IN THE SUPREME COURT OF THE STATE OF IDAHO
Docket No. 49128
CHAD SCHIERMEIER, )
)
Petitioner-Appellant, ) Twin Falls, August 2022 Term
)
v. ) Opinion Filed: December 7, 2022
)
STATE OF IDAHO, ) Melanie Gagnepain, Clerk
)
Respondent. )
Appeal from the District Court of the Fifth Judicial District, State of Idaho, Blaine County.
Jonathan P. Brody, District Judge.
The decision of the district court is affirmed.
Thomas R. Green, Pro Hac Vice, Casper, Wyoming and Luboviski, Wygle,
Fallowfield & Ritzau, P.A., Ketchum, for appellant, Chad Schiermeier. Thomas R.
Green argued.
Lawrence G. Wasden, Idaho Attorney General, Boise, for respondent State of
Idaho. Kenneth K. Jorgensen argued.
_____________________
STEGNER, Justice.
Chad Schiermeier appeals from the summary disposition of his petition for post-conviction
relief. In 2017, Schiermeier was charged and convicted of one count of grand theft for stealing
money from the Blaine County Sheriff’s DARE program. Schiermeier, a Blaine County Deputy
Sheriff, had been the manager of the program for several years and had spent large sums of the
program’s money on various items for his personal use. Schiermeier appealed his conviction and
sentence to this Court, which we affirmed. State v. Schiermeier, 165 Idaho 447, 447 P.3d 895
(2019) (“Schiermeier I”).
In 2020, Schiermeier, through the same private attorney who had represented him during
his trial, petitioned for post-conviction relief, arguing that his appellate counsel (a Deputy State
Appellate Public Defender) had been ineffective for failing to raise several issues in his direct
appeal. The State moved for summary disposition, which the district court granted. Schiermeier
timely appeals. For the reasons set forth below, we affirm the district court’s summary disposition
1
of Schiermeier’s petition for post-conviction relief.
I. FACTUAL AND PROCEDURAL BACKGROUND
In the early 1990s, the Blaine County Sheriff’s Department founded D.A.R.E./P.A.L. Inc.,
(“DARE”), 1 to fund outdoor activities for children in the Blaine County community. DARE was
funded by the Sheriff’s office through its drug forfeiture funds and by donations and grants from
various local individuals and entities. DARE was set up as a 501(c)(3) corporation and had a board
of directors. The articles of incorporation provided that DARE was “organized exclusively for the
charitable and educational purposes within the meaning of section 501(c)(3) of the Internal
Revenue Code.” In 1999, Schiermeier was hired by the Blaine County Sheriff’s Department to
assist in running the DARE program. He also worked for Blaine County as a deputy sheriff. In
2002, Schiermeier became a manager of DARE and ran the program with another deputy sheriff.
For unexplained reasons, DARE’s board of directors stopped conducting meetings, and in 2009,
Schiermeier became the sole corporate officer and manager in charge of DARE and its funds. Once
the other officers left the organization, Schiermeier appeared to be the sole authorized user of the
DARE bank account and possessed a debit card linked to that account. Sometime in 2015, DARE
received a donation of $5,100 from a local charitable group. The group later contacted
Schiermeier’s direct supervisor, Lieutenant Carpita, and the County Sheriff to follow up on its
donation to see how the money had been spent. Carpita asked Schiermeier to provide an accounting
of that donation. After several inquiries went unanswered by Schiermeier, Carpita asked
Schiermeier for DARE’s bank records and the DARE debit card. After nearly two months, Carpita
finally received the bank records from Schiermeier. The records reflected that Schiermeier had
used the DARE debit card to purchase multiple items of luxury hunting and outdoor equipment,
apparently for his own use. Schiermeier had also used the debit card to make multiple significant
cash withdrawals from ATM machines. These purchases and withdrawals occurred from 2009
through 2015. The cash withdrawals totaled $92,230 over the course of those seven years.
In 2017, the State charged Schiermeier with one count of felony grand theft in violation of
Idaho Code sections 18-2403(1), 18-2407(1)(b)(1), and 18-2408(2)(a). 2 The case proceeded to
trial, at which a jury convicted Schiermeier. Schiermeier’s trial counsel, the same attorney who
1
D.A.R.E. stands for “Drug Abuse Resistance Education,” and P.A.L. stands for “Police Activities League.”
2
Schiermeier was originally indicted on six counts of misuse of public money by public officers and public employees.
See I.C. § 18-5701.
2
now represents him in these post-conviction proceedings, unsuccessfully advanced several novel
legal theories throughout the trial. Following the jury verdict, the district court sentenced
Schiermeier to a unified term of fourteen years with six years fixed. Schiermeier was also ordered
to pay restitution to DARE in the amount of $86,868.03.
Schiermeier appealed his conviction. Trial counsel explained in the briefing that, though
he was admitted pro hac vice to try the criminal case in Idaho, he did not feel equipped to handle
the appeal because he is a practicing attorney in Wyoming and a former prosecutor from Nevada
and, therefore, did not have any prior appellate criminal defense experience in Idaho. As a result
of his counsel’s unwillingness to pursue an appeal in Idaho, a Deputy State Appellate Public
Defender (SAPD) was appointed to represent Schiermeier in his appeal. Schiermeier’s trial counsel
remained in frequent contact with the Deputy SAPD prior to the filing of the appellate brief. Trial
counsel and the Deputy SAPD engaged in numerous emails over the course of three months, in
which trial counsel offered his view of the issues that should be raised on appeal. Eventually,
communications between the Deputy SAPD and trial counsel broke down, and the Deputy SAPD
informed Schiermeier’s trial counsel that it would no longer communicate with him regarding
Schiermeier’s appeal or any other pending case.
The Deputy SAPD argued on appeal that the State had failed to prove the elements of grand
theft beyond a reasonable doubt. Specifically, the Deputy SAPD contended that, because he was
the sole director, Schiermeier’s taking of the DARE money was not wrongful or unauthorized. The
Deputy SAPD also argued that the district court abused its discretion by sentencing Schiermeier
to fourteen years with six years fixed for one count of grand theft. This Court affirmed
Schiermeier’s conviction and sentence in Schiermeier I, concluding there had been sufficient
evidence to support the jury’s verdict that Schiermeier committed felony grand theft and that the
district court had not abused its discretion in sentencing Schiermeier in the way that it had. 165
Idaho at 447, 447 P.3d at 895.
The following year, Schiermeier (represented again by his original trial counsel) filed a
petition for post-conviction relief, primarily contending that the Deputy SAPD had been
ineffective for failing to raise several issues that he had suggested be raised on appeal. In response,
the State moved for summary disposition of Schiermeier’s petition. The district court heard
arguments on the State’s motion for summary disposition and thereafter issued an order granting
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the State’s motion. The district court dismissed Schiermeier’s petition with prejudice. Schiermeier
timely appeals that dismissal.
II. STANDARD OF REVIEW
Summary disposition of a petition for post-conviction relief is appropriate
if the applicant’s evidence raises no genuine issue of material fact. On review of a
dismissal of a post-conviction relief application without an evidentiary hearing, this
Court will determine whether a genuine issue of fact exists based on the pleadings,
depositions and admissions together with any affidavits on file and will liberally
construe the facts and reasonable inferences in favor of the non-moving party. A
court is required to accept the petitioner’s unrebutted allegations as true, but need
not accept the petitioner’s conclusions. When the alleged facts, even if true, would
not entitle the applicant to relief, the trial court may dismiss the application without
holding an evidentiary hearing. Allegations contained in the application are
insufficient for the granting of relief when (1) they are clearly disproved by the
record of the original proceedings, or (2) do not justify relief as a matter of law.
Kelly v. State, 149 Idaho 517, 521, 236 P.3d 1277, 1281 (2010) (quoting Charboneau v. State, 144
Idaho 900, 903, 174 P.3d 870, 873 (2007)).
III. ANALYSIS
A. The district court correctly granted the State’s motion for summary disposition of
Schiermeier’s petition for post-conviction relief.
The gravamen of Schiermeier’s petition for post-conviction relief is that he received
ineffective assistance of counsel during his direct appeal due to the Deputy SAPD’s purported
failure to raise several issues. Schiermeier makes three specific arguments regarding ineffective
assistance of counsel. First, he argues that Idaho Code section 30-30-304, which embodies the
“ultra vires” doctrine for non-profit corporations, prevented the State from pursuing criminal
charges against Schiermeier. Second, Schiermeier argues that the “traditional separation between
criminal law and contract law” barred the State from charging him with grand theft. And third,
Schiermeier argues that DARE as a corporation was not an “owner” of the property taken by him,
which is an essential element of a theft charge. Finally, he argues that the district court somehow
lost subject matter jurisdiction through the course of the trial. Each claim will be discussed in turn.
Criminal defendants retain the right to effective assistance of counsel both at trial and on
appeal, as guaranteed by the Sixth Amendment of the United States Constitution and Article 1,
section 13 of the Idaho Constitution. Dunlap v. State, 159 Idaho 280, 295, 360 P.3d 289, 305
(2015); Lafler v. Cooper, 566 U.S. 156, 165 (2012). This Court reviews ineffective assistance
claims under the standards set forth in Strickland v. Washington, 466 U.S. 668 (1984). Dunlap,
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159 Idaho at 296, 360 P.3d at 305. “Additionally, [this Court] use[s] the same test to evaluate
ineffective assistance of appellate counsel on direct appeal as we use to evaluate ineffective
assistance of trial counsel.” Id.
“To demonstrate deficient performance of appellate counsel for failure to raise a claim on
appeal, the defendant must show that counsel made an objectively unreasonable decision to omit
the claim.” Id. (citing Smith v. Robbins, 528 U.S. 259, 286 (2000)).
Courts have recognized that appellate counsel may fail to raise an issue on
appeal because counsel “foresees little or no likelihood of success on that issue;
indeed, the weeding out of weaker issues is widely recognized as one of the
hallmarks of effective appellate advocacy.” Appellate counsel is not deficient for
using reasonable professional judgment in deciding the most promising issues for
appellate review and counsel is not required to raise issues which are reasonably
considered to be meritless. 24 C.J.S. Criminal Law § 2361 (2014). Indeed,
“appellate counsel who files a merits brief need not (and should not) raise every
nonfrivolous claim, but rather may select from among them in order to maximize
the likelihood of success on appeal.” Robbins, 528 U.S. at 288, 120 S.Ct. at 765,
145 L.Ed.2d at 781 (citing Jones [v. Barnes], 463 U.S. 745, 103 S.Ct. 3308, 77
L.Ed.2d 987).
The United States Supreme Court has stated that when a claim of ineffective
assistance of counsel is based on a failure to raise issues on appeal, “[g]enerally,
only when ignored issues are clearly stronger than those presented, will the
presumption of effective assistance of counsel be overcome.” Robbins, 528 U.S. at
288, 120 S.Ct. at 765, 145 L.Ed.2d at 781 (quoting Gray v. Greer, 800 F.2d 644,
646 (7th Cir. 1986)). The Ninth Circuit has likewise indicated that appellate
counsel’s failure to raise a claim on appeal is deficient when the omitted “claim
was ‘clearly stronger than those presented’ on appeal.” Hurles v. Ryan, 752 F.3d
768, 783 (9th Cir. 2014) (quoting Robbins, 528 U.S. at 288, 120 S.Ct. at 765, 145
L.Ed.2d at 781)[.]
Id. at 296–97, 360 P.3d at 305–06 (some citations omitted) (italics added).
If counsel’s performance was deficient, the next step is to determine whether counsel’s
error resulted in prejudice to the defendant. Id. at 297, 360 P.3d at 306. To prove prejudice, “[t]he
defendant must show that there is a reasonable probability that, but for counsel’s unprofessional
errors, the result of the proceeding would have been different.” Id. (quoting Strickland, 466 U.S.
at 694). Courts need not address both Strickland prongs “if the defendant makes an insufficient
showing on one” of the prongs. Dunlap, 159 Idaho at 297, 360 P.3d at 306 (quoting Strickland,
466 U.S. at 697). To survive a motion for summary disposition during post-conviction
proceedings, the defendant must show the existence of a genuine issue of material fact relating to
both Strickland prongs. Id. at 296, 360 P.3d at 305.
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1. Idaho’s “ultra vires” statute is inapplicable to this case, and the Deputy SAPD’s
decision to omit this issue on appeal was not ineffective.
Throughout the trial, Schiermeier’s trial counsel advanced the argument that Idaho Code
section 30-30-304, the “ultra vires” statute contained in the Idaho Nonprofit Corporation Act,
insulated Schiermeier from criminal liability. Trial counsel repeatedly argued that the ultra vires
theory and statute rendered Schiermeier’s conduct non-criminal or beyond the ambit of a criminal
prosecution. The district court rejected these arguments at several junctures both before and during
the trial. At her deposition, the Deputy SAPD stated that she did not raise this issue on direct appeal
because it would have contradicted the argument she advanced on appeal, which was that
Schiermeier had authorization to use the DARE debit card in the way he did. Specifically, if the
Deputy SAPD had argued the ultra vires theory, she would have been conceding that Schiermeier
did not have authority to use the funds in the way he did.
This type of an “ultra vires” argument has not been considered by this Court, and, because
the merits of that claim affect our ultimate finding that Schiermeier’s appellate attorney was not
ineffective, we may address them here. Dunlap, 159 Idaho at 292, 360 P.3d at 301 (“Because we
conclude Dunlap’s substantive claims were not pursued in a timely manner, we will address the
merits of these claims in the second part of this opinion, where we consider the corresponding
claims of ineffective assistance of appellate counsel.”).
In granting the State’s motion for summary disposition, the district court determined that
Schiermeier’s argument that the ultra vires statute insulated him from criminal liability was
“clearly meritless.” As a result, the district court concluded that the Deputy SAPD’s failure to raise
the ultra vires issue on appeal was not ineffective.
On appeal, Schiermeier begins his argument by explaining the ultra vires statute in Idaho
and contending that his actions within the DARE corporation “could not be challenged by
corporate outsiders as conflicting with the articles of incorporation.” Schiermeier acknowledges
that there is no authority for this position in Idaho or anywhere else for that matter. He next asserts
that the ultra vires statute raises the issue of standing, and that the Blaine County prosecutor did
not have standing to prosecute him on the theory of criminal theft. Schiermeier further attacks the
Deputy SAPD’s performance at oral argument, contending that she was “beyond her depth” and
“did not understand the issue of the law.”
Idaho law defines theft as follows: “A person steals property and commits theft when, with
intent to deprive another of property or to appropriate the same to himself or to a third person, he
6
wrongfully takes, obtains or withholds such property from an owner thereof.” I.C. § 18-2403(1).
Grand theft occurs when the value of the property wrongfully taken exceeds $1,000.
I.C. § 18-2407(1)(b)(1).
Idaho’s ultra vires statute, Idaho Code section 30-30-304, provides in full:
(1) Except as provided in subsection (2) of this section, the validity of corporate
action may not be challenged on the ground that the corporation lacks or lacked
power to act.
(2) A corporation’s power to act may be challenged in a proceeding against the
corporation to enjoin an act where a third party has not acquired rights. The
proceeding may be brought by a director, or by a member or members in a
derivative proceeding.
(3) A corporation’s power to act may be challenged in a proceeding against an
incumbent or former director, officer, employee or agent of the corporation. The
proceeding may be brought by a director, the corporation, directly, derivatively, or
through a receiver, a trustee or other legal representative.
I.C. § 30-30-304. “An ultra vires act is an act that is ‘[u]nauthorized; beyond the scope of power
allowed or granted by a corporate charter or by law.’ ” Taylor v. Taylor, 163 Idaho 910, 918, 422
P.3d 1116, 1124 (2018) (quoting Ultra Vires, BLACK’S LAW DICTIONARY (10th ed. 2014)).
However, we have previously limited its application by holding “that the doctrine of ultra vires,
when invoked for or against a corporation, should not be allowed to prevail where it would defeat
the ends of justice or work a legal wrong.” Id. (quoting Power Cnty. v. Evans Bros. Land & Live
Stock Co., 43 Idaho 158, 166, 252 P. 182, 183 (1926)) (internal quotation marks omitted). Idaho
Code section 30-30-304 is based on section 3.04 of the Model Nonprofit Corporation Act, which
it copies almost verbatim. See generally State v. Chambers, 166 Idaho 837, 842–43, 465 P.3d
1076, 1081–82 (2020) (referring to the Uniform Rules of Evidence and a subsequent comment for
assistance interpreting the analogous provision in the Idaho Rules of Evidence). The comments to
section 3.04 explain that the ultra vires doctrine:
does not validate corporate conduct that is made illegal or unlawful by statute or
common law decision. This conduct is subject to whatever sanction, criminal or
civil, is provided by the statute or decision. Whether or not illegal corporate conduct
is voidable or rescindable depends on the applicable statute or substantive law and
is not affected by Section 3.04.
MODEL NONPROFIT CORP. ACT, THIRD EDITION § 3.04 cmt. at 3-12 (2008) (italics added).
This comment clarifies that the ultra vires provision does not serve as a defense to a
criminal prosecution. It not only dispels Schiermeier’s original argument, but it also leaves no
7
room for his alternative theory that only corporate officers—not outsiders, including a county
prosecutor—can challenge his conduct. In fact, the comment plainly states that illegal corporate
conduct “is subject to whatever sanction . . . is provided by the statute.” Id. Schiermeier’s conduct
was illegal under Idaho’s grand theft statute. Under the comments to the Model Code, the ultra
vires statute does not insulate him from liability. Thus, the ultra vires doctrine does not bar a
prosecution for theft in Idaho as argued by Schiermeier.
A common sense understanding of the relevant law supports this conclusion as well. If the
defense of ultra vires could act as a bar to the criminal prosecution of acts that fall under the
definition of grand theft in Idaho, or any jurisdiction for that matter, then the crime of corporate
theft (embezzlement) would cease to exist. Appellate counsel’s performance cannot have been
deficient in failing to raise an unmeritorious argument.
Additionally, this issue is easily resolved considering the Deputy SAPD’s deposition
testimony regarding her representation of Schiermeier in Schiermeier I, as well as the novel nature
of Schiermeier’s arguments. First, during her deposition, the Deputy SAPD explained exactly why
she had not asserted that Schiermeier’s conduct was an ultra vires act. Relying on that theory would
have undercut her actual theory on appeal, which was that Schiermeier’s use and taking of the
DARE money was authorized and was within his authority as essentially the sole director in charge
of the corporation. This was clearly a “strategic and tactical” decision, which this Court does not
second-guess nor view through the distorting lens of hindsight. Dunlap, 159 Idaho at 320, 360
P.3d at 329. Furthermore, “only when ignored issues are clearly stronger than those presented, will
the presumption of effective assistance of counsel be overcome.” Id. at 297, 360 P.3d at 306
(quoting Robbins, 528 U.S. at 288).
Here, the ultra vires issue flagged by Schiermeier early in the proceedings against him was
not “clearly stronger” than the Deputy SAPD’s argument regarding insufficiency of the evidence
which was advanced on direct appeal. Rather, as discussed above, Schiermeier’s novel theory lacks
merit altogether. Therefore, the abandonment of the argument by Schiermeier’s appellate attorney
was not deficient. 3
Further, the Deputy SAPD used “reasonable professional judgment in deciding the most
promising issues for appellate review.” Dunlap, 159 Idaho at 296, 360 P.3d at 305. Because the
3
Notably, at oral argument, Schiermeier’s pro hac vice counsel abandoned this argument following questioning
regarding application of the Model Nonprofit Corporation Act.
8
Deputy SAPD’s representation of Schiermeier was not deficient, this Court need not reach the
question of whether Schiermeier suffered prejudice. As a result, we hold that the district court did
not err in concluding appellate counsel was not ineffective for failing to raise the ultra vires theory.
2. Principles of contract law accord the criminal prosecution of corporate theft, and the
Deputy SAPD’s decision declining to raise this issue on appeal was not ineffective.
Schiermeier next argues that, because he had a contractual relationship with DARE, his
conduct cannot be prosecuted as a crime. Schiermeier contends that he was prosecuted on a “made-
up theory of theft,” “never before utilized in any jurisdiction in the nation.” He also notes that the
jury in his trial was ill-equipped to “resolve complex interpretations of corporate documents.”
Schiermeier’s primary support for this argument, he contends, is State v. Henninger, 130 Idaho
638, 945 P.2d 864 (Ct. App. 1997).
During the Deputy SAPD’s deposition, trial counsel asked why the Henninger case was
not raised as an issue on appeal. The Deputy SAPD responded, “If I didn’t raise an issue on appeal,
I determined, one, it was frivolous or, two, strategically and tactically it was not in my client’s best
interests to raise that issue.” A discussion of the case confirms her testimony.
In Henninger, the defendant purchased a truck from a dealership with a down payment of
$5,000 in the form of a promissory note and an installment contract for the remaining balance of
the purchase price. 130 Idaho at 639, 945 P.2d at 865. The dealership agreed to allow Henninger
to drive the truck off the lot with the expectation that he would return the following day to pay the
$5,000 promissory note. Id. at 639–40, 945 P.2d at 865–66. Henninger did not return to the
dealership and could not be located at his residence or place of work. Id. The dealership reported
the truck as stolen, and Henninger was later arrested, charged with, and convicted of grand theft
by unauthorized control. Id.
On appeal, the Idaho Court of Appeals framed the relevant question as “whether there was
substantial evidence to support the jury’s finding that Henninger’s possession of the pickup
constituted ‘unauthorized control’ of property of which he was not the ‘owner,’ as those terms are
used in [Idaho Code] Section 18-2403(3).” Id. The court then described the relationship between
the dealership and Henninger:
We begin by noting that, as the State acknowledges, Henninger did not exercise
unauthorized control when he took possession of the vehicle on June 5, 1995. The
State’s own evidence showed that a transaction was completed by which the
dealership had sold the pickup to Henninger before he drove it away. The
installment sale contract executed by both parties provided that Henninger was
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purchasing the pickup, with the dealership retaining a security interest in the
vehicle to secure Henninger’s obligation to make installment payments. The
dealership also signed and delivered to Henninger the documents necessary to
transfer title and placed a temporary registration form in the window of the pickup.
The dealership thus relinquished to Henninger all the badges of ownership and did
everything that it could do to transfer title to him. Consequently, when Henninger
drove away in the pickup, it was not the property of another “owner” and his control
of the vehicle was not “unauthorized.” Indeed, under the parties’ contract, the
dealership had no further right to possession except to the extent that it would be
entitled to repossess the vehicle upon default by terms of the security agreement
and Idaho law governing the rights of secured creditors.
Id. at 640–41, 945 P.2d at 866–67 (italics added).
Next, the court examined the statutory text of Idaho Code section 18-2403(3) before
concluding that it was “not persuaded that the legislature intended the statute to apply where a
purchaser in a secured credit sale has defaulted in payments and the creditor has thereby become
entitled to retake possession of the goods.” Id. at 641, 945 P.2d at 867. Stated another way, the
court clarified its holding:
We think it unlikely [] that the Idaho legislature, in adopting I.C. §§ 18-2402(6) and
18-2403(3), intended to render criminal the conduct of every person who misses a
payment on a secured credit purchase and does not immediately comply with a
contractual obligation to relinquish possession of the collateral to the secured seller.
Id. The court was careful with its decision, reiterating that it should not be read as a mechanism to
avoid prosecution for theft. Id. at 642, 945 P.2d at 868. “Lest our opinion be misunderstood, a
further observation is warranted regarding Idaho’s theft statutes and Henninger’s alleged conduct.”
Id. (Italics added.) The court then described Idaho Code section 18-2403(2)(a), which defines
another type of theft as obtaining goods from sellers by fraud. Id. That statute, the court concluded,
could have been utilized to prosecute Henninger’s conduct instead of theft by unauthorized control.
Id. Finally, the court stated its conclusion again, considering the legislative intent behind the theft
statute and principles of contract law:
Without a more explicit expression of intent by the legislature to abandon this
customary separation of criminal law from civil contract enforcement, we will not
conclude that the legislature intended unauthorized control under I.C. § 18-2403(3)
to encompass possession by a debtor who, by defaulting on a payment, has become
contractually obligated to return the collateral to the creditor, or that the legislature
intended the theft statute to be a mechanism that would aid the repossession efforts
of secured creditors.
Id.
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Simply put, the Henninger decision does not bar Schiermeier’s prosecution for grand theft.
First, the Court of Appeals went to great lengths to explain its narrow holding, restating it three
separate times. This is because the holding was specific to the type of transaction that Henninger
engaged in with the seller of the truck. The Court of Appeals simply declined to allow a secured
creditor to enforce its right to repossession via a criminal prosecution for theft.
Henninger is readily distinguishable from Schiermeier’s case. First, Schiermeier was not
engaged in a transaction with DARE. There was no exchange of goods between Schiermeier and
the corporate entity; rather, Schiermeier acted as an agent of DARE who was authorized to expend
funds on behalf of the non-profit corporation. Furthermore, the court in Henninger clarified that
Henninger’s conduct could have been prosecuted on a different theory of theft, not merely that
Henninger’s conduct was not criminal. Finally, while there is a traditional separation between
contract and criminal law, Henninger does not stand for the proposition that one’s conduct can
only be either a breach of a contract or a violation of a criminal statute. On the contrary, as
expressly acknowledged by the Henninger court, the truck dealership had the right to repossess
the truck according to its contract, and Henninger’s conduct could have been prosecuted as theft
by fraud. It is well-established that the status of one’s conduct can be pursued both civilly and
criminally concurrently. See, e.g., Camp v. East Fork Ditch Co., 137 Idaho 850, 55 P.3d 304
(2002). For these reasons, Henninger did not bar Schiermeier’s prosecution for theft.
It then follows that the Deputy SAPD’s decision to reject the Henninger issue on appeal
was not ineffective. As discussed above, this Court does not second-guess strategic or tactical
decisions of appellate counsel regarding which issues should have been raised on appeal. See
Dunlap, 159 Idaho at 296, 360 P.3d at 305. “To demonstrate deficient performance of appellate
counsel for failure to raise a claim on appeal, the defendant must show that counsel made an
objectively unreasonable decision to omit the claim.” Id. (Italics added.) It was not objectively
unreasonable for the Deputy SAPD to fail to raise the Henninger case as a basis for vacating
Schiermeier’s conviction because it was readily distinguishable from the facts in Schiermeier’s
case. Because the Deputy SAPD’s performance was not deficient, this Court need not reach the
question of whether Schiermeier suffered prejudice. Therefore, we hold the district court did not
err in concluding that the Deputy SAPD was not ineffective for failing to raise Henninger on direct
appeal.
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3. DARE was the “owner” of the funds wrongfully spent by Schiermeier, and the Deputy
SAPD’s failure to argue otherwise on appeal was not ineffective.
In his petition, Schiermeier presented the argument that DARE was not an “owner” of the
donated funds and did not retain “superior possessory rights” in the funds expended by
Schiermeier; therefore, Schiermeier could not have committed theft. When she was deposed, the
Deputy SAPD explained why she declined to raise this “owner” theory as follows: “If I didn’t raise
the ownership issue, it’s because it was either not viable or strategically and tactically that issue
was not the best issue to be raised or one of the best issues to be raised in this case.”
The district court was not persuaded by Schiermeier’s “owner” theory either. In its decision
dismissing Schiermeier’s petition, the district court first noted that
Petitioner concedes that once funds were donated to DARE/PAL, they became the
property of DARE/PAL. Along with the identified remarks of [Schiermeier] in
[Schiermeier I], it is clear that Petitioner recognized the funds were not his own and
the funds properly belonged to DARE/PAL. Any possessory rights held by
Petitioner over the funds of DARE/PAL were clearly inferior to the possessory
rights of DARE/PAL.
On appeal, Schiermeier relies chiefly on State v. Bennett, 150 Idaho 278, 246 P.3d 387
(2010) and State v. Dix, 166 Idaho 851, 465 P.3d 1090 (2020) to support his owner theory:
[T]he State cannot ignore the Certificate of Authority (State’s Exhibit 31)[ 4], [sic]
a contract was executed at U.S. Bank by the bank, the corporation[,] and
Schiermeier, giving Schiermeier the unconditional right to expend the corporation’s
funds at any time in any manner deemed appropriate, without the corporation
reserving any possessory rights to said funds in any way.
(Italics added.)
An examination of the two cases relied on by Schiermeier readily demonstrates the flaws
in his argument. In Bennett, the defendant purchased a trailer from LeFave. 150 Idaho at 278, 246
P.3d at 387. The parties agreed that after he made a down payment, the remaining payments could
be made by Bennett over time, with title being transferred to Bennett upon the final payment. Id.
Bennett made at least one payment, but eventually left the state with the trailer before completing
the payments. Id. at 279, 246 P.3d at 388. LeFave reported the trailer as stolen to law enforcement,
and Bennett was eventually charged with and convicted of theft in violation of Idaho Code sections
18-2403(1) and 18-2407(1)(b). Id.
4
This document was not contained in the record.
12
On appeal, this Court overturned Bennett’s conviction because it concluded that the State
had failed to prove that, at the time Bennett wrongfully took the trailer, LeFave was the owner of
the trailer. Id. at 279–80, 246 P.3d at 388–89. The Court concluded that “the State had the burden
of proving that LeFave had possessory rights in the trailer which were superior to any possessory
rights that Bennett had at the time of the alleged wrongful taking.” Id. at 281, 246 P.3d at 390. In
reaching its conclusion, the Court noted that the Uniform Commercial Code (UCC) governed the
transaction between Bennett and LeFave. Id. In that context, this Court held that LeFave did not
retain “superior possessory rights” in the trailer, therefore, he was no longer the owner for purposes
of the theft statute. Id. Instead, “LeFave’s available remedy [was] to sue Bennett for the unpaid
price” under the UCC. Id.
In Dix, the defendant purchased several power tools from Grainger Supply on credit. 166
Idaho at 852, 465 P.3d at 1091. On the same day of the purchases, Dix pawned the items. Id. Dix
was charged with and convicted of both grand theft and burglary. Id. at 852–53, 465 P.3d at 1091–
92. On appeal, this Court, relying on Bennett, vacated Dix’s convictions because the “State did not
prove that Grainger had a superior possessory interest to the goods at the time of Dix’s alleged
theft.” Id. at 854, 465 P.3d at 1093. The Dix Court then defined “owner” in the context of the theft
statute: “any person who has a right to possession thereof superior to that of the taker, obtainer or
withholder.” Id. (quoting I.C. § 18-2402(6)). This Court then concluded that, at the time of Dix’s
alleged theft, Dix had superior possessory rights because ownership of the goods transferred to
him when he purchased and took possession of them from Grainger. Id.
Schiermeier’s ownership theory is inapposite, and neither Bennett nor Dix apply to these
facts. First, both cases involved a transaction for the sale of goods, governed by the UCC. Here,
there was no such transaction between Schiermeier and DARE. Schiermeier purchased goods with
the DARE debit card, but DARE was not a secured creditor of the goods purchased. Second, one
element of a grand theft charge is that another person or entity is the “owner” of the property taken.
It cannot seriously be disputed that DARE owned the funds contained in its bank account. There
is no support for the argument that officers, directors, or managers of a corporation have possessory
rights to the corporation’s money that are superior to the corporate entity’s rights itself.
Schiermeier’s assertion to the contrary belies common sense. Schiermeier has failed to
demonstrate how he had any possessory rights in DARE’s bank account that were superior to those
of DARE. In fact, Schiermeier’s petition for post-conviction relief demonstrates that he knew that
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the donated funds were the property of the corporation: “By the end of the trial, it became perfectly
clear that, as a matter of law. . . when the sheriff’s department donated funds to the corporation the
funds became the property of the corporation, which was a standalone entity[.]” (Italics added.)
For these reasons, the Deputy SAPD’s decision not to raise Schiermeier’s “ownership”
theory on appeal was both a strategic decision and not supported by the case law upon which
Schiermeier now relies. It was not “obviously unreasonable” for the Deputy SAPD to fail to raise
this argument on appeal. See Dunlap, 159 Idaho at 296, 360 P.3d at 305. “Courts have recognized
that appellate counsel may fail to raise an issue on appeal because counsel ‘foresees little or no
likelihood of success on that issue; indeed, the weeding out of weaker issues is widely recognized
as one of the hallmarks of effective appellate advocacy.’ ” Id. (quoting Miller v. Keeney, 882 F.2d
1428, 1434 (9th Cir. 1989)). The Deputy SAPD was not deficient for failing to raise the ownership
theory on direct appeal because it had no likelihood of success. Because the Deputy SAPD was
not deficient, this Court need not reach Strickland’s second prong of prejudice. As a result, the
district court did not err in concluding the Deputy SAPD was not ineffective for failing to raise the
ownership theory on direct appeal.
B. The district court retained subject matter jurisdiction for the duration of
Schiermeier’s trial for grand theft.
Finally, Schiermeier claims that the district court did not have subject matter jurisdiction
over the case:
The bottom line is that even though jurisdiction was originally conferred upon the
district court by the filing of the information charging grand theft, by the time of
the conviction/sentencing, the [district] court lost subject matter jurisdiction
because the evidence in the case, and the State’s prohibited legal theories of theft
established conclusively that Schiermeier’s actions did not constitute theft in Idaho
as a matter of law, not merely from insufficiency of the evidence.
Schiermeier continues: “If Schiermeier’s legal analysis in this current appeal is correct with respect
to any one of the three issues in the Argument section herein, he could not have committed theft
as a matter of law, meaning that such error was jurisdictional.”
“Subject matter jurisdiction in a criminal case is conferred by the filing of an ‘information,
indictment, or complaint alleging an offense was committed within the State of Idaho.’ ” State v.
Quintero, 141 Idaho 619, 621, 115 P.3d 710, 712 (2005) (quoting State v. Jones, 140 Idaho 755,
757–58, 101 P.3d 699, 701–02 (2004)). Schiermeier offers no support for his contention that a
district court can lose subject matter jurisdiction simply where the State fails to prove an element
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of a charged crime. Schiermeier also does not dispute that a proper indictment was filed in district
court. If defense counsel believes the State’s evidence is insufficient to establish a required element
of the crime, Idaho Criminal Rule 29 provides a mechanism for the trial court to address this
concern. Under Rule 29, a defendant may challenge (or the court may review the evidence sua
sponte) to determine “whether there was substantial evidence upon which a trier of fact could have
found the essential elements of the crime beyond a reasonable doubt.” State v. Hoyle, 140 Idaho
679, 6884, 99 P.3d 1069, 1074 (2004). If a court agrees that an element of the crime has not been
proven beyond a reasonable doubt, then it may acquit the defendant. I.C.R. 29.
As a result, we conclude that Schiermeier’s argument that the district court somehow lost
subject matter jurisdiction during the course of the trial is patently frivolous and wholly without
merit or support.
C. Both local counsel and pro hac vice counsel are required to abide by the Idaho Rules
of Professional Conduct.
We turn now to a necessary discussion regarding the conduct of counsel before this Court
during the prosecution of this appeal. We take seriously the Professional Rules of Conduct required
by our profession and expect all who appear before us to do so as well. The Idaho Bar Commission
Rules govern admission and practice required of those practicing law in this state, while the Idaho
Rules of Professional Conduct outline the lawyer’s responsibilities. Relevant here are Idaho Bar
Commission Rule 227 and Idaho Rule of Professional Conduct 8.2(a), which explain the
requirements for pro hac vice admission and discussion of judicial qualifications, respectively.
Generally speaking, only actively licensed Idaho attorneys may practice law in this state.
Licensed attorneys from out-of-state, however, may apply for pro hac vice admission pursuant to
Bar Commission Rule 227. Under this system, out-of-state attorneys are required to associate with
local Idaho counsel who are members in good standing in Idaho. Those whose admission has been
granted by the affected court may practice law on a case-by-case basis in Idaho. We require
association with local counsel to ensure that out-of-state attorneys are familiar with the standards
and expectations governing an Idaho counsel’s behavior and that local counsel will then take
responsibility for the conduct of out-of-state counsel who operate within our court system. For
these reasons, the Bar Commission requires local counsel to be an active member of the Idaho
State Bar. To that end, the Bar Commission Rules require local counsel to appear at all proceedings
with the out-of-state counsel, unless the obligation to appear has been waived. We have been
relaxed about enforcing the requirement that local counsel appear with out-of-state counsel given
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the additional cost to clients and the historic adherence to our local rules by most out-of-state
attorneys. However, the presence of local counsel is still preserved in the Bar Commission Rules
and may only be waived by the individual court. Importantly, once the out-of-state attorney has
applied for and been granted admission pro hac vice, that attorney “consents to the exercise of
disciplinary jurisdiction by the affected court and the Idaho State Bar over any alleged misconduct
which occurs during the case in which that attorney participates.” I.B.C.R. 227(d).
In turn, Idaho Rule of Professional Conduct 8.4 defines misconduct as a “violat[ion] or
attempt to violate the Rules of Professional Conduct [;] . . . [an] engage[ment] in conduct involving
dishonesty, fraud, deceit or misrepresentation; . . . [an] engage[ment] in conduct that is prejudicial
to the administration of justice[.]” Relevant here is Rule 8.2(a), which mandates: “A lawyer shall
not make a statement that the lawyer knows to be false or with reckless disregard as to its truth or
falsity concerning the qualifications or integrity of a judge, adjudicatory officer or public legal
officer, or of a candidate for election or appointment to judicial or legal office.”
During Schiermeier’s briefing and oral argument to this Court, Mr. Green, pro hac vice
counsel for Schiermeier, made repeated ad hominem attacks on the district court judge who
presided over Schiermeier’s case, suggesting that Schiermeier had not and would not receive a fair
hearing in the district court and that the district court judge was not intelligent enough to
understand the arguments made at trial. He also made disparaging comments toward the State’s
attorneys and the Deputy SAPD regarding their handling of his case. To suggest that a judge would
be partial or that counsel would intentionally misrepresent the facts of the case or fail to represent
a client to the best of his or her ability, without any basis for such allegations, is, at best, reckless
and potentially defamatory. It is certainly not the type of behavior expected of attorneys admitted
to practice law in Idaho.
As we have previously held, attorneys do not lose all First Amendment protections once
admitted to the Idaho State Bar. See, e.g., Idaho State Bar v. Topp, 129 Idaho 414, 416, 925 P.2d
1113, 1115 (1996). However, such an attorney “must temper his criticisms in accordance with
professional standards of conduct.” U.S. Dist. Ct. v. Sandlin, 12 F.3d 861, 866 (9th Cir. 1993). Our
professional standards of conduct are designed “[t]o maintain the fair and independent
administration of justice,” and therefore, we do not condone behavior that undermines this effort.
I.R.P.C. 8.2(a) cmt. 3. Likewise, if an Idaho attorney agrees to act as local counsel for an out-of-
state attorney, any submission by that out-of-state counsel must be reviewed by local counsel to
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ensure that that submission comports with Idaho’s Rules of Professional Conduct. To do less
would be a dereliction of local counsel’s responsibility. Signing a document, even as local counsel,
“constitutes a certificate that the attorney . . . has read the . . . brief or other document; that to the
best of the signer’s knowledge, information, and belief after reasonable inquiry it is well grounded
in fact and is warranted by existing law or a good faith argument for the extension, modification,
or reversal of existing law, and that it is not interposed for any improper purpose, such as to harass
or to cause unnecessary delay or needless increase in the cost of litigation.” I.A.R. 11.2(a).
In this decision today, we reiterate that pro hac vice counsel’s ad hominem comments
before this Court were uncalled for and inappropriate. We therefore take the unusual step of
publicly issuing a written warning to Messrs. Green and Ritzau that this type of conduct cannot go
without comment. We have been generally relaxed about enforcing the appearance requirement
for local attorneys when an out-of-state attorney has been admitted pro hac vice. However, the
purpose of requiring local counsel to be present is to ensure that all attorneys appearing before
Idaho courts adhere to the Idaho State Bar’s ethical rules pertaining to professional conduct. Going
forward, we expect and require both local and pro hac vice counsel to be familiar and compliant
with our rules and expectations.
IV. CONCLUSION
In summary, we hold that Schiermeier’s Deputy SAPD was not ineffective for failing to
raise the theories on direct appeal now advanced by Schiermeier and that the district court retained
subject matter jurisdiction throughout the course of these proceedings. Accordingly, we affirm the
district court’s summary disposition of Schiermeier’s petition for post-conviction relief.
Chief Justice BEVAN, Justices MOELLER, ZAHN, and WILDMAN, J. Pro Tem,
CONCUR.
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