, therefore, his conditional release should be revoked. In so finding, the court stated:
“The statute requires that at this hearing that the defendant’s conditional release
may be revoked, *** it’s discretionary. After hearing that any rule or *** condition of
release has been violated, or that the safety of others requires a conditional release be
revoked. ***
So [I] think the statute requires some *** imminent danger to somebody ***. At
least that’s the way I’m going to take this. I don’t think the State has shown that, some
imminent danger to a specific person.
On the other side, that is that any rule or condition of release has been violated,
*** I don’t see there being any issue, there have been several which have been violated.
With regard to the woman in the apartment building, I *** cannot see revoking anyone’s
conditional release on that set of facts, particularly where he calls the case agent while
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No. 1-16-2555
she’s in the apartment. I mean there’s got to be some consideration for a little human
decency here, I suppose.
Looking out the window, same thing. I mean what else has he got to do, watch
television, I suppose. There’s no evidence that he was indulging in his voyeurism out the
window, at least I’ll give him the benefit of the doubt on that.
With the polygraph, same thing. Sitting here now, I can’t conceive—I suppose if
you gave me some time I can conceive of some situation where I would revoke it on the
basis of a response to a polygraph, I suppose, but this isn’t it, that’s for sure, so—
especially if he’s a liar about how he was feeling about the polygraph, he’s a pretty good
one ***. ***
Now, [d]efense has said that, you know, everything’s in treatment, which quite
frankly seems a wee bit of a stretch to me. ***
*** I don’t think it’s true for the defendant about being in treatment while he’s
riding in a cab or sitting in the doctor’s office waiting to go in or talking out his window
with someone else who is sexually violent.
Again, your argument about how he didn’t act [out] about any of these, I think the
State is correct, the whole purpose of this is to prevent him from acting out. It would be
pitifully redundant to say he’s got to be acting out before you can do it because then you
might as well just prosecute him for the new crime and be done with it.
So there we have it. Of the violations—I think there is evidence both borne by his
statements and the fact that he admitted these things, albeit somewhat reluctantly,
according to the testimony his contact log including the deficiencies in the masturbation
and talking to the *** other person who was adjudicated sexually violent through his
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window for an extended period of time, these things are violations, and the State has
shown that by clear and convincing evidence.
Now, the question then becomes are these actions sufficient to revoke the
defendant’s conditional release? Every witness who testified, the case agent, his
treatment provider, as well as Dr. Weitl has expressed concern that [respondent] is in his
cycle for re-offending at various times and not recognizing it. And this is—they have all
expressed a concern for it, and I do not feel that this Court is in a position to ignore the
testimony regarding this concern for the reason that I alluded to further. It’s not that he’s
done something, it’s the fact that they are concerned that he is going to do something
because he doesn’t recognize he’s in this cycle.
I must confess when I first heard the testimony regarding him masturbating
improperly, I was a little bewildered, but having had it explained to me, I can see where
that type of masturbation would be—they would be concerned about it, because there is
an element of exhibitionism with it, particularly if he’s pretending like the two picked
females, their pictures are watching him, and that is one of his diagnoses, that is one of
his problems, and I can see where they would be concerned about that.
So in view of the fact that all the witnesses expressed this concern, I feel it is
necessary that [respondent’s] conditional release be revoked and that he be remanded to
the Treatment Detention Facility.
That’s not to say, [respondent], I don’t want to leave you with the belief there is
no hope. The fact that I think you probably made some progress or at least potentially
made some progress since you were back, and I would not be surprised to find that they
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were recommending you for conditional release at some time in the future, and that’s not
to say that I would not be disposed to grant it based upon appropriate testimony.”
¶ 29 Thereafter, respondent filed a motion to reconsider the trial court’s April 11, 2016, order.
After hearing arguments by the parties, the trial court denied respondent’s motion. This appeal
followed.
¶ 30 ANALYSIS
¶ 31 The Act defines an SVP as a person who has been convicted of a sexually violent offense
and who is dangerous because he “suffers from a mental disorder that makes it substantially
probable that the person will engage in acts of sexual violence.” 725 ILCS 207/5(f) (West 2004).
The State has the burden of establishing beyond a reasonable doubt that an individual is an SVP;
“once the State does so, the respondent is committed to the custody of DHS for control, care, and
treatment ‘until such time as the person is no longer a sexually violent person,’ which could
hypothetically only end upon death.” In re Commitment of Rendon, 2014 IL App (1st) 123090,
¶ 21 (quoting 725 ILCS 207/35, 40(a) (West 2010)). After an individual is found to be an SVP
and is institutionalized in a secure setting to receive treatment for his or her mental disorders, he
or she is “reexamined” on a yearly basis to determine whether he or she qualifies for conditional
release. 725 ILCS 207/50, 55 (West 2004). More specifically, the relevant statute provides that
the respondent is reevaluated “for the purpose of determining whether the person has made
sufficient progress to be conditionally released or discharged.” Id. § 55(a). In 2012, the statute
was amended to state that a respondent is reevaluated “for the purpose of determining whether:
(1) the person has made sufficient progress in treatment to be conditionally released and
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(2) whether the person’s condition has so changed since the most recent periodic reexamination
*** that he or she is no longer a sexually violent person.” Pub. Act 97-1075 (eff. Aug. 24, 2012).
¶ 32 If an individual is granted conditional release, the SVP remains within the custody and
control of the DHS and is subject to the conditions set by the court and the DHS. 725 ILCS
207/40(b)(4), (b)(5) (West 2012). These conditions require a respondent to attend and fully
participate in assessment, treatment, and behavior monitoring, including, but not limited to,
medical, psychological, or psychiatric treatment specific to sex offending to the extent
appropriate and based on DHS recommendations. Id. § 40(b)(5)(F); Rendon, 2014 IL App (1st)
123090, ¶ 25. Moreover, while on conditional release, a respondent must comply with “all other
special conditions that the [DHS] may impose,” restricting him or her from “high-risk situations”
and limiting “access or potential victims.” 725 ILCS 207/40(b)(5)(BB) (West 2012).
¶ 33 If there is an allegation by the DHS “that a released person has violated any condition or
rule, or that the safety of others requires that conditional release be revoked, he or she may be
taken into custody under the rules of the [DHS].” Id. § 40(b)(4). In the proceedings following the
filing of a petition to revoke a respondent’s conditional release, the State must prove by clear and
convincing evidence that revocation of conditional release is required. Id.
¶ 34 As an initial matter, the parties dispute the applicable standard of review. Respondent
contends a trial court’s ruling on a petition to revoke conditional release should not be disturbed
unless it is against the manifest weight of the evidence. Respondent cites Rendon, 2014 IL App
(1st) 123090, ¶ 32, for support. In contrast, the State contends there is a two-part standard of
review. The State agrees with respondent insomuch as the trial court’s factual findings regarding
whether the respondent violated the conditions of his release is a decision that should not be
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overturned unless it is against the manifest weight of the evidence. However, the State argues the
trial court’s finding as to whether, given the violation, the respondent’s conditional release
should be revoked requires an exercise of the court’s discretion and should not be overturned
absent an abuse of that discretion. The State cites Rendon and section 40(b)(4) of the Act.
¶ 35 We agree with the State. The trial court’s factual finding that the State presented clear
and convincing evidence to establish respondent violated the conditions of his release will not be
disturbed unless the finding was against the manifest weight of the evidence. Id. A finding is
against the manifest weight of the evidence only if the opposite conclusion is clearly evident or
the trial court’s conclusion is “unreasonable, arbitrary, and not based upon the evidence
presented.” In re Commitment of Trulock, 2012 IL App (3d) 110550, ¶ 43. However, once a basis
for revocation of conditional release has been established, whether to commit a person to a
secure facility or to continue conditional release is a matter within the discretion of the trial
court. See 725 ILCS 207/40(b)(4) (West 2012) (“If the court determines *** that any rule or
condition of release has been violated, *** it may revoke the order for conditional release and
order that the released person be placed in an appropriate institution ***.”). A trial court’s
decision following an exercise of its discretion will not be overturned absent an abuse of that
discretion. In re Detention of Ehrlich, 2012 IL App (1st) 102300, ¶ 75. An abuse of discretion
will be found only if the trial court’s decision was unreasonable, arbitrary, or no reasonable
person would adopt the same view. Id.
¶ 36 Respondent contends that the trial court’s ruling was against the manifest weight of the
evidence where the conditions the court deemed had been violated were not current, where the
court’s finding that respondent was in his “cycle” was not supported by the record, and where the
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record demonstrated he had shown signs of improvement at the time of the hearing. With regard
to the condition violations, respondent argues that his contact with Troy K., the other SVP,
occurred nine months before the State filed its original petition seeking to revoke his conditional
release. As a result, the condition violation was not current. In addition, respondent argues that
his conversations with Troy K. were of no concern where they lacked objectionable substance.
Respondent further argues that his masturbating fantasies in connection with the photographs of
his former girlfriends and his failure to memorialize the incidents in his sexuality log did not
provide a basis for revocation of his conditional release. According to respondent, the
masturbating incidents were not current violations where they took place seven months before
the filing of the State’s original petition to revoke his conditional release. Moreover, respondent
argues that his conditional release plan did not contain a condition requiring him to participate in
sexuality logs.
¶ 37 We find the trial court’s determination that there was clear and convincing evidence
respondent violated the conditions of his release was not against the manifest weight of the
evidence. Respondent does not dispute that he spoke to Troy K. in violation of Condition 16 of
his conditional release plan. Respondent merely disputes the magnitude of the violation in light
of the time that passed, since the violation was committed and the lack of dangerous content in
the conversations. The Act, however, does not contain a time element establishing how long a
violation remains eligible to support revocation of conditional release. Moreover, respondent’s
conditional release plan did not provide an exception for conversing with fellow SVPs if the
content of the conversations was “innocuous.” Instead, Condition 16 merely stated that
respondent could not have contact with any SVP outside of a therapeutic setting without prior
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No. 1-16-2555
consent. There is no dispute that respondent spoke to Troy K. twice per day for “a couple of
months” outside the therapeutic setting, namely, through the windows of their adjacent apartment
buildings. Additionally, the record is clear that respondent did not have authorization to converse
with Troy K. in that setting. In fact, Glazier testified that he expressly denied respondent’s
request to speak to other SVPs. Furthermore, the evidence was clear that respondent failed to log
his conversations with Troy K. in his daily log in violation of Condition 27 of his release.
According to Glazier, respondent merely logged two of the conversations at issue.
¶ 38 The State also established by clear and convincing evidence that respondent violated
Condition 28 of his release by failing to log the masturbating episodes he engaged in while
passing pictures of his former girlfriends. The State acknowledges that respondent’s conditional
release plan did not include an express condition requiring him to maintain a sexuality log.
Meacham, however, testified that the sexuality log was a condition she required as his therapist.
As a result, respondent’s failure to submit the masturbation episodes in his sexuality log was a
violation of Condition 28, which required respondent to comply with all conditions imposed by
his conditional release agent and DHS case management team to restrict high-risk situations and
access to potential victims.
¶ 39 Where the State provided clear and convincing evidence that respondent violated his
conditional release plan, the State was not also required to prove that “the safety of others”
required revocation of his conditional release. Contrary to respondent’s argument, the trial court
based his conditional release revocation on respondent’s condition violations. The court then
exercised its discretion in considering whether the condition violations required revocation of
respondent’s conditional release. The language of the statute is clear that “[i]f the [DHS] alleges
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No. 1-16-2555
that a released person has violated any condition or rule, or that the safety of others requires that
conditional release be revoked, he *** may be taken into custody under the rules of the [DHS].”
(Emphasis added.) 725 ILCS 207/40(b)(4) (West 2012). Accordingly, a respondent’s conditional
release may be revoked either if (1) there is a violation of a condition or (2) the safety of others
requires. Because we have found the trial court did not commit manifest error in determining
respondent violated his conditional release plan, we need not undergo an assessment of whether
the evidence was sufficient to establish respondent was a danger to the safety of others.
¶ 40 We next turn to the second part of the analysis, namely, whether the trial court abused its
discretion in finding that respondent’s conditional release should be revoked. We conclude there
was no abuse of discretion. In considering whether conditional release should be revoked, the
relevant factors are “the nature and circumstances of the behavior that was the basis of the
allegation in the petition ***, the person’s mental history and present mental condition, and what
arrangements are available to ensure the person has access to and will participate in necessary
treatment.” Id. § 40(b)(2).
¶ 41 It is clear from the record that the trial court considered all of these factors and that its
determination was well supported by the evidence presented. Glazier and Meacham discussed
the pattern of respondent’s behavior constituting violations of his conditional release. Critically,
Glazier, Meacham, and Dr. Weitl expressed concern over respondent’s consistent failure to
report his offending behaviors in his logs, on his polygraphs, and in his individual and group
therapy sessions. The record demonstrated that, generally, respondent reluctantly and vaguely
reported the behaviors only after he failed polygraph tests. In assessing the circumstances of the
behaviors underlying the State’s allegations, the trial court did consider that a number of the
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No. 1-16-2555
behaviors did not support findings of condition violations. The trial court additionally considered
evidence demonstrating that respondent had made some progress since his readmission into the
DHS facility. The court, however, relied on the expert opinions of Meacham and Dr. Weitl in
providing that respondent was in a cycle of reoffense without recognizing his repeated
engagement in high-risk behaviors. 1 We reject respondent’s request for this court to reweigh the
evidence. In light of respondent’s consistent lack of transparency and express refusal to
participate in the conditions of his release, we conclude the trial court did not abuse its discretion
in revoking respondent’s conditional release.
¶ 42 Respondent next contends that the trial court erred in allowing Dr. Weitl’s expert
testimony. More specifically, respondent argues it was an abuse of the court’s discretion to allow
Dr. Weitl to testify to an opinion based on a nonstatutory standard. Respondent additionally
argues that the trial court abused its discretion in allowing Dr. Weitl to testify, despite her failure
to maintain her notes from interviews with Meacham and respondent. Respondent finally argues
the trial court erred in admitting Dr. Weitl’s opinion testimony where it was not previously
disclosed in conjunction with the Rule 213 written interrogatory.
¶ 43 The admissibility of expert testimony is within the sound discretion of the trial court.
Thompson v. Gordon, 221 Ill. 2d 414, 428 (2006). “A person will be allowed to testify as an
expert if his experience and qualifications afford him knowledge that is not common to
laypersons, and where his testimony will aid the trier of fact in reaching its conclusions.” Id.
1
We acknowledge that the trial court was mistaken in stating, in its findings, that Glazier also
testified regarding respondent’s reoffense cycle. The trial court’s mistake does not invalidate or call into
question the testimony of Meacham and Dr. Weitl.
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No. 1-16-2555
¶ 44 Respondent challenges the admission of Dr. Weitl’s testimony as an expert where she
testified to a “made up” standard used to determine that respondent’s conditional release should
be revoked. Respondent specifically takes issue with Dr. Weitl’s opinion, as written in her June
2015 report, that respondent’s “progress in treatment [wa]s insufficient for him to continue to be
safely managed and treated in the community on conditional release.”
¶ 45 We find there was no abuse of discretion in admitting Dr. Weitl’s expert opinion. There
is no dispute that Dr. Weitl had the experience and qualifications providing her knowledge
uncommon to laypeople. Additionally, there is no dispute that her knowledge and qualifications
aided the trial court in reaching its conclusion. Moreover, the record was clear that Dr. Weitl was
familiar with respondent’s case after having performed eight annual reevaluations of his SVP
status. The dispute is whether Dr. Weitl’s opinion was relevant because she used nonstatutory
language in rendering that opinion. Respondent does not cite any cases, and we are unaware of
any, that require an expert to constrain his or her opinion to precise statutory language.
Additionally, contrary to respondent’s argument, there is nothing in the record to suggest that Dr.
Weitl created a new standard for determining whether revocation was required. Instead, Dr.
Weitl’s June 2015 report and her testimony at the revocation hearing consistently complied with
the statutory requirement for the revocation of conditional release. More specifically, Dr. Weitl,
both in her report and at the hearing, repeatedly discussed respondent’s condition violations,
which formed the basis of his conditional release revocation. See 725 ILCS 207/40(b)(4) (West
2012). In addition to those findings, Dr. Weitl expressed her opinion that respondent’s “progress
in treatment [wa]s insufficient for him to continue to be safely managed and treated in the
community on conditional release.” Considering the challenged opinion in light of the testimony
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No. 1-16-2555
directly establishing the statutory requirement for revocation, we find respondent failed to
establish the trial court abused its discretion in admitting Dr. Weitl’s expert opinion.
¶ 46 We additionally find respondent cannot demonstrate the trial court abused its discretion
in allowing Dr. Weitl to testify regarding her interviews of Meacham and respondent where she
failed to maintain her notes from those interviews. Dr. Weitl addressed her process following
reexamination, such that she destroyed the notes from her interviews once she drafted her written
reexamination report. Dr. Weitl clarified that all of the information from her notes was included
in the report. Respondent fails to argue what, if any, relevant information may have been
contained in the doctor’s notes in addition to that which appeared in her report. To the extent
respondent wished to, and did, challenge Dr. Weitl on the interviews and the veracity of her
report, the expert was available for cross-examination. The supreme court adopted Federal Rule
of Evidence 705 in Wilson v. Clark, 84 Ill. 2d 186 (1981). In January 2011, the Illinois Rules of
Evidence became effective, including Illinois Rule of Evidence 705, which is nearly identical to
the federal version. See Ill. R. Evid. 705 (eff. Jan. 1, 2011). The rule provides, “ ‘[t]he expert
may testify in terms of opinion or inference and give his reasons therefor without prior disclosure
of the underlying facts or data, unless the court requires otherwise.’ ” Wilson, 84 Ill. 2d at 194
(quoting Fed. R. Evid. 705). The supreme court explained, “[u]nder Rule 705 the burden is
placed upon the adverse party during cross-examination to elicit the facts underlying the expert
opinion.” Id. We, therefore, find the trial court did not abuse its discretion in allowing Dr. Weitl
to testify about the challenged interviews.
¶ 47 We finally conclude the trial court did not abuse its discretion in finding that the State did
not violate Illinois Supreme Court Rule 213.When asked by the State whether the safety of
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No. 1-16-2555
others required the revocation of respondent’s conditional release, Dr. Weitl responded in the
affirmative. Respondent argues Dr. Weitl’s response was a violation of Rule 213 because the
State did not disclose that testimony.
¶ 48 When using an independent expert witness, Rule 213(f)(2) requires the party to identify
the subjects on which the witness will testify and the opinions the party expects to elicit. Ill. S.
Ct. R. 213(f)(2) (eff. Jan. 1, 2007). “An answer is sufficient if it gives reasonable notice of the
testimony, taking into account the limitations on the party’s knowledge of the facts known by
and opinions held by the witness.” Id.
¶ 49 The State’s Rule 213 interrogatory provided that Dr. Weitl’s “reports have previously
been disclosed to respondent containing her opinions and the bases for her opinions. ***. She
will be testifying in the areas of forensic psychology as well as the evaluation and treatment of
sex offenders. Dr. Weitl may offer an opinion that she believes respondent’s conditional release
should be revoked.” As stated, Dr. Weitl’s June 2015 report provided that respondent’s “progress
in treatment [wa]s insufficient for him to continue to be safely managed and treated in the
community on conditional release.” Moreover, in both its initial and amended revocation
petitions, the State alleged, “in accordance with the opinion of Dr. Weitl, the safety of others in
the community requires that Respondent’s conditional release be revoked.” We conclude the
State sufficiently disclosed Dr. Weitl’s testimony, such that respondent was given reasonable
notice of the testimony. We, therefore, find there was no abuse of discretion.
¶ 50 CONCLUSION
¶ 51 We affirm the judgment of the trial court in revoking respondent’s conditional release.
¶ 52 Affirmed.
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