IN THE COURT OF APPEALS OF THE STATE OF WASHINGTON
STATE OF WASHINGTON, No. 83309-0-I
Respondent, DIVISION ONE
v.
UNPUBLISHED OPINION
ANTHONY WILLIAM GEORGE, SR.,
Appellant.
SMITH, J. — Anthony William George, Sr., appeals his conviction of three
counts of possession of a controlled substance with intent to deliver, one count of
possession of a controlled substance, and three counts of unlawful possession of
a firearm in the first degree. George asserts that the warrant authorizing the
search of his home lacked probable cause and particularity, and that the trial
court erred by improperly excluding a Black juror, admitting certain evidence,
depriving him of his right to confrontation and due process, failing to give a
unanimity instruction, and subjecting him to double jeopardy. George also
contends that insufficient evidence supports his convictions, the trial court
exhibited bias, and his drug convictions all should have been considered the
same criminal conduct for purposes of calculating his offender score.
The State of Washington concedes that George’s simple possession
conviction must be vacated in light of Blake1 and that George’s remaining drug
convictions constitute the same criminal conduct.
1 State v. Blake, 197 Wn.2d 170, 481 P.3d 521 (2021).
Citations and pin cites are based on the Westlaw online version of the cited material.
No. 83309-0-I/2
We affirm George’s convictions with the exception of the simple
possession charge, and remand to the trial court to vacate the simple possession
conviction and resentence George based on a corrected offender score.
FACTS
In January of 2019, the Grays Harbor Drug Task Force (DTF) obtained a
warrant to search George, his residence, or vehicles for, among other things,
“controlled substances as found therein, together with the vessels in which they
are contained.” According to DTF Detective Richard Ramirez’s affidavit for the
search warrant, a confidential informant (CI) known as CI 18-21 reached out to
DTF in 2018. CI 18-21 had information about illegal narcotic dealers and
wanted to obtain leniency on pending charges. After DTF established that CI
18-21 had a working knowledge of the drug world, it contacted the Grays Harbor
County Prosecutor’s Office, which agreed to provide leniency if the CI assisted
DTF.
Detective Ramirez attested that in December 2018, CI 18-21 contacted
DTF asking if they knew George. DTF and Detective Ramirez knew George
from two previous 2017 “controlled buys”2 for oxycodone pills. CI 18-21 stated
that they had been buying oxycodone pills from George, and that George was
willing to sell cocaine if asked. In January 2019, CI 18-21 agreed to arrange
and participate in a controlled buy for a specific amount of oxycodone at
George’s residence. Detective Ramirez discussed with CI 18-21 the details of
2A controlled buy is when an informant, with the help and supervision of
law enforcement, buys illegal contraband.
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the controlled buy. Detective Ramirez also told CI 18-21 the specific route to
the buy location and back, that the CI was not to stop or deviate from the route,
that the CI was not to contact anyone along the way, and that the CI would be
under constant surveillance. After the briefing, Detective Ramirez searched
CI 18-21 and found no money, drugs, weapons, or contraband. Detective
Ramirez then provided CI 18-21 marked (pre-recorded serial number) money for
the buy and instructed that the money was only for the purchase of the
oxycodone pills.
DTF drove CI 18-21 to George’s residence and established surveillance
nearby. It observed CI 18-21 knock on the front door to George’s residence.
George spoke to the CI for a few minutes before walking back inside the
residence. Through the window, DTF observed George grab something before
walking back to the door and making a hand to hand transaction with the CI.
The CI walked back to the vehicle and handed Detective Ramirez several light
blue pills. DTF, Detective Ramirez, and CI 18-21 then drove to another
predetermined location where DTF could inspect the pills further. From
Detective Ramirez’s experience and training, he recognized them as 30
milligram oxycodone pills.
Based on the 2019 and two 2017 controlled buys, DTF determined that
there was probable cause to search George and his residence. DTF requested
and obtained a search warrant claiming that George committed or reasonably
appeared to be committing a violation of the Uniform Controlled Substance Act.3
3 Ch. 69.50 RCW.
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DTF contacted George at his residence, served the warrant, and took custody of
George. After receiving his Miranda4 rights, George indicated that there could
be some cocaine in a vehicle and guns around the property.
When searching George’s property, DTF located around 20 firearms in his
residence, a vehicle, and a motorhome. This cache of firearms included a
Harrington bolt action .22 caliber rifle with its firing mechanism “hanging out”
found leaning against the wall in the living room near the primary bedroom.
Additionally, the search of George’s residence revealed black bags containing
bundles of cash wrapped with rubber bands, sandwich bags, oxycodone,
Gabapentin, Xanax,5 different types of pills, pill bottles, digital scales with white
residue, and cocaine. One black bag contained more than $40,000 in a plastic
bag bundled with a rubber band.
The State charged George with one count of possession of cocaine with
intent to deliver within 1,000 feet of a school bus stop, one count of possession
of oxycodone with intent to deliver within 1,000 feet of a school bus stop, and
one count of possession of Gabapentin with intent to deliver, all including the
enhancement that he was armed with a firearm. The State also charged
George with one count of possession of Xanax and three counts of Unlawful
Possession of a Firearm in the First Degree: one count each for a Ruger MK II
.22 caliber pistol, a Mossberg Model 715T AR rifle, and the Harrington .22 rifle.
4 Miranda v. Arizona, 384 U.S. 436, 86 S. Ct. 1602, 16 L. Ed. 2d 694
(1966).
5The prescription drug name is Alprazolam; Xanax is a common brand of
the drug.
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The night before trial, George moved to suppress the evidence seized
pursuant to the warrant, arguing that the warrant was overbroad and the
information contained in the probable cause affidavit was unreliable.
Additionally, George moved to exclude evidence of the 17 firearms that were
seized but not used to enhance the charges, claiming that the firearms were
more prejudicial than probative. The court denied both motions. After weighing
the probative and prejudicial effect of admitting the firearms, the court concluded
that the other 17 firearms could be introduced through testimony.
The jury found George guilty on all counts. After the verdict, a different
attorney than the one who represented him at trial appeared and represented
George during the sentencing hearing. The new attorney orally requested a
continuance because defense counsel had a trial conflict. The court denied the
request. The court then sentenced George to a standard range sentence of 240
months of confinement. George appeals.
ANALYSIS
George asserts that his convictions must be reversed on multiple grounds.
He also raises a number of challenges to his sentence. As discussed below, we
affirm George’s convictions except for the simple possession charge, and
remand for resentencing.
Search Warrant
George claims the evidence seized under the warrant should have been
suppressed because the warrant was neither supported by probable cause nor
sufficiently particular. We disagree.
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1) Probable Cause
The Fourth Amendment of the United States Constitution and article 1,
section 7 of the Washington Constitution require a search warrant to be issued
upon a determination of probable cause. State v. Jackson, 150 Wn.2d 251, 264,
76 P.3d 217 (2003). “Probable cause exists where the affidavit in support of the
warrant sets forth facts and circumstances sufficient to establish a reasonable
inference that the defendant is probably involved in criminal activity and that
evidence of the crime may be found at a certain location.” Jackson, 150 Wn.2d
at 264. A magistrate exercises discretion in determining whether to issue a
warrant. State v. Vickers, 148 Wn.2d 91, 108, 59 P.3d 58, (2002). We review
this decision for abuse of discretion. Vickers, 148 Wn.2d at 108. We generally
accord great deference to the magistrate and evaluate the supporting affidavit for
a search warrant in a common sense manner. Id. “Doubts concerning the
existence of probable cause are generally resolved in favor of issuing the search
warrant.” Id. at 108-09.
George asserts that the warrant was not supported by probable cause
because the State’s informant was unreliable and the controlled buys from 2017
were too stale to be considered in evaluating probable cause.
a) Reliability
A magistrate may issue a search warrant “based on information received
from an informant if the application establishes probable cause to believe that the
items sought will be found in the place to be searched.” State v. Casto, 39 Wn.
App. 229, 232, 692 P.2d 890 (1984). Probable cause based on statements from
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an informant requires a showing that the informant is probably trustworthy and
has personal knowledge of the facts. State v. Merkt, 124 Wn. App. 607, 613, 102
P.3d 828 (2004). Mere belief and conclusory statements in a police officer's
affidavit in support of the search warrant application does not provide factual
basis for a magistrate to make an independent judgment of the informant's
reliability. State v. Steenerson, 38 Wn. App 722, 726, 688 P.2d 544 (1984).
Washington Courts apply the two pronged Aguilar/Spinelli6 analysis to
evaluate a CI’s reliability. Casto, 39 Wn. App. at 232; State v. Jackson, 102
Wn.2d 432, 435, 688 P.2d 136 (1984). “The first or ‘basis of knowledge’ prong
requires that the informant have personal knowledge of the facts asserted to
establish probable cause.” Casto, 39 Wn. App. at 233. In the second or
“veracity” prong, the magistrate judge must receive factual data from which to
determine the informant’s present reliability. Id.
A properly executed controlled buy is sufficient to satisfy both prongs.
Casto, 39 Wn. App. at 234.
In a “controlled buy,” an informant claiming to know that drugs are
for sale at a particular place is given marked money, searched for
drugs, and observed while sent into the specified location. If the
informant “goes in empty and comes out full,’’ his assertion that
drugs were available is proven, and his reliability confirmed.
Id. (quoting 1 Wayne R. LaFave, SEARCH AND SEIZURE § 3.3(b) at 512 (1978)).
Here, George asserts that the court erred by admitting evidence from
CI 18-21 because procedural irregularities deprived the court of the facts needed
6Spinelli v. United States, 393 U.S. 410, 89 S. Ct. 584, 21 L. Ed. 2d 637,
(1969); Aguilar v. Texas, 378 U.S. 108, 84 S. Ct. 1509, 12 L. Ed. 2d 723 (1964).
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to assess the probability of pills being introduced by the informant. However, the
circumstances of CI 18-21’s controlled buy were sufficient to establish the
informant's reliability. CI 18-21 received marked money at a set location.
Detective Ramirez searched CI 18-21 for drugs before departing for George’s
residence. DTF observed CI 18-21 while on route and at George’s residence.
Once CI 18-21 purchased pills with the marked money and DTF determined that
the pills were oxycodone, CI 18-21’s reliability was established.
George disagrees and claims that the court disregarded the probability of
fraud by the CI during the controlled buy. Specifically, George claims that
boilerplate language in the affidavit for search warrant stated that DTF “searched
the CI and/or his/her vehicle (if applicable) and found no money, drugs, weapons
or contraband,” (emphasis added) and did not document the actual search.
However, the State explained that the “if applicable” language was a textual
prompt for detectives and is meant to be vague to protect the CI whose method
of arrival could reveal or narrow down the identity to any subsequent reader.
Also, enough evidence exists to support the CI’s reliability on other
grounds. CI 18-21 established credibility with DTF by demonstrating a working
knowledge of illicit drugs and people involved in selling drugs. This included
knowledge of various types of drugs, how the drugs are commonly packaged for
street level sale, and street prices for different drugs. CI 18-21 also identified the
names, addresses, contact information, and drug pricing for several suspected
dealers previously confirmed to DTF through investigations and reliable
informants. With this demonstrably reliable knowledge, the trial court did not err
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in concluding that both of the Aguilar/Spinelli prongs were satisfied and the
warrant was supported by probable cause.
b) Staleness of the Information
Because time passes between observations of criminal activity and the
presentation of the affidavit to the magistrate, “[t]he magistrate must decide
whether the passage of time is so prolonged that it is no longer probable that a
search will reveal criminal activity or evidence, i.e., that the information is stale.”
State v. Lyons, 174 Wn.2d 354, 360–61, 275 P.3d 314 (2012). The magistrate
determines staleness based on the circumstances of each case. Lyons, 174
Wn.2d at 361. “Among the factors for assessing staleness are the time between
the known criminal activity and the nature and scope of the suspected activity.”
Id.
George contends that the two 2017 controlled buys were too stale to
support a search warrant. But the warrant affidavit also included the 2019
controlled buy, which occurred just days earlier. Additionally, according to
Detective Ramirez’s affidavit, CI 18-21 stated that they had been buying
oxycodone from George “for some time now.” The magistrate’s probable cause
determination was sufficiently supported by the very recent controlled buy and
the CI’s report of ongoing purchases from George.
2) Particularity of the Warrant
George next challenges the warrant on the basis that it was overbroad.
The warrant permitted seizure of “controlled substances.” George says that the
warrant lacked particularity because it did not specify oxycodone. We disagree.
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Under the Fourth Amendment to the United States Constitution, a search
warrant must describe with particularity the place to be searched and the person
or things to be seized. State v. Perrone, 119 Wn.2d 538, 546, 834 P.2d 611
(1992). Particularity in a search warrant prevents “general searches, . . . seizure
of objects on the mistaken assumption that they fall within the issuing
magistrate’s authorization, and . . . the issuance of warrants on loose, vague, or
doubtful bases of fact.” Perrone, 119 Wn.2d at 545. “ ‘[T]he warrant must enable
the searcher to reasonably ascertain and identify the things which are authorized
to be seized.’ ” Id. at 546 (quoting United States v. Cook, 657 F.2d 730, 733 (5th
Cir. 1981)). The requirements of particularity are met if the substance to be
seized is described with “ ‘reasonable particularity.’ ” Perrone, 119 Wn.2d at 546
(quoting United States v. Krasaway, 881 F.2d 550, 553 (8th Cir. 1989). Courts
are to evaluate search warrants in a common sense, practical manner, instead of
in a hyper technical manner. Perrone, 119 Wn.2d at 549. We review de novo
whether a search warrant contains a sufficiently particular description. Id. at 538;
State v. Garcia, 140 Wn. App 609, 622, 166 P.3d 848 (2007).
The degree of particularity required depends on the nature of the materials
sought and the circumstances of the case. Perrone, 119 Wn.2d at 547. Generic
classifications do not necessarily result in an impermissibly overbroad warrant.
State v. Stenson, 132 Wn.2d 668, 692, 940 P.2d 1239 (1997). Additionally, “[a]
lesser degree of precision may satisfy the particularity requirement when a
warrant authorizes the search for contraband or inherently illicit property.” State
v. Chambers, 88 Wn. App. 640, 644, 945 P.2d 1172 (1997). A general warrant
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No. 83309-0-I/11
that uses the phrase “controlled substance” instead of specifically describing the
contraband satisfies the constitutional particularity requirement. Chambers, 88
Wn. App. at 647-48; RCW 69.50.509. The fact the warrant could have been
more precise in terms of identifying a specific controlled substance as the focus
of the search does not affect its validity, since reasonable particularity is all that is
required. State v. Christiansen, 40 Wn. App. 249, 254, 698 P.2d 1059, 1062
(1985).
Finally, lawful materials can be relevant to a crime. State v. Martinez, 2
Wn. App. 2d 55, 67, 408 P.3d 721 (2018). A warrant that authorizes seizure of
lawful materials is not automatically overbroad. Id.
George had a prescription and could lawfully possess oxycodone. He
asserts that the warrant for the search of his home lacked particularity because it
failed to describe oxycodone as the controlled substance to be seized.7 Under
the Uniform Controlled Substances Act, oxycodone is a schedule II controlled
substance.8 A general warrant that uses the phrase “controlled substance”
instead of specifically describing oxycodone satisfies the constitutional
particularity requirement. Chambers, 88 Wn. App. at 647-48. The fact that the
7 George supports this assertion by citing to State v. Besola, 184 Wn.2d
605, 610-13, 359 P.3d 799 (2015), where our court concluded that the search
warrant containing broad descriptions of child pornography to be seized was
found to be overbroad because it allowed officers to seize lawfully possessed
materials. However, this case is distinguishable in that the materials sought in
Besola were protected by the First Amendment, which require a heightened
degree of particularity unlike controlled substances. See Perrone, 119 Wn.2d
at 547.
8 A schedule II controlled substance may be lawfully possessed only with
a prescription. RCW 69.50.206.
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warrant authorizes the seizure of a legal substance “does not automatically make
the warrant overbroad.” Martinez, 2 Wn. App. 2d at 67. Furthermore, George
was unlawfully selling oxycodone thus making his prescribed oxycodone relevant
to a crime. Id. Because George was selling controlled substances, a lesser
degree of precision satisfies the particularity requirement.
George asserts that confining prescription drug warrants to the specific
drug at issue protects sensitive healthcare information. Specifically, George
claims that police rummaging through lawful prescription drugs could lead them
to discovery of controversial therapies for psychiatric issues, sexually transmitted
infections, chemical abortions, and gender reassignments, which would be an
invasion of privacy. George cites to State v. Muhammad, 194 Wn.2d 577, 451
P.3d 1060 (2019), where cell site location information (CSLI) used to find the
location of a cellular phone was held to constitute private information for the
purposes of the Fourth Amendment and article I, section 7 of the Washington
State Constitution. Muhammad requires a warrant based on probable cause to
acquire a person’s CSLI. 194 Wn.2d at 595-96.
Cell phone location data and prescription drugs may share a similar
privacy concern as they can both provide intimate details about a person. But
Muhammad significantly relied on Carpenter v. United States, 138 S. Ct. 2206,
2220, 201 L. Ed. 2d 507, 86 U.S.L.W. 4491 (2018), which cautioned that its
decision about cell phone location data was narrow and did not express a view
on other matters. 194 Wn.2d at 590-93. In light of limited reach of Carpenter
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No. 83309-0-I/13
and, therefore, Muhammad, we decline to extend the privacy protections beyond
the CSLI context.
The search warrant was neither overbroad nor lacking in probable cause.
Issuance of the warrant was not and abuse of discretion and the search and
resulting seizure did not violate George’s constitutional rights.
Juror Exclusion
During jury selection, the State questioned the venire as follows: “Is there
anybody who as a potential juror, is actually going to have a problem with the
idea that certain evidence is not admissible, and you won’t get to hear it.” Juror
53, a Black9 member of the venire, responded that it was “always going to be a
problem.” Later, the State exercised a peremptory challenge to strike Juror 53.
George objected under General Rule (GR) 37and the trial court overruled the
objection.
George asserts the trial court violated GR 37 by overruling George’s
objection to the State’s use of a peremptory challenge to strike prospective
Juror 53. We disagree.
The purpose of GR 37 is to eliminate the unfair exclusion of potential
jurors based on race or ethnicity. GR 37(a). It provides that either a party or the
court “may object to the use of a peremptory challenge to raise the issue of
improper bias.” GR 37(c). “After an objection has been raised, the party
9 The record contains no indication that the juror self-identified as Black,
but the attorneys and the court all agree that the juror was Black. We accept this
assertion for the purposes of the appeal.
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exercising a peremptory challenge is required to articulate its reasons for doing
so.” State v. Listoe, 15 Wn. App. 2d 308, 319, 475 P.3d 534 (2020); GR 37(d).
“The trial court then evaluates the reasons for exercising the challenge under the
totality of the circumstances.” Listoe, 15 Wn. App. 2d at 319; GR 37(e). If “an
objective observer could view race or ethnicity as a factor in the use of the
peremptory challenge, then the peremptory challenge shall be denied.” GR 37(e)
An “objective observer is aware that implicit, institutional, and unconscious
biases, in addition to purposeful discrimination, have resulted in the unfair
exclusion of potential jurors in Washington.” GR 37(f). The circumstances that
the court should consider include,
(i) the number and types of questions posed to the prospective
juror, which may include consideration of whether the party
exercising the peremptory challenge failed to question the
prospective juror about the alleged concern or the types of
questions asked about it;
(ii) whether the party exercising the peremptory challenge
asked significantly more questions or different questions of the
potential juror against whom the peremptory challenge was used in
contrast to other jurors;
(iii) whether other prospective jurors provided similar answers
but were not the subject of a peremptory challenge by that party;
(iv) whether a reason might be disproportionately associated
with a race or ethnicity; and
(v) whether the party has used peremptory challenges
disproportionately against a given race or ethnicity, in the present
case or in past cases.
GR 37(g). Additionally, there are presumptively invalid reasons for a peremptory
challenge, which include,
(i) having prior contact with law enforcement officers;
(ii) expressing a distrust of law enforcement or a belief that law
enforcement officers engage in racial profiling;
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No. 83309-0-I/15
(iii) having a close relationship with people who have been
stopped, arrested, or convicted of a crime;
(iv) living in a high-crime neighborhood;
(v) having a child outside of marriage;
(vi) receiving state benefits; and
(vii) not being a native English speaker.
GR 37(h)(i)-(vii). These reasons have been historically associated with improper
discrimination in jury selection in Washington State. GR 37(h). “Similarly, certain
types of conduct have also been associated with historically discriminatory
peremptory challenges and cannot be relied on as a justification absent proper
notice and corroboration from the judge or opposing counsel.” Listoe, 15 Wn.
App. 2d at 322. Denial of a challenge under GR 37 is reviewed de novo. State
v. Jefferson, 192 Wn.2d 225, 250, 429 P.3d 467 (2018).
The State used a peremptory challenge to strike prospective Juror 53
based on responses to questions asked during voir dire:
[State]: Is there anybody who, as a potential juror, is actually
going to have a problem with the idea that certain evidence is not
admissible, and you won’t get to hear it. You will go back to
deliberate, and say, I feel like someone is hiding the ball, the State,
the judge, defense, somebody is hiding the ball, and that’s going to
affect your deliberations so you are not fair and impartial to the
defendant. Anybody have an issue with that? You might,
number 53?
[Juror 53]: Yes.
[State]: Okay.
[Juror 53]: There are lot[] of people locked up right now
because everything wasn’t presented.
[State]: Okay. And does—let me ask you the question. Do you
think that our criminal justice system works, broadly speaking?
[Juror 53]: Yes and no.
[State]: Okay. There is always room for improvement?
[Juror 53]: Right.
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No. 83309-0-I/16
...
[State]: Okay. 53, if you are on this jury and that situation does
come up and you feel like something wasn’t brought out, or—
[Juror 53]: I would like to know why.
[State]: Sure. Let’s say you don’t get to find out why. Is that
something that through deliberations you might be able to talk to
your fellow jurors and come to—or is that always going to be a
problem?”
[Juror 53]: Always going to be a problem.
George challenged the use of this peremptory under GR 37.
The State explained that it exercised its peremptory because Juror 53
expressed that “he felt there would be a lot of unease, that he felt that there
would be some hiding of the ball, and he specifically said that that would affect
his ability to deliberate, that it would affect his ability to consider the evidence.”
The State noted that those issues might not necessarily interfere with Juror 53’s
ability to be fair and impartial but the “responses were unique.” According to the
State, the fact that Juror 53 was black “had nothing to do with where the
answers came from.”
George claims that Juror 53’s statements that “there are a lot[] of people
locked up right now because everything wasn’t presented” and answer to
whether the criminal justice system worked demonstrated distrust in the court,
one of the presumptively invalid reasons for a peremptory challenge.
GR 37(h)(ii). However, the State did not cite distrust of law enforcement as the
grounds for its challenge. The State’s stated reason was the concern that
Juror 53 would be unable to properly consider the evidence presented given
concerns about excluded evidence.
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The State did not assert any of the presumptively invalid reasons for
striking Juror 53. The State also did not ask more questions of Juror 53 or
different questions from the other potential jurors. And while other members of
the venire expressed possible issues with missing evidence, the trial court
described Juror 53’s answer as “strongly worded” and “he was the only one . . .
that said, hey, that’s a problem.”
In light of Juror 53’s statements, an objective observer would not find race
to be a factor in the State’s use of a peremptory challenge. The trial court did
not err in denying George’s GR 37 challenge.
Admissibility of Statements
George claims the State violated Wash. Rules of Evidence (ER) 404(b)
during closing argument by improperly introducing the 17 firearms that were not a
part of his charges, as well as evidence implying George was a major drug
dealer with cartel connections.
“Evidence of other crimes, wrongs, or acts is not admissible to prove the
character of a person in order to show that he acted in conformity therewith.” ER
404(b). However, this evidence may be admissible “for other purposes, such as
proof of motive, opportunity, intent, preparation, plan, knowledge, identity, or
absence of mistake or accident.” ER 404(b). “To admit evidence of other
crimes, wrongs, or acts, the trial judge is obligated to: (1) identify the purpose for
which the evidence is sought to be introduced; and (2) determine whether
evidence is relevant to prove an essential element of the crime charged.” State
v. Dennison, 115 Wn.2d 609, 628, 801 P.2d 193 (1990).
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Evidence is relevant if it has any tendency to make a fact more or less
probable than it would be without the evidence. Dennison, 115 Wn.2d at 628;
ER 401. Proper evidence will not be excluded because it may also show that the
defendant committed unrelated crimes. State v. Powell, 126 Wn.2d 244, 264,
893 P.2d 615 (1995). “If the court finds the information relevant, it must weigh on
the record the probative value of the evidence against its prejudicial effect.”
State v. Brown, 113 Wn.2d 520, 526, 782 P.2d 1013 (1989).
We review admission of evidence for abuse of discretion. Powell, 126
Wn.2d at 258. A trial court abuses its discretion when its decision is manifestly
unreasonable or based upon untenable grounds or reasons. Id. But evidentiary
error requires reversal only if it leads to prejudice. State v. Neal, 144 Wn.2d 600,
611, 30 P.3d 1255 (2001). “An error is prejudicial if, ‘within reasonable
probabilities, had the error not occurred, the outcome of the trial would have
been materially affected.’ ” Id. (quoting State v. Smith, 106 Wn.2d 772, 780, 725
P.2d 951 (1986)). Improperly admitted evidence is harmless if it is of minor
significance in relation to the evidence as a whole. Neal, 144 Wn.2d at 611.
1) Firearms
The State charged George with three counts of unlawful possession of a
firearm in the first degree based on three specific weapons: a Ruger MK II .22
caliber pistol, a Mossberg Model 715T AR rifle, and the Harrington .22 rifle. The
State wanted to introduce evidence of 17 additional firearms to demonstrate
control of these three firearms. The State argued that the number of firearms in
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George’s possession at his residence supported that he had control over the
three specifically named firearms.
The judge determined that the existence of all the firearms was relevant to
prove the essential element of unlawful possession of a firearm. “Did the
defendant either actually or constructively have under his dominion and control
any firearms or ammunition[?] . . . The existence of those guns and ammunition
tends to make that more likely.” The judge noted the potential for prejudice but
concluded the “probative value of guns and the ammunition outweighs the
prejudicial effect, given the nature of the charges, where they were found, the
nature of [the] defense claim about the guns and ammunition.” The court ruled
that the State could introduce information about the firearms, but would not be
allowed to “parade a whole truck full of guns [as] there may be a question about
inflaming the passions of the jury and prejudice[].”
George did not deny that he knew the guns were on the property, but
claimed they belonged to his son. The existence of 17 other firearms does not
makes George’s constructive possession of any single gun more likely. Thus,
the evidence was not relevant and should not have been admitted.
While the introduction of the 17 firearms was error, it was harmless. The
jury heard evidence of the three named firearms found in George’s vehicle,
residence, and mobile home. In addition, the State introduced overwhelming
evidence on the charges of possession of a controlled substance and possession
of a controlled substance with intent to deliver. Introduction of the additional
firearms did not affect the outcome of the trial.
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No. 83309-0-I/20
2) Method of Folding Cash
The State’s witness, Officer Joe Strong, testified that “cartels or upper-
level[] dealers require their cash to be tightly bundled, folded in half, and secured
with a rubber band typically in $1,000 or $2,500 increments.” Officer Strong
stated that cash recovered from George’s house was bundled in this manner. He
also noted that there was no additional evidence that George was associated
with the cartel. George claims these statements implied that he was a major
drug dealer with ties to the cartel. However, George did not object to this
testimony at trial. He failed to preserve error for review on appeal.
RAP 2.5(a)(3).
Confrontation of Confidential Informants
George alleges that the State’s use of information from non-testifying
informant was inadmissible hearsay and violated his right to confrontation. We
disagree.
“Under the Sixth Amendment's confrontation clause, ‘[i]n all criminal
prosecutions, the accused shall enjoy the right . . . to be confronted with the
witnesses against him.’ ” Hudlow, 182 Wn. App. 266, 282, 331 P.3d 90 (2014)
(alterations in original) (quoting U.S. CONST. amend. VI). Admission of hearsay
evidence implicates this right to confrontation. Neal, 144 Wn.2d at 607.
Hearsay is an out-of-court statement offered to prove the truth of the
matter asserted. Hudlow, 182 Wn. App. at 278; ER 801(c). Unless an exception
or exclusion applies, hearsay is inadmissible. Hudlow, 182 Wn. App. at 278.
Whether a statement is hearsay depends on the purpose for which it is offered.
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No. 83309-0-I/21
State v. Garcia, 179 Wn.2d 828, 845, 318 P.3d 266 (2014). A statements is not
hearsay when offered as a basis for inferring something else rather than to prove
the truth of the matter asserted. Id. Whether a statement is hearsay is a
question of law reviewed de novo. Neal, 144 Wn.2d at 607.
Here, Officer Strong testified as to how DTF chooses its targets for
investigation. He stated that DTF “generally operate[s] with people who give us
information,” and “get[s] the word on the street who are the mid to upper-level
targets.” George contends Officer Strong’s testimony implied that DTF targeted
George based on this information and was “thinly veiled hearsay” that implied
George possessed drugs with intent to deliver.
Officer Strong’s statements were not hearsay. He did not repeat
statements from informants for the truth of the matters asserted. Rather, he
provided a general description of the task force’s method of choosing who to
investigate which happened to include the use of informants. George’s right to
confrontation was not violated by admission of improper testimonial hearsay.
Sufficiency of the Evidence
George asserts that insufficient evidence supports certain of his
convictions. We disagree.
“Evidence is sufficient to support a conviction if, after viewing the evidence
in the light most favorable to the State, it allows any rational trier of fact to find all
of the elements of the crime charged beyond a reasonable doubt.” State v.
DeVries, 149 Wn.2d 842, 849, 72 P.3d 748 (2003). A challenge to the
sufficiency of the evidence admits the truth of the State’s evidence and all
21
No. 83309-0-I/22
reasonable inferences therefrom. Id. Review for sufficiency of the evidence is
highly deferential to the jury’s decision, including issues of credibility,
persuasiveness, and conflicting testimony. State v. Davis, 182 Wn.2d 222, 227,
340 P.3d 820 (2014).
1) Intent of delivery for controlled substances
George claims that insufficient evidence supports his three convictions for
possession of a controlled substance with intent to deliver. Washington case law
does not support an inference of intent to deliver based on mere possession
alone, but such an inference can be supported where possession is coupled with
at least one other factor. State v. Brown, 68 Wn. App. 480, 483-84, 843 P.2d
1098. Here, the State presented evidence of scales with cocaine residue,
$44,000 in cash, and three controlled buys in addition to George’s possession of
the controlled substances. The jury could reasonably infer from this evidence
that George intended to sell the controlled substances in his possession. See
State v. Lane, 56 Wn. App. 286, 297-298, 786 P.2d 277 (1989) (holding that one
ounce of cocaine, a scale, and a large amount of cash was evidence of intent to
deliver). Sufficient evidence supports the convictions for possession with intent to
deliver.
2) Firearm Operability
George next contends insufficient evidence supports his conviction for
unlawful possession of a firearm and the firearm enhancements because the
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No. 83309-0-I/23
Harrington .22 rifle was not operable when it was found.10 Specifically, he relies
on State v. Recuenco, to assert that the State must prove that a gun is operable
to establish that it meets the legal definition of a “firearm.” 163 Wn.2d 428, 437,
180 P.3d 1276 (2008). “Whether the State was required to prove that [a] gun
was ‘operational’ is a question of law that we review de novo.” State v. Olsen, 10
Wn. App. 2d 731, 736, 499 P.3d. 1089 (2019).
In Recuenco, our Supreme Court stated:
[I]n order to prove a firearm enhancement, the State must introduce
facts upon which the jury could find beyond a reasonable doubt the
weapon in question falls under the definition of a ‘firearm:’ ‘a
weapon or device from which a projectile may be fired by an
explosive such as gunpowder.’ ”
163 Wn.2d at 437 (quoting 11 WASHINGTON PRACTICE: W ASHINGTON PATTERN
JURY INSTRUCTIONS: CRIMINAL 2.10.01 (2d ed. Supp. 2005)). The court also stated
that “a jury must be presented with sufficient evidence to find a firearm operable
under this definition in order to uphold the enhancement.” Recuenco, 163 Wn.2d
at 437.
However, this language in Recuenco “was cited merely to point out that
differences exist between a deadly weapon sentencing enhancement and a
firearm sentencing enhancement” and was “nonbinding dicta.” State v. Raleigh,
157 Wn. App. 728, 735, 238 P.3d 1211 (2010). We have “rejected the argument
that under Recuenco, a gun must be operable during the commission of the
crime to qualify as a firearm within the meaning of former RCW 9.41.010 (2001).”
As discussed below in connection with George’s unanimity instruction
10
argument, the firearm enhancements were based on the Harrington .22 rifle.
23
No. 83309-0-I/24
Olsen, 10 Wn. App. 2d at 736–37. Instead, to qualify as a firearm “a device must
be capable of being fired, either instantly or with reasonable effort and within a
reasonable time.” State v. Tasker, 193 Wn. App. 575, 594, 373 P.3d 310 (2016).
Additionally, “[e]vidence that a device appears to be a real gun . . . is sufficient
circumstantial evidence that it is a firearm.” Id.
Regardless of operability, the Harrington .22 rifle qualified as a firearm
under the existing law. Sufficient evidence supports the unlawful possession of a
firearm conviction based on that firearm.
3) Armed with a Firearm
Finally, George asserts that insufficient evidence supports a finding that
he was “armed” with a firearm for purposes of the firearm enhancements to his
convictions for possession with intent to deliver.
“[I]n a criminal case wherein there has been a special allegation
and evidence establishing that the accused . . . was armed with a
deadly weapon at the time of the commission of the crime, the court
shall make a finding of fact of whether or not the accused . . . was
armed with a deadly weapon at the time of the commission of the
crime[.]”
State v. Gurske, 155 Wn.2d 134, 137, 118 P.3d 333 (2005) (alterations in
original) (quoting RCW 9.94A.602 (formerly RCW 9.94A.125 (2000)). Under
former RCW 9.94A.602 (recodified as RCW 9.94A.825 (2009)), a firearm is a
deadly weapon. Gurske, 155 Wn.2d at 137. “A person is ‘armed’ within the
meaning of the statute ‘if a weapon is easily accessible and readily available for
use, either for offensive or defensive purposes.’ ” Gurske, 155 Wn.2d at 137-38
24
No. 83309-0-I/25
(internal quotation marks omitted) (quoting State v. Schelin, 147 Wn.2d 562, 567,
55 P.3d 632 (2002)).
Additionally, “there must be a nexus between the defendant, the crime,
and the weapon.” Gurske, 155 Wn.2d at 141; Schelin, 147 Wn.2d at 568. This
prevents the risk of punishing a defendant under the deadly weapon
enhancement for having a weapon unrelated to the crime. Gurske, 155 Wn.2d
at 141. Because the presence of a weapon at a crime scene may be insufficient
to establish a nexus, we examine the nature of the crime, the type of weapon,
and the circumstances under which the weapon is found. Id. at 142.
“ ‘Whether a person is armed is a mixed question of law and fact.’ ”
Schelin, 147 Wn.2d at 566 (quoting State v. Mills, 80 Wn. App. 231, 234–35, 907
P.2d 316 (1995)). If no dispute exists as to the location of the firearm, then “we
determine whether the facts are sufficient, as a matter of law, to prove that [the
defendant] was armed” under the de novo standard. Schelin, 147 Wn.2d at 566;
Mills, 80 Wn. App. at 234–35.
Here, George claims that there was no connection between the rifle in the
living room and the drugs found in the bedroom. George also claims that no
nexus existed when he was at the front door or under police control and the rifle
stashed between a DVD shelf and cabinet.
The State presented evidence that George sold controlled substances
from his residence from at least 2017 through 2019. The Harrington .22 rifle was
found in the open living room immediately near the front door and the entrance to
George’s bedroom. DTF located over $40,000 and the controlled substances in
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No. 83309-0-I/26
that bedroom. The firearm was easily accessible and readily available for use
during drug transactions. These factors combine to establish a nexus between
George, the rifle, and possession with intent. Sufficient evidence supports the
firearm enhancements.
Confrontation and Cross-Examination on Firearm Operability
During trial, George sought to cross-examine the State’s witness,
Detective Chris Rathbun, on the operability of the Harrington .22 rifle. The trial
court denied the request, stating that the operability of the rifle was not relevant.
George contends the trial court violated his right to confrontation by preventing
cross-examination about the operability of the Harrington .22 rifle.
We review a trial court’s decision to admit or exclude evidence for abuse
of discretion. State v. Gunderson, 181 Wn.2d 916, 922, 337 P.3d 1090 (2014).
A trial court abuses its discretion when a decision is manifestly unreasonable or
based on untenable grounds or reasons. Id. We review a court’s limitation on
the scope of cross-examination for manifest abuse of discretion. State v.
Darden, 145 Wn.2d 612, 619, 41 P.3d 1189 (2002).
Both the federal and state constitutions guarantee the right to confront and
cross-examine adverse witnesses. U.S. CONST. amend VI; W ASH. CONST. art. I,
§ 22; Darden, 145 Wn.2d at 620. Yet the right to cross-examination is not
absolute. Id. “The confrontation right and associated cross-examination are
limited by general considerations of relevance.” Darden, 145 Wn.2d at 621. The
evidence must be relevant. Id.
26
No. 83309-0-I/27
As discussed above, the issue of the Harrington .22 rifle’s operability was
not relevant to the charges for unlawful possession of a firearm or the firearm
enhancements. Because operability was not relevant, evidence on the issue was
not admissible. ER 402. The trial court’s denial of the request to cross-examine
the witness on this issue did not violate George’s right to confrontation.
Unanimity Instruction
George asserts that the firearm enhancements must be reversed because
the State failed to give a unanimity instruction as to which firearm supported the
enhancements. We disagree.
Washington criminal defendants have a constitutional right to a unanimous
jury verdict. W ASH. CONST. art. I, sec. 22. When the prosecution presents
evidence of multiple acts of misconduct which could form the basis of a charged
count, the State must elect the act to support a conviction or the court must
instruct the jury to agree on a specific criminal act. State v. Coleman, 159 Wn.2d
509, 511, 150 P.3d 1126 (2007). “An election or instruction that all 12 jurors
must agree that the same underlying act has been proved beyond a reasonable
doubt assures a unanimous verdict on one criminal act.” Id. at 512.
Whether or not a unanimity instruction was required in a particular case is
a question of law reviewed de novo. State v. Lee, 12 Wn. App. 2d 378, 393, 460
P.3d 701, review denied, 195 Wn. 2d 1032, 468 P.3d 622 (2020). A unanimity
instruction is not necessary where the State choses to elect an act as the basis
for conviction. See State v. Carson, 184 Wn.2d 207, 229, 357 P.3d 1064 (2015).
For an election to be effective, the State must tell the jury which act to rely on in
27
No. 83309-0-I/28
its deliberations. Id. at 227. Without either an election or a unanimity instruction
in a multiple acts case, omission of the unanimity instruction is presumed
prejudicial. Coleman, 159 Wn.2d at 512.
Here, the prosecutor clearly elected the Harrington .22 rifle as the basis
for the firearm enhancements. During closing, the State told the jury, “And
whether or not the defendant was armed with a firearm at the time he committed
counts 1, 2, and 3. Remember, the bolt action rifle was right at the entrance to
his bedroom.” Additionally, George conceded in his closing argument that the
Harrington .22 rifle was the only firearm that could support the enhancement.
Therefore, a unanimity instruction was unnecessary. Carson, 184 Wn.2d
at 227-28.
Cumulative Error
George asserts that cumulative error denied him a fair trial. George
claims that the combination of the illegally seized evidence, admissibility of
prejudicial statements, right to confrontation violation, the trial court’s ruling
limiting the scope of the questioning about firearm operability, biased jury
selection, inflammatory arguments, and lack of a unanimity instruction require a
reversal.
“Under the cumulative error doctrine, a defendant may be entitled to a new
trial when cumulative errors produce a trial that is fundamentally unfair.” State v.
Emery, 174 Wn.2d 741, 766, 278 P.3d 653 (2012). “The doctrine does not apply
where the errors are few and have little or no effect on the trial's outcome.” State
v. Veneqas, 155 Wn. App. 507, 520, 228 P.3d 813 (2010).
28
No. 83309-0-I/29
Here, there was only one error, which had little or no effect on the trial’s
outcome. Therefore, the cumulative error doctrine does not apply.
Sentencing-Related Challenges
George asserts three errors regarding sentencing. He contends that (1)
one drug offense was incorrectly scored as a separate point instead of being
properly treated as same criminal conduct, (2) three firearm enhancements were
imposed for same criminal conduct in violation of the right against double
jeopardy, and (3) that he was sentenced by a biased judge who deprived him of
effective counsel at sentencing.
1) Offender Score
In calculating George’s offender score, the trial court determined that two
convictions for possession with intent to deliver constituted the same criminal
conduct and scored those two offenses as a single point. The State concedes
that all of George’s possession convictions should be considered the same
criminal conduct. Additionally, the State concedes that the simple possession
conviction must be vacated under Blake. We accept the State’s concessions and
remand to the trial court to vacate the simple possession conviction and
resentence George with a corrected offender score.
2) Double Jeopardy
George asserts that because his possession with intent to deliver offenses
were all the same criminal conduct involving, the imposition of multiple firearm
enhancements violates double jeopardy under the United States Constitution
29
No. 83309-0-I/30
Amendment V and the Washington State Constitution article I, section 9. We
disagree.
The double jeopardy clause of the Fifth Amendment to the United States
Constitution provides that “no person shall be ‘subject for the same offence to be
twice put in jeopardy of life or limb.’ ” In re Pers. Restraint of Borrero, 161 Wn.2d
532, 541, 167 P.3d 1106 (2007) (quoting U.S. CONST. amend. V). Under Article I,
section 9 of The Washington State Constitution “[n]o person shall be . . . twice
put in jeopardy for the same offense.” Id. (quoting W ASH. CONST. art. IX § 9).
Double jeopardy claims are questions of law that are reviewed de novo. State v.
Hughes, 166 Wn.2d 675, 681, 212 P.3d 558 (2009).
The U.S. Supreme Court in Missouri v. Hunter found that “[i]f the
legislature intends to impose multiple punishments, their imposition does not
violate the double jeopardy clause.” State v. Kelley, 168 Wn.2d 72, 77, 226 P.3d
733, 779 (2010); Missouri v. Hunter, 459 U.S. 359, 368, 103 S. Ct. 673, 74 L. Ed.
2d 535 (1983). The court reasoned that, “[w]ith respect to cumulative sentences
imposed in a single trial, the Double Jeopardy Clause does no more than prevent
the sentencing court from prescribing greater punishment than the legislature
intended.” Id. at 366. So, essentially, “[a] legislature can enact statutes
imposing, in a single proceeding, cumulative punishments for the same conduct.”
Kelley, 168 Wn.2d at 77.
The Sentencing Reform Act of 198111 (SRA) specifically allows for firearm
enhancements as cumulative punishment. Id. at 78-80. The Washington
11 Ch. 9.94A RCW.
30
No. 83309-0-I/31
Supreme Court has considered the issue of multiple firearm enhancements for
convictions that are same criminal conduct in State v. Mandanas. 168 Wn.2d 84,
90, 228 P.3d 13 (2010) aff’d 163 Wn. App. 712, 262 P.3d 522 (2011). The court
concluded that enhancements must be applied to all eligible offenses including
those that amount to the same criminal conduct. Id. The sentence enhancement
statute clearly anticipates the possibility of multiple enhancements for multiple
offenses. Id. at 88-89. As a result, George’s firearm enhancements do not
violate double jeopardy.
3) Biased Judge
As a final matter, George claims that the trial judge was biased against
him, and thus, any further proceedings must take place before a different judge.
We disagree.
“The trial court is presumed to perform its functions without bias or
prejudice.” State v. Hecht, 2 Wn. App. 2d 359, 369, 409 P.3d 1146 (2018).
“ ‘The party moving for recusal must demonstrate prejudice.’ ” State v. Perala,
132 Wn. App. 98, 111, 130 P.3d 852 (2006) (quoting In re Parentage of J.H., 112
Wn. App. 486, 496, 49 P.3d 154 (2002). “ ‘Casual and unspecific allegations of
judicial bias provide no basis for appellate review.’ ” Hecht, 2 Wn. App. 2d at 369
(quoting Rich v. Starczewski, 29 Wn. App. 244, 246, 628 P.2d 831 (1981)). We
inquire whether as an objective matter, the average judge in their position is likely
to be neutral or whether an unconstitutional potential for bias exists. State v.
Blizzard, 195 Wn. App. 717, 727, 381 P.3d 1241 (2016).
31
No. 83309-0-I/32
First, George contends that the trial judge exhibited bias by failing to grant
a continuance at sentencing and thereby depriving George of effective
assistance of counsel.
Defendants are guaranteed effective counsel at sentencing. State v.
Bandura¸85 Wn. App. 87, 97, 931 P.2d 174 (1997). George’s counsel who
appeared at the sentencing hearing requested a continuance to allow for trial
counsel to appear but did not file a motion. The court had given George’s
counsel about one month to prepare for sentencing, which is a reasonable time
to consult with George and make adequate preparations. In fact, counsel who
appeared at George’s sentencing hearing had previously worked on the trial brief
and some pretrial motions. It was within the court’s discretion to require the case
proceed as scheduled and the mere fact that the court denied the continuance
does not show impartiality.12 George has not provided any evidence that judicial
bias improperly influenced the court’s decision to deny the continuance.
George also contends that the failure to grant a continuance demonstrates
bias because the trial court prejudged the outcome of another pending criminal
trial and intended for George to receive consecutive sentences. But as
described above, the trial court had adequate reasons to deny the continuance.
There was no evidence of bias.
Finally, George claims the trial judge exhibited bias by relying on unproven
facts in sentencing him. Specifically, the judge noted that George was dealing
12The State concedes that the trial court should have allowed the
continuance.
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No. 83309-0-I/33
high quantities stating, “[W]ith the volume you were dealing, I can only imagine
the number of people that you hurt.” The court sentenced George within the
standard range. This is within the court’s discretion and does not demonstrate
bias. See State v. Ammons, 105 Wn.2d 175, 181, 713 P.2d 719 (1986). George
does not demonstrate bias warranting remand to a different judge.
We affirm George’s convictions except for the simple possession charge,
accept the State’s concessions, and remand for resentencing consistent with this
opinion.
WE CONCUR:
33