THIRD DIVISION
DOYLE, P. J.,
REESE and BROWN, JJ.
NOTICE: Motions for reconsideration must be
physically received in our clerk’s office within ten
days of the date of decision to be deemed timely filed.
https://www.gaappeals.us/rules
DEADLINES ARE NO LONGER TOLLED IN THIS
COURT. ALL FILINGS MUST BE SUBMITTED WITHIN
THE TIMES SET BY OUR COURT RULES.
September 8, 2021
In the Court of Appeals of Georgia
A21A0810. HARGROVE v. THE STATE.
BROWN, Judge.
A jury found Peter Hargrove guilty of trafficking in heroin and possession with
intent to distribute cocaine. Hargrove appeals his convictions and the denial of his
amended motion for new trial, contending that (1) insufficient evidence supports his
convictions; (2) the trial court erred in admitting evidence of his prior convictions
under OCGA § 24-4-404 (b); and (3) he received ineffective assistance of counsel.
We affirm.
“On appeal from a criminal conviction, we view the evidence in the light most
favorable to the verdict, with the defendant no longer enjoying a presumption of
innocence.” Reese v. State, 270 Ga. App. 522, 523 (607 SE2d 165) (2004). “We
neither weigh the evidence nor judge the credibility of witnesses, but determine only
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.” (Citation and punctuation omitted.) Kimble v. State, 356 Ga. App.
507 (847 SE2d 865) (2020).
So viewed, the evidence presented at trial showed that agents with the Marietta
Cobb Smyrna narcotics unit received information that narcotics were being sold in
the Five Points area of Smyrna, which eventually led them to a townhome at 4110
Hawthorne Circle. Narcotics agents were surveilling the townhome on the evening
of October 28, 2014, and observed multiple vehicles arrive and park in the
townhome’s driveway or on the street. The person would then exit the vehicle and
knock on the townhome’s door and have a brief interaction at the door before leaving,
or Hargrove would be waiting outside the townhome and meet with the person at their
car for a few seconds. The “short stays” led agents to believe that Hargrove was
selling drugs out of the townhome. Agents stopped one of the vehicles as it left the
townhome and that person agreed to become an informant. The agents returned the
following night and watched the informant obtain heroin from Hargrove in a control
buy. Seven days later, agents again set up surveillance of the townhome and observed
the same informant make a control buy of heroin from Hargrove outside the home.
2
During a third control buy on November 20, one of the agents rode in the car with the
informant, posing as the informant’s friend. The informant exited the car, met
Hargrove in the front yard of the townhome, then returned to the car and handed the
agent the heroin he had bought. The agents continued to surveil Hargrove and the
townhome and observed what appeared to be several more narcotics transactions.
Based on the foregoing information, agents obtained a search warrant for the
townhome. The agents watched Hargrove leave the townhome before entering and
searching on December 5. The townhome was separated into two floors: the front
door opened into the downstairs where the living area, kitchen, laundry room, and a
small bathroom were located while upstairs were bedrooms and another bathroom.
In the downstairs bathroom off the kitchen and laundry room — and with a window
facing the home’s front yard — the agents discovered a bag containing 14.49 grams
of heroin, a bag containing 26.63 grams of cocaine, a digital scale, and unused
syringes. All of the items were found lying out on the bathroom counter. Agents
found plastic baggies and more syringes in the bathroom drawer. Another bag of
heroin was found in a bowl in the attached laundry room. Upstairs, agents found what
they believed to be nine baggies of cocaine, a bag of heroin, and several bags of
marijuana in a dresser drawer in the master bedroom. Two cell phones and a scale
3
were also taken from the bedroom. Two other digital scales were found in a second
bedroom upstairs. Inside a coat in the closet of the second bedroom, agents found
what they believed to be a bag of cocaine, a cell phone, and $1,984 in cash. Two
females were present in the townhome when the search warrant was executed: Anita
Patterson and her daughter, Brittany Patterson, who both lived in the home. The agent
who found the items in the master bedroom testified that he believed the master
bedroom was Brittany Patterson’s room. Hargrove was pulled over leaving the
neighborhood and detained. A search of his person revealed three cell phones and
$3,189 in cash.
Agents obtained a warrant to search the cell phones found on Hargrove as well
as the cell phones found in the townhome. A number stored in one of the cell phones
found on Hargrove was listed under the name “Chucky.” An agent recognized the
name because other agents in the narcotics unit had been investigating a narcotics
dealer called “Chucky.” Agents learned that the phone number associated with one
of Hargrove’s cell phones was a contact of Chucky and that Hargrove had been
communicating with Chucky over the phone. Recordings of calls between Hargrove
and Chucky dated October 31, November 4, and November 11, 2014, were played for
the jury. The agent investigating Chucky testified that based on the amount of money
4
discussed in the calls between Hargrove and Chucky ($2,250) and his experience
conducting undercover narcotics purchases from Chucky, Hargrove was purchasing
around one ounce of heroin. The State presented evidence of five other calls between
Hargrove and Chucky made on November 25 and December 2. The agent also
testified that the area that Hargrove and Chucky discussed for meeting, including a
specific laundromat, was the same area in which the agent had purchased heroin from
Chucky.
In a joint indictment, Hargrove and Brittany Patterson were charged with
trafficking in illegal drugs (heroin) and possession with intent to distribute cocaine.
Patterson was also charged with possession with intent to distribute marijuana. At
some point before Hargrove’s trial, Patterson pleaded guilty, but her conviction and
plea are not part of the record. And, from what we can glean from the trial transcript,
the jury did not hear evidence of Patterson’s guilty plea and conviction. Following
Hargrove’s conviction, the trial court denied his motion for new trial, as amended,
and Hargrove appeals.
1. Hargrove argues that the evidence presented by the State was insufficient to
support his convictions because the cocaine and heroin were found inside the
townhome of his co-indictee, Brittany Patterson, and nothing linked him to the drugs.
5
Hargrove concedes that the evidence proves that he was involved in illegal drug
transactions, but argues that the evidence failed to prove he possessed the heroin and
cocaine seized from the townhome.1 We disagree.
In order to prove the drug charges brought against Hargrove, the State was
required to prove that he possessed the heroin and cocaine. See OCGA §§ 16-13-30
(b) and 16-13-31 (b).
[P]ossession of contraband may be joint or exclusive, and actual or
constructive. Actual possession means knowing, direct physical control
over something at a given time. For constructive possession, the
standard is also well-understood: if a person has both the “power and the
intention at a given time to exercise dominion or control” over a thing,
then the person is in constructive possession of that thing. Mere
proximity to contraband, absent other evidence connecting a suspect
with that contraband, is not enough to establish constructive possession.
If one person alone has actual or constructive possession of a thing, then
the person is in sole possession of it. If two or more people share actual
or constructive possession of a thing, then their possession is joint.
(Citations and punctuation omitted.) Lebis v. State, 302 Ga. 750, 753-754 (II) (808
SE2d 724) (2017). As the State presented no evidence showing that Hargrove actually
possessed the drugs found in the townhome, we must determine whether it presented
1
We note that Hargrove cites no law in support of this enumeration.
6
sufficient evidence of constructive possession. See Hill v. State, ___ Ga. App. ___
(___ SE2d ___) (No. A21A0351, June 25, 2021). See also Blue v. State, 350 Ga. App.
702, 705 (1) (a) (830 SE2d 279) (2019).
Constructive possession can be proven — and very often is proven —
by circumstantial evidence. Of course, as with any charge based on
purely circumstantial evidence, in order to support a conviction the
evidence must exclude every reasonable hypothesis, save that of
constructive possession by the defendant. As we have noted, proximity
to contraband is plainly not enough. But as this Court has also held,
consistent with OCGA § 24-14-6,[2] questions as to the reasonableness
of hypotheses are generally to be decided by the jury which heard the
evidence and that finding will not be disturbed unless the verdict of
guilty is unsupportable as a matter of law. In other words, whether the
evidence shows something more than mere presence or proximity, and
whether it excludes every other reasonable hypothesis, are questions
committed principally to the trier of fact, and we should not disturb the
decisions of the trier of fact about these things unless they cannot be
supported as a matter of law.
(Citation and punctuation omitted.) Hill, ___ Ga. App. at ___. For constructive
possession,
2
This Code section provides: “To warrant a conviction on circumstantial
evidence, the proved facts shall not only be consistent with the hypothesis of guilt,
but shall exclude every other reasonable hypothesis save that of the guilt of the
accused.”
7
[t]he intent to exercise control over the drugs . . . may be derived from
the surrounding circumstances such as a defendant’s attempts to flee or
elude police; inconsistent explanations by the defendant for [his]
behavior; the presence of significant amounts of contraband and drug
paraphernalia in plain view; the defendant’s possession of large amounts
of cash, other indicia of the sale of drugs, or drug-related paraphernalia;
evidence that the defendant was under the influence of drugs; or drug
residue found on the defendant.
(Citation and punctuation omitted.) Id.
Here, there was no evidence that Hargrove owned the townhome or that he was
living or staying there. However, “[t]his is not a case in which the sole evidence of
drug possession was the fact that [Hargrove] was present at or near a house where
drugs were discovered.” Johnson v. State, 338 Ga. App. 500, 503 (790 SE2d 291)
(2016). The circumstantial evidence presented by the State against Hargrove includes
the following: the heroin and cocaine Hargrove was charged with possessing were
found in plain view in the laundry room and attached bathroom, i.e., common areas
in the townhome’s lower level;3 the townhome’s front door was located on the lower
level; agents observed persons engaged in drug transactions at the front door; the
3
Hargrove asserts that he also was charged with possessing the drugs found in
the master bedroom and the coat in the second bedroom, but this contention is belied
by the record.
8
lower level bathroom had a window overlooking the front yard; on three separate
occasions, agents observed Hargrove sell heroin to the informant in the townhome’s
front yard; Hargrove had just left the townhome when agents searched the home;
when Hargrove was arrested leaving the townhome, he possessed $3,189 in cash and
three cell phones; during the time period of surveillance, one of the cell phones was
used to communicate with a person called “Chucky,” who was being investigated for
selling drugs; Hargrove had prior convictions for possession of cocaine, sale of
cocaine, sale and delivery of cocaine, and possession of cocaine with intent to
distribute, evidence of which was properly admitted at trial, see Division 2, infra.
Based on this evidence, the jury was authorized to find that Hargrove constructively
possessed the cocaine and heroin found in the downstairs of the townhome. Compare
Blue, 350 Ga. App. at 705-706 (1) (a) (insufficient evidence supported defendant’s
trafficking conviction where no evidence was presented that defendant was involved
in the drug transaction with the confidential informant; transaction was not witnessed
or recorded by law enforcement; defendant was not present when officers searched
home; all contraband was found in homeowner’s bedroom; and evidence that
defendant possessed $1,332 in unmarked cash when he was arrested three days after
the search was insufficient to connect him to the drugs found in the house, in light of
9
the time lapse and evidence that he was employed); Morales v. State, 332 Ga. App.
794, 796-797 (1) (775 SE2d 168) (2015) (insufficient evidence supported defendant’s
trafficking and possession with intent to distribute convictions where defendant did
not own or live in house where contraband was found, defendant arrived at house
only minutes before search, nothing found in search linked defendant to house, no
drugs or cash were found on defendant’s person, contraband was hidden in house and
not in plain sight, and there was no evidence that defendant was involved in the
control buy at the house).
2. Hargrove contends that the trial court erred in admitting other-act evidence
under OCGA § 24-4-404 (b) (“Rule 404 (b)”), specifically, evidence of four prior
convictions, because the evidence was irrelevant to any issue other than his character
and was improper propensity evidence. Again, we disagree.
(a) Rule 404 (b). Pursuant to Rule 404 (b), “[e]vidence of other crimes, wrongs,
or acts shall not be admissible to prove the character of a person in order to show
action in conformity therewith.” However,
such other-act evidence is admissible for other purposes, including to
prove intent, motive, and absence of mistake or accident. The party
offering evidence under Rule 404 (b) must show three things: (1) that
the evidence is relevant to an issue in the case other than the defendant’s
10
character; (2) that the probative value of the evidence is not substantially
outweighed by its undue prejudice; and (3) that there is sufficient proof
for a jury to find by a preponderance of the evidence that the defendant
committed the other act.
(Citation and punctuation omitted.) Strong v. State, 309 Ga. 295 (2) (a) (845 SE2d
653) (2020). “A trial court’s decision to admit other[-]acts evidence will be
overturned only where there is a clear abuse of discretion.” (Citation and punctuation
omitted.) Moton v. State, 351 Ga. App. 789, 792 (833 SE2d 171) (2019).
(b) The trial court’s admission of the other-act evidence under Rule 404 (b).
The State filed pretrial notice of its intent to introduce under Rule 404 (b) evidence
of Hargrove’s four prior convictions for drug-related offenses. The State argued that
the prior convictions rebutted Hargrove’s claim that all of the drugs found in the
townhome belonged to Brittany Patterson, his co-indictee. Hargrove objected to their
admission, arguing that the other acts were not relevant and that they did not pass the
second part of the Rule 404 (b) test because the convictions were approximately eight
to ten years in age and involved a different drug, crack cocaine. The trial court ruled
that both of the 2004 convictions were admissible for the purposes of proving
Hargrove’s “intent, knowledge, identity, and absence of mistake.” As to the 2005 and
2006 convictions, the court ruled them admissible for the purposes of “intent, plan,
11
knowledge, identity, and absence of mistake.” At trial, the court gave a limiting
instruction prior to the testimony involving the four convictions as well as in its
charges to the jury. We will summarize the evidence about each of the convictions
that the trial court admitted at trial and then address whether that evidence was
properly admitted by the trial court.
(i) The February 2004 Offense. An officer from the Marietta Police Department
testified that on February 2, 2004, he was patrolling near an inn known for narcotics
sales and observed a car in the parking lot with three males inside. Upon seeing the
three males still sitting in the parked car when the officer drove by a second time
more than 30 minutes later, he approached the car and asked the driver, Hargrove, to
step out of the vehicle. The officer recognized the man in the backseat, Hargrove’s
father, from prior incidents involving illegal narcotics. At some point in the
interaction, the officers searched the car and found a crack cocaine rock in a cigar
tube under the driver’s seat. In connection with this incident, Hargrove pleaded guilty
to possession of cocaine in August 2004, and a certified copy of his conviction was
admitted into evidence at trial.
(ii) The June 2004 Offense. A Cobb County officer testified that in the early
morning hours of June 9, 2004, a neighbor reported that an unknown vehicle was
12
parked in front of a home and appeared to be occupied. When the officer arrived, the
vehicle was still parked in the driveway and the officer spoke with the driver,
Hargrove. The officer smelled the odor of marijuana and detained Hargrove and the
passenger. A search of the vehicle yielded marijuana and a rock of crack cocaine in
the center console. Hargrove pleaded guilty to possession of cocaine in August 2004,
and a certified copy of his conviction was admitted at trial.
(iii) The October 2004 Offense. An officer who worked with the Marietta Cobb
Smyrna narcotics unit at the time of the incident testified that he arrested Hargrove
on October 8, 2004, in connection with a sale to an undercover agent. When the agent
searched Hargrove upon arrest, he found eight individual bags of crack cocaine
totaling 4.8 grams in Hargrove’s pocket. Hargrove subsequently pleaded guilty to sale
and delivery of a controlled substance and possession with intent to distribute cocaine
in August 2005, and a certified copy of his conviction was admitted at trial.
(iv) The February 2006 Offense. An officer who worked with the Marietta
Cobb Smyrna narcotics unit at the time of the incident testified that on February 7,
2006, a confidential informant advised police that Hargrove was selling crack cocaine
at a hotel. The officer arranged for the informant to contact Hargrove, and the officer
bought crack cocaine from Hargrove in a control buy. Hargrove pleaded guilty to
13
selling cocaine in March 2006, and a certified copy of his conviction was admitted
at trial.
(c) Analysis. We now turn to whether the trial court abused its discretion in
admitting the convictions, focusing only on the first and second showings required
to admit evidence under Rule 404 (b) as Hargrove does not argue that any of the
convictions should have been excluded based on the third part of the test.
(i) Relevance. “Relevant evidence” is evidence which has “any tendency to
make the existence of any fact that is of consequence to the determination of the
action more probable or less probable than it would be without the evidence.” OCGA
§ 24-4-401. “This is a binary question — evidence is either relevant or it is not.”
Strong, 309 Ga. at 301 (2) (a). “Where the extrinsic offense is offered to prove intent,
its relevance is determined by comparing the defendant’s state of mind in perpetrating
both the extrinsic and charged offenses. Thus, where the state of mind required for
the charged and extrinsic offenses is the same, the first prong of the Rule 404 (b) test
is satisfied.” (Citation and punctuation omitted.) Bradshaw v. State, 296 Ga. 650, 657
(3) (769 SE2d 892) (2015). Accord Naples v. State, 308 Ga. 43, 51 (2) (e) (838 SE2d
780) (2020) (“the relevance of other acts evidence offered to show intent is
established when the [other] act was committed with the same state of mind as [a]
14
charged crime”). Here, Hargrove placed his intent at issue by pleading not guilty and
taking no affirmative steps to relieve the State of its burden to prove intent. See
Moton, 351 Ga. App. at 792. See also Burgess v. State, 349 Ga. App. 635, 641 (3)
(824 SE2d 99) (2019) (where defendant framed his defense in terms of lack of
possession and equal access of others to the drugs, defendant “did not relieve the
State of the burden of proving intent merely by focusing his defense on the possession
aspect of the crime”), disapproved on other grounds, Hill, supra. To prove that
Hargrove committed the charged crime of possession of cocaine with intent to
distribute, the State had to prove both that Hargrove had actual or constructive
possession of the drugs and that he had the requisite intent to distribute them. See
Burgess, 349 Ga. App. at 641 (3). “Because the prior crime [of possession with intent
to distribute] and at least one of the offenses for which [Hargrove] was on trial were
identical, the intent required to prove the crimes was necessarily the same.” Id. See
also Gunn v. State, 342 Ga. App. 615, 621 (804 SE2d 118) (2017) (in prosecution for
possession of cocaine with intent to distribute and trafficking in cocaine, evidence of
defendant’s prior conviction for possession of cocaine with intent to distribute was
relevant to show defendant’s intent).
15
Similarly, Hargrove’s convictions for sale of cocaine and sale and delivery of
cocaine were relevant to prove the requisite intent to distribute. See Hood v. State,
299 Ga. 95, 101 (4) (786 SE2d 648) (2016) (evidence of defendant’s prior drug sales
relevant because the “charged . . . crime [of possession with intent to distribute]
required the same intent as that involved in his uncharged sales of prescription pills”).
See also United States v. Lewis, 129 Fed. Appx. 573, 578 (I) (11th Cir. 2005)
(defendant’s prior convictions for possession and sale of heroin, possession and sale
of cocaine, and possession with intent to distribute heroin and cocaine relevant to
establish defendant’s intent in prosecution for counts of possession with intent to
distribute cocaine).4
As to the prior possession convictions, “[b]ecause no evidence showed
[Hargrove] in actual possession of the [cocaine and heroin], the State was required
to prove constructive possession, i.e., that he knowingly had both the power and
intention at a given time to exercise control over [the drugs].” (Citation and
punctuation omitted.) Watkins v. State, 353 Ga. App. 606, 610 (2) (a) (i) (839 SE2d
41) (2020). See generally Kier v. State, 292 Ga. App. 208, 209 (1) (663 SE2d 832)
4
We look to federal cases when analyzing the admission of evidence under the
new Evidence Code. Hamlett v. State, 350 Ga. App. 93, 100 (2), n.4 (828 SE2d 132)
(2019). See also State v. Almanza, 304 Ga. 553, 555 (2) (820 SE2d 1) (2018).
16
(2008) (in a constructive possession case the State needs to demonstrate beyond a
reasonable doubt that the defendant “knowingly had both the power and intention at
a given time to exercise control over the [drugs]”) (citation and punctuation omitted).
See also United States v. Galindez, 999 F3d 60, 67 (1st Cir. 2021) (explaining that
“other-acts evidence may be specially relevant to establish knowledge and intention”
in constructive-possession cases). In Watkins, we explained:
The charged crime [of felony possession of more than one ounce of
marijuana] and the prior drug offenses [of possession of marijuana]
required evidence that [the defendant] intended to possess the drug at
issue. See OCGA §§ 16-13-30 (a) (“Except as authorized by this article,
it is unlawful for any person to purchase, possess, or have under his or
her control any controlled substance.”); 16-13-30 (j) (1) (“It shall be
unlawful for any person to possess, have under his or her control,
manufacture, deliver, distribute, dispense, administer, purchase, sell, or
possess with intent to distribute marijuana.”). The necessary state of
mind was the same — an intent to possess and control the illegal
substance.
353 Ga. App. at 611 (2) (a) (i). Here, the prior convictions for possession of cocaine
were relevant to establish Hargrove’s intent to possess and control the cocaine and
heroin found in the townhome. See id. See also United States v. McQueen, 267 Fed.
Appx. 880, 882 (11th Cir. 2008) (“[e]vidence of prior personal drug use is admissible
17
to prove intent in a subsequent prosecution for distribution of narcotics”).
Accordingly, the trial court did not err in finding the other-acts evidence relevant to
establish Hargrove’s intent.5
(ii) Rule 403 Balancing. Even if Rule 404 (b) evidence is relevant, it still may
be excluded under OCGA § 24-4-403 (b) (“Rule 403”) “if its probative value is
substantially outweighed by the danger of unfair prejudice[.]” (Citation and
punctuation omitted.) Strong, 309 Ga. at 301 (2) (a). “To determine whether relevant
evidence is more probative than prejudicial, our Supreme Court has explained that,
generally speaking, the greater the tendency to make the existence of a fact more or
less probable, the greater the probative value.” (Citations and punctuation omitted.)
Chambers v. State, 351 Ga. App. 771, 778 (2) (833 SE2d 155) (2019). And, “the
extent to which evidence tends to make the existence of a fact more or less probable
depends significantly on the quality of the evidence and the strength of its logical
connection to the fact for which it is offered.” Olds v. State, 299 Ga. 65, 75 (2) (786
5
Having concluded that the other-act evidence was admissible for the purpose
of proving Hargrove’s intent, we need not consider whether it was also admissible for
the purpose of showing knowledge, identity, and absence of mistake or accident. See
Hood v. State, 309 Ga. 493, 500 (2), n.8 (847 SE2d 172) (2020). Hargrove does not
enumerate any error with regard to the trial court’s charge to the jury about the
purposes for which it could consider the other-act evidence.
18
SE2d 633) (2016). The Rule 403 analysis “requires a common sense assessment of
all the circumstances surrounding the extrinsic act and the charged offense” including
“the prosecutorial need for the extrinsic evidence, the overall similarity between the
extrinsic act and the charged offense, and the temporal remoteness of the other act.”
(Citations and punctuation omitted.) Jernigan v. State, 357 Ga. App. 415, 422-423
(2) (a) (ii) (848 SE2d 707) (2020). “[I]n reviewing issues under Rule 403, we look at
the evidence in a light most favorable to its admission, maximizing its probative value
and minimizing its undue prejudicial impact.” (Citation and punctuation omitted.)
Green v. State, 352 Ga. App. 284, 291 (2) (e) (834 SE2d 378) (2019).
Here, all of the prior drug convictions are either identical or similar to the
charged offenses and thus highly probative to show Hargrove’s intent with respect
to the charged offenses. See, e.g., United States v. Sawyer, 361 Fed. Appx. 96, 98-99
(II) (A) (11th Cir. 2010) (defendant’s prior convictions for sale of cocaine, possession
with intent to sell, and possession of cocaine similar to cocaine conspiracy charge and
thus were highly probative of intent). See also McQueen, 267 Fed. Appx. at 882-883.
While Hargrove argued below that the prior offenses are more prejudicial than
probative because they involved a different drug (crack cocaine) than the charged
offenses, factual similarity is only one consideration in assessing the totality of the
19
circumstances. See, e.g., United States v. Cochran, 683 F3d 1314, 1321 (III) (11th
Cir. 2012) (evidence of defendant’s prior trafficking conviction involving a different
drug was more probative than prejudicial in prosecution for trafficking). See also
Watkins, 353 Ga. App. at 611 (2) (a) (i) (where one of prior offenses involved
possession of cocaine rather than marijuana). Moreover, “when other-acts evidence
is introduced to prove intent as opposed to identity a lesser degree of similarity
between the charged crime and the extrinsic evidence is required.” (Citation,
punctuation, and emphasis omitted.) Jernigan, 357 Ga. App. at 424 (2) (a) (ii). See
Burgess, 349 Ga. App. at 642 (3). See also United States v. Delgado, 56 F3d 1357,
1366 (II) (B) (11th Cir. 1995) (“when other crimes evidence goes to intent rather than
identity a lesser degree of similarity between the charged crime and the uncharged
crime is required”).
As to prosecutorial need, the State needed to overcome Hargrove’s defense that
he did not possess the cocaine or heroin and that the drugs belonged to Brittany
Patterson. Indeed, while the evidence was sufficient to support Hargrove’s
convictions, it was entirely circumstantial. Thus, the State’s need for evidence that
Hargrove had committed similar crimes was significant, which weighs in favor of
admission under Rule 403. As for the lapse in time, the ten- and eight-year intervals
20
between Hargrove’s other acts and the crimes charged in this case were not “too
remote to erode the probative value of the prior conviction[s].” Gunn, 342 Ga. App.
at 621-622 (1) (defendant’s eleven-year-old conviction for possession with intent to
distribute not so remote as to be lacking in probative value). See also Sloans v. State,
___ Ga. App. ___ (2) (A21A0125) (June 28, 2021) (twelve-, eleven-, and five-year
intervals between defendant’s drug-related convictions and the crimes charged not
so remote in time as to weigh in favor of exclusion under Rule 403). Keeping in mind
that the exclusion of evidence under Rule 403 “is an extraordinary remedy which
should be used only sparingly,” Olds, 299 Ga. at 70 (2), we cannot say that the trial
court abused its discretion in finding that the probative value of Hargrove’s prior
convictions was not substantially outweighed by unfair prejudice.6
3. Hargrove lastly contends that his trial counsel rendered ineffective assistance
by (1) failing to request a jury charge on presumption of possession and (2) failing
6
Hargrove alternatively argues that if this Court finds that trial counsel waived
his objection to the evidence by failing to object at the time it was admitted, counsel
was ineffective in failing to object to the evidence at trial. However, trial counsel was
not required to renew his objection at trial to preserve the objection for appeal based
on the Supreme Court’s holding in Whitehead v. State, 287 Ga. 242, 245-249 (2) (695
SE2d 255) (2010). See also Harper v. State, 330 Ga. App. 561, 566-567 (2) (b) (768
SE2d 755) (2015).
21
to object to the testimony of the two GBI forensic chemists. We find no merit in either
contention.
“To prevail on a claim of ineffective assistance of counsel, a criminal defendant
must prove that counsel’s performance was deficient and that the deficient
performance so prejudiced the defendant that there is a reasonable likelihood that, but
for counsel’s errors, the outcome of the trial would have been different.” (Citation
and punctuation omitted.) Guerrero-Moya v. State, 350 Ga. App. 233, 235 (3) (828
SE2d 629) (2019). And, “if we determine that one element is missing we need not
consider whether the defendant has established the other element.” (Citation and
punctuation omitted.) Murrell v. State, 317 Ga. App. 310, 317 (2) (730 SE2d 675)
(2012).
(a) Hargrove argues that trial counsel was ineffective in failing to request a jury
charge on presumption of ownership or possession because his sole defense at trial
was that he did not possess the heroin or cocaine found in the townhome and that it
belonged to Brittany Patterson.
[W]hen a defendant raises an ineffective assistance of counsel claim
based on counsel’s failure to request or object to certain jury charges,
the defendant must show that the charges in question were erroneous
22
and that, if proper charges had been given, there is a reasonable
probability that the result of the trial would have been different.
(Citation and punctuation omitted.) Wilhite v. State, 337 Ga. App. 324, 325 (1) (787
SE2d 293) (2016).
Pretermitting whether a jury charge on presumption of possession was
appropriate in this case,7 the given charges, as a whole, adequately covered the
7
The pattern charge states:
If you find that a person owns or is the lessee of a house or premises,
you will be permitted, but not required, to infer that such person is in
possession of the entire premises and all of the property located on or in
the premises. However, this is a rebuttable inference and may be
overcome by evidence in the case that others had access to the premises.
Whether or not this inference is drawn from proof that a person is the
owner or the lessee of a house or premises and whether or not the
inference has been overcome by proof that others had access to the
premises are questions for the jury alone. I further charge you in that
connection that if you find that the house or premises were used by
others, with the defendant, such evidence would not alone authorize a
conviction. However, such a fact, if it is a fact, should be considered by
you, the jury, together with all of the evidence in the case in passing
upon the guilt or innocence of the defendant.
Suggested Pattern Jury Instructions, Vol. II: Criminal Cases (2021), § 2.76.30.
23
principle. The trial court instructed the jury on mere presence and association, actual,
constructive, sole and joint possession, and intent. See Guerrero-Moya, 350 Ga. App.
at 237 (3) (b). Accordingly, this argument is without merit.
(b) Hargrove also asserts that trial counsel’s failure to object to the testimony
of the GBI chemists on hearsay and Confrontation Clause grounds amounted to
deficient performance. Hargrove contends that because the chemists did not perform
the testing, they were “surrogate witnesses” who simply read the testing analyst’s
notes.
The testing on the contraband in the case was originally performed by Christina
Truitt, but she was on leave and unavailable to testify at trial. Stephanie Menendez,
a GBI forensic chemist, peer reviewed Truitt’s work on the three bags exchanged in
the control buys with the confidential informant. Menendez testified that when GBI
chemists “complete [their] analysis and . . . make a report for these cases, another
scientist has to review all the quality control, all the data, to make sure it met [GBI’s]
Generally, this charge is applicable where “the [S]tate presents evidence that a
defendant owned or controlled premises where contraband was found, . . . [giving]
rise to a rebuttable presumption that the defendant possessed the contraband.”
(Citation omitted.) Jackson v. State, 271 Ga. App. 278, 282 (3) (609 SE2d 207)
(2005) (in equal access case, where State never sought to prove that [the defendant]
owned or controlled the residence where contraband found, no presumption of
possession arose).
24
standards for quality control and also followed all of our policies.” Menendez further
testified that she “looked at the data that is in the case file. I made sure that all quality
control that is in the case file did indeed pass and then all of the data . . . met all of
our requirements per our policy.” Based on her review and interpretation of the data,
the contents of the three bags tested were positive for heroin. Tonya Bailey, another
GBI forensic chemist, peer reviewed Truitt’s analysis of the items found during the
search of the townhome and testified that based on her review of the data, the
contents of the bag found in the downstairs bathroom tested positive for heroin, and
the white solid material in the bag found in the same bathroom tested positive for
cocaine.
Hargrove argues that this testimony was improper because Menendez and
Bailey were acting as mere conduits for Truitt’s findings. We disagree. “It is well
established that an expert may base her opinions on data gathered by others.”
(Citation and punctuation omitted.) Sanchious v. State, 359 Ga. App. 649, 653 (1) (a)
(859 SE2d 814) (2021). In Watkins v. State, 285 Ga. 355, 358 (2) (676 SE2d 196)
(2009), our Supreme Court addressed a similar argument. There, GBI toxicologist
Leigh Ann Champion testified about the victim’s blood alcohol level at the time of
her death. 285 Ga. at 358 (2). As explained by the Supreme Court:
25
The blood alcohol testing was originally performed by Della Smith, and
that testing was later subjected to a peer review by Champion, who
reviewed the testing procedures and data gathered by Smith for
accuracy. By the time of trial, Smith was no longer employed by the
GBI, so Champion testified about the blood test and the results of her
peer review. Watkins argues that this testimony was improper because
Champion was acting as a mere conduit for Smith’s hearsay findings.
The record does not support this contention. Rather than being a mere
conduit for Smith’s findings, Champion reviewed the data and testing
procedures to determine the accuracy of Smith’s report. An expert may
base her opinions on data gathered by others. As a result, Champion’s
testimony was properly admitted into evidence. . . .
(Citation and punctuation omitted.) Id. Similarly, here, Truitt’s testing and analysis
of the contraband was subject to peer review by Menendez and Bailey, who reached
their own independent conclusions as to the data. Thus, Menendez and Bailey’s
testimony was not “a mere conduit” for Truitt’s hearsay findings. See Watkins, 285
Ga. at 358 (2); Rector v. State, 285 Ga. 714, 715 (4) (681 SE2d 157) (2009) (trial
court did not err in allowing toxicologist to testify about toxicology report relating
to deceased victim that had been prepared by another doctor). See also Sanchious,
359 Ga. App. at 654-656 (1) (a).
26
For these same reasons, we likewise find no merit in Hargrove’s contention that
his trial counsel should have objected to the testimony of Menendez and Bailey on
Confrontation Clause grounds. See Sanchious, 359 Ga. App. at 654 (2) (a) (analyst
who did not personally perform DNA tests, but peer reviewed work of unavailable
analyst who did, could testify as to report and her own independent conclusion based
on the data; thus, trial counsel was not ineffective for failing to raise a meritless
Confrontation Clause challenge to testimony). See also Leger v. State, 291 Ga. 584,
592 (5) (732 SE2d 53) (2012) (“the Confrontation Clause does not require the analyst
who actually completed the forensic testing used against a defendant to testify at
trial”) (citation and punctuation omitted). Accordingly, Hargrove’s ineffective
assistance claims fail because he has not established that trial counsel performed
deficiently in any respect.
Judgment affirmed. Doyle, P. J., and Reese, J., concur.
27