NOTICE: This opinion is subject to modification resulting from motions for reconsideration under Supreme Court
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official text of the opinion.
In the Supreme Court of Georgia
Decided: March 7, 2023
S22A1116. MONROE v. THE STATE.
COLVIN, Justice.
Steven Monroe appeals his convictions for malice murder and
related offenses arising out of the 2014 shooting death of Clayton
Cross and aggravated assaults of Kenneth Minson (“Kenneth”),
Darius Minson (“Darius”), Willie Calhoun, Muhammad Clark,
Dominique Ellis, and Craig Harris. 1 On appeal, Monroe claims that
1On September 21, 2015, a Clinch County grand jury jointly charged
Monroe, Trevor Posley, and Dexter Freeney on a 48-count indictment for
crimes committed against Cross, Kenneth, Darius, Calhoun, Clark, Ellis, and
Harris. Specifically, the jury charged the defendants with the malice murder
of Cross (Count 1); the felony murder of Cross predicated on aggravated assault
(Count 2); the aggravated assaults of Cross, Kenneth, Darius, Calhoun, Clark,
Ellis, and Harris (Counts 4, 10, 12, 14, 16, 18, and 20); possessing a firearm
during the commission of a felony (Counts 3, 5, 11, 13, 15, 17, 19, and 21); and
violating the Georgia Gang Act (Counts 6 through 9, and 22 through 42).
Posley was indicted on an additional two counts of violating the Georgia Gang
Act (Counts 43 and 44), and Monroe was indicted on an additional three Gang
Act violations (Counts 46 through 48) and for possessing a firearm as a
convicted felon (Count 45).
Freeney pled guilty prior to trial and testified as a witness for the State.
the evidence was insufficient to support his convictions for violating
Georgia’s Gang Act and his convictions on all counts related to
Clark. Monroe further alleges that the trial court abused its
discretion by denying his motion for mistrial based upon alleged
juror misconduct, erred by failing to charge the jury on self-defense,
improperly admitted opinion evidence at trial, and erred during
sentencing. Finally, Monroe alleges that he received ineffective
assistance of counsel. For the reasons that follow, we affirm
Monroe’s convictions. However, because the trial court committed
Monroe and Posley were jointly tried from June 13 through 16, 2016. The jury
acquitted Posley on all counts and acquitted Monroe on four of the Gang Act
charges (Counts 36, 37, 40, and 41). Monroe was found guilty of all remaining
counts. He was sentenced to life in prison for malice murder (Count 1), five
years in prison consecutive for possession of a firearm during the commission
of a crime (Count 3), ten years in prison concurrent for each violation of the
Georgia Gang Act (Counts 6, 7, 22 through 35, 38, 39, 42, and 46 through 48),
twenty years in prison consecutive for each count of aggravated assault
(Counts 10, 12, 14, 16, 18, and 20), ten years in prison consecutive for each
count of possession of a firearm during the commission of a crime (Counts 11,
13, 15, 17, 19, and 21), and five years in prison consecutive for possession of a
firearm by a convicted felon (Count 45). Counts 2, 4, 5, 8, and 9 were merged
or vacated by operation of law. In total, Monroe received a sentence of life plus
190 years in confinement. Monroe timely filed a motion for new trial on June
21, 2016, which was amended through new counsel on January 24, 2022. The
trial court denied the motion as amended on March 28, 2022. The case was
docketed to this Court’s August 2022 term and submitted for a decision on the
briefs.
2
sentencing errors, we vacate the sentences for Counts 11, 13, 15, 17,
19, 21, 47, and 48, and remand this case to the trial court with
direction to correct the sentencing errors.
1. Monroe contends that the trial court erred by failing to
grant his motion for a directed verdict on all Georgia Gang Act
charges (Counts 6, 7, 22 through 35, 38, 39, 42, and 46 through 48)
because the evidence failed to show that the commission of the
crimes furthered the interests of the gang. In order to show a
violation of the Georgia Gang Act, the State must establish:
(1) the existence of a “criminal street gang,” defined in
OCGA § 16-15-3 (2) as “any organization, association, or
group of three or more persons associated in fact, whether
formal or informal, which engages in criminal gang
activity”; (2) the defendant’s “association with the gang”;
(3) that the defendant “committed one of the offenses
identified in OCGA § 16-15-3 (1)”; and (4) “that the crime
was intended to further the interests of the gang.”
Boyd v. State, 306 Ga. 204, 209 (1) (a) (830 SE2d 160) (2019)
(citations omitted). As to the fourth prong, “[t]his element requires
some nexus between the act and the intent to further street gang
activity.” Butler v. State, 310 Ga. 892, 896-897 (1) (b) (855 SE2d 551)
3
(2021) (citation omitted).
“The standard of review for the denial of a motion for a directed
verdict of acquittal is the same as for determining the sufficiency of
the evidence to support a conviction.” Smith v. State, 304 Ga. 752,
754 (822 SE2d 220) (2018) (citation and punctuation omitted).
“Under this review, we must put aside any questions about
conflicting evidence, the credibility of witnesses, or the weight of the
evidence, leaving the resolution of such things to the discretion of
the trier of fact.” Frazier v. State, 308 Ga. 450, 452-453 (2) (a) (841
SE2d 692) (2020) (citation and punctuation omitted). When
evaluating the sufficiency of the evidence as a matter of
constitutional due process, we must determine whether, viewing the
evidence in the light most favorable to the verdict, “any rational trier
of fact could have found the essential elements of the crime beyond
a reasonable doubt.” Jackson v. Virginia, 443 U. S. 307, 319 (III) (B)
(99 SCt 2781, 61 LE2d 560) (1979) (emphasis omitted).
Viewed in this light, we cannot say that the trial court erred in
denying Monroe’s motion for a directed verdict. The evidence
4
presented at trial showed that, at all relevant times, Monroe was in
a leadership position of the “Hoover” gang, a subset of the Crips, a
criminal street gang based in Homerville, Georgia. Monroe’s co-
defendants, Dexter Freeney and Trevor Posley were also members
of the Crips, but they were in different subsets of the Crips.
On May 8, 2014, Monroe was driving in a car with his father,
Otis, when Monroe rear-ended another car in which Kenneth, a
member of the Bloods criminal street gang, was a passenger.
Freeney, who was near the accident scene, saw Monroe approach the
driver of the other car with his insurance card. As the two
interacted, Kenneth was standing nearby holding a gun behind his
leg. Monroe later told Freeney that he felt disrespected by Kenneth
and that he “wanted [Kenneth] dead for having the gun.” Freeney
testified that a car wreck between members of the Bloods and the
Crips would be “the beginning of World War II.”
On May 10, 2014, Freeney was outside the 912 Club with
Monroe, Posley, and fellow Crips member Donterris Brand. Monroe
asked Freeney to see if Kenneth was inside the club. Freeney
5
testified that fellow Crips members sometimes expect favors of one
another. He believed that Monroe would not have asked him to
check in the club for Kenneth’s presence had Freeney not also been
a Crip. Freeney entered the club and saw Kenneth standing at a
gambling table. Freeney returned outside to report his findings to
Monroe, and the men then went back inside the club.
Monroe approached Kenneth and asked, “Is you good?”
Kenneth answered, “Yeah, I’m good,” and then Monroe suggested
that the two go outside so they could talk. Kenneth testified that he
felt cautious as he followed Monroe, thinking that something might
happen because he “had already got word that something might go
on . . . [and] to be careful.” Monroe stated that he wanted to “clear
the air” concerning the car accident earlier in the week and, Kenneth
testified, Monroe continued to talk about the wreck in order to
distract Kenneth. During their brief conversation, Posley
approached from around the corner with his hand under his shirt.
Posley and Monroe both brandished guns and started shooting.
Kenneth testified that, as he ran away from the gunshots, he
6
removed a gun from his pocket and returned fire. Kenneth ran back
into the club where he was met with more gunfire from Freeney.
Darius, Calhoun, Clark, Ellis, Harris, and Cross were playing
cards at a table near the back door of the club when the shooting
started. Darius, Calhoun, Ellis, and Harris, in addition to other
witnesses, testified that, as soon as they heard shots, the crowd
inside the club became chaotic, “like roaches scatter when you spray
Raid.” Everyone inside the club tried to run and hide from the
gunfire. Freeney testified that he saw Monroe’s arm, which he
identified by a distinctive gang tattoo, shooting a black .38 Special
revolver into the club through the back door. Other witnesses
testified that they saw Monroe with a gun that night and they saw
him shooting into the club from the back door. After the shooting
stopped, Kenneth found Cross lying in a pool of blood on the floor.
He had suffered a single gunshot wound to the head.
Monroe fled the scene immediately after the shooting. Freeney
fled the scene in a car with Posley, Posley’s brother, and Donterris
Brand. The group drove to Freeney’s cousin’s house where they
7
locked Freeney’s Colt .357 and Posley’s .40-caliber gun in a gun safe.
Posley told Freeney not to say anything about what happened at the
club. After the shooting, Posley talked about how “snitches” need to
die, and Monroe threatened Freeney multiple times not to testify.
Kenneth left the scene and threw his gun, a Lorcin .380 semi-
automatic pistol, into a pond. His gun was later recovered and sent
to the GBI for testing.
During their investigation into the shooting, law enforcement
officers collected numerous bullets and shell casings at the scene.
They also located several bullet defects on the rear exterior portion
of the building and on the back porch, indicating that several of the
shots fired originated from outside of the club. During Cross’s
autopsy, the medical examiner retrieved one .38-caliber bullet from
Cross’s skull.
A GBI firearms expert testified that she received “a number of
different . . . cartridge cases,” “.380 metal jacketed bullets and a .380
metal jacket,” and “seven .38 lead round bullets,” including the one
from Cross’s autopsy, to examine. The firearms examiner opined
8
that the .380 bullets and metal jacket were fired from Kenneth’s
gun. She further concluded that the bullet that killed Cross was not
fired from Kenneth’s weapon. She opined that three of the .38-
caliber bullets that had been located inside the club, and the .38-
caliber bullet that had killed Cross, “were consistent with being fired
from the same types of firearms, that being Astra and Rossi .357
Magnum revolvers and .38 Special revolvers, and also Taurus, Iver
Johnson and Charter Arms .38 Special revolvers.” She further
opined that three of the .38-caliber bullets recovered from inside the
club were consistent with being fired from a different weapon, either
a Colt .357 Magnum or .38 Special revolver.
Monroe contends that, though the evidence showed that the
defendants were gang members, the State failed to prove that the
shootings were committed with an intent to further the interests of
the gang. Specifically, Monroe argues that the evidence failed to
establish that he and his co-defendants planned to commit the
shootings and that the incident was related to their gang. However,
as discussed above, the evidence presented at trial showed that
9
Monroe, a high-ranking member of the Crips, sought to avenge the
perceived disrespectful behavior of Kenneth, a rival Bloods gang
member, after the two were in a car accident. Monroe enlisted
Freeney and Polsey, fellow Crips, to help execute that plan and
directed his co-defendants on what actions to take. See Rodriguez
v. State, 284 Ga. 803, 807 (1) (671 SE2d 497) (2009) (“Management
of or participation with others in that criminal street gang activity
necessarily implies knowledge of the gang’s criminal activities and
a specific intent to further its criminal purposes.”). After the
shooting, the group took steps to conceal their weapons, and Monroe
threatened others not to talk to the police or testify against him a
trial. See Butler, 310 Ga. at 897 (1) (b) (“[D]iscussions between
fellow gang members after the charged crimes, which may include
attempts to avoid getting caught, may offer further evidence of a
nexus between the crimes and the gang’s interests.”). Because the
evidence was sufficient to establish a nexus between the charged
crimes and an intent to further the gang’s interests, the trial court
did not err in denying Monroe’s motion for a directed verdict on the
10
Gang Act counts.
Monroe further contends that the trial court erred “in not
directing a verdict” and in entering convictions and sentences for the
counts related to the aggravated assault and weapon charge
concerning Clark 2 because Clark did not testify at trial and,
therefore, there was insufficient evidence to support these
convictions. We disagree. “The testimony of a single witness is
generally sufficient to establish a fact.” OCGA § 24-14-8. Here,
numerous witnesses testified at trial that Clark was inside the club
playing cards when the shooting occurred. Witnesses also testified
that everyone inside the club, including Clark, ran and hid as soon
as the shooting started. This evidence was sufficient to establish
that Clark was placed in reasonable apprehension of immediately
receiving a violent injury, and thus supported the aggravated
assault and firearm charges. See OCGA § 16-5-20 (a) (2) (defining
2 In addition to the two Gang Act charges naming Clark as a victim
(Counts 28 and 29), the indictment charged Monroe for the aggravated assault
of Clark (Count 16) and for possessing a firearm during the commission of the
aggravated assault of Clark (Count 17).
11
simple assault); OCGA § 16-5-21 (a) (2) (defining aggravated
assault); Howard v. State, 288 Ga. 741, 742 (1) (707 SE2d 80) (2011)
(“Testimony that the victims ran from the gunfire is sufficient
evidence that Appellants placed them in reasonable apprehension of
immediately receiving a violent injury.”).
2. Next, Monroe contends that the trial court abused its
discretion when it denied his motion for a mistrial based upon
alleged juror misconduct. The record shows that, prior to the
beginning of deliberations, the trial court instructed the jury that,
among other things, they were not allowed to use an electronic
device during deliberations to communicate with anyone, and they
were not allowed to go onto any social media websites “to
communicate with anyone any information about this case, or to
conduct any research about this case until [the court] accept[s the]
verdict.”
The jury started deliberating at 9:00 a.m., on June 16. They
broke for lunch at approximately 12:15 p.m. and, upon their return
an hour later, B.T., a juror, reported an incident to the trial court.
12
The trial court questioned B.T. as follows:
COURT: At [lunch] you had come back and
indicated that somebody had made
contact with your wife; is that right?
B.T.: Right.
COURT: Would you please – let me get this where
everybody can hear you. Would you please
state what you indicated or what you
understand that occurred?
B.T.: Some black guy came in my wife’s store
and said there was going to be trouble
here today.
COURT: And where was this store?
B.T.: Behind the Subway.
COURT: Do you have any idea whether the fellow
that came in knew that the lady there was
your wife or not?
B.T.: No, sir.
COURT: He just came in and made a statement?
B.T.: Yes, sir.
COURT: And did your wife tell you that?
B.T.: Yes, sir.
COURT: Did she call you and talk to you? How did
y’all communicate?
B.T.: I go over there for lunch.
COURT: Okay. And she told you that a black fellow
came in and said what? After the case
there’s going to be trouble, or what
actually you understand was said?
B.T.: What I understood, it was when the
verdict was read, that’s when the trouble
is.
COURT: Okay. Have you given this information to
any other jurors?
13
B.T.: [shakes head negatively].
COURT: Did any other jurors hear the statement?
Has anybody heard anything about that
statement that your wife made to you?
B.T.: I don’t think so, sir.
COURT: You didn’t tell anybody?
B.T.: No.
COURT: Okay. Has this statement scared you or
got you concerned?
B.T.: A little bit.
COURT: Okay. Do you feel like you are no longer
able to serve as a juror or can you continue
serving as a juror? What’s your –
B.T.: I’d like to continue on.
Thereafter, the trial court individually polled the jury regarding
what jurors might have heard and what, if any, effect that might
have had on their ability to be impartial.
Juror P.H. stated that B.T. walked up to her and another juror
and stated that “his wife came up to him and said somebody come
into the store and said that they was going to get somebody.” She
indicated that the comment by B.T. did not in any way affect her
ability to be a fair and impartial juror in the case.
Juror B.H. stated that she heard bits of a statement made by
B.T. She explained “[a]ll I heard was that his wife was upset
14
because somebody come in the store and said that Freeney got beat
up.” She confirmed that P.H. was with her when B.T. made that
statement. She also affirmed that the statements would not affect
her ability to be a fair and impartial juror in the case.
Juror L.N. stated that, when the jurors came back from lunch,
B.T. “said that he felt like he should tell us what he had heard while
he was at lunch.” L.N. stated, “I told him I was not interested in
hearing any information. I told him to speak to the sheriff or Deputy
Sheriff Raymond Peterson. One of the ladies while we were in the
bathroom was discussing that she had heard there was going to be
trouble when this was over with.” L.N. confirmed that this female
juror had already been questioned by the court regarding this issue.
L.N. also confirmed that nothing she heard would impair her ability
to sit as a fair and impartial juror in the case.
Juror K.P. testified that she heard B.T. “talking about
something they had heard from the outside,” but she “didn’t hear
exactly” what he had said. She testified that she “walked off and
told [L.N.] to let’s hurry and get on inside,” and that the “only thing
15
I did hear was about the Defendant that had already been sent to
jail.” 3 She affirmed that nothing she heard would impair her ability
to sit as a fair and impartial juror.
Juror J.S. stated that he did not hear anything about the case
from anyone or any other juror, but he admitted that he saw a post
on Facebook that “if we didn’t plead both of them guilty, one of them
was going to die on the stand.” When questioned he stated that he
did not mention what he saw on Facebook to anyone else on the jury.
Juror T.J. indicated that he had heard from his wife that
someone had posted something about the case on Facebook.
Specifically, he heard that “if somebody got away, they was going to
kill them.” He testified that the post did not indicate who would be
killed or who had made the post. T.J. stated that this information
would not prevent him from being a fair and impartial juror on the
case.
Juror K.G. stated “the only thing I’ve heard is when I went to
lunch I heard that people were putting stuff up on Facebook.” K.G.
3 It appears that K.P. was referring to Freeney.
16
testified that he had not seen any of the postings, and further
affirmed that he did not hear anything during the lunch hour that
would have affected his ability to be fair and impartial.
Jurors T.S., R.M. L.G., and D.R., and alternate jurors C.G, J.S.,
and W.D. had not heard anything related to the case during lunch.
After the jury was polled, the following occurred:
COURT: All right. I’m going to remove [J.S.] who
went on Facebook in violation of Court
order. And I’ll – well, I’ll proceed on that
issue later. I’m going to replace him with
the first alternate, [C.G.]. Now, any
objections from anyone?
POSLEY: None from Posley.
STATE: Not from the State, Your Honor.
MONROE: I don’t have any objections to [J.S.] being
removed, but I’d also ask that [B.T., K.G.,
P.H., T.J., and B.H.] be removed. [B.T.],
his wife has been threatened, and I really
don’t think that he can be an impartial
juror, no matter what he says. And he got
up here on the stand and lied to say that
he didn’t talk to – talk to anybody else
about this, and then we had [P.H. and
B.H.] come in and say that he had spoke
[sic] with them about it. And [L.N.] said
he attempted to speak with her, and
[K.P.], and they walked away. [B.H.],
okay, stated that she heard that Freeney
was beaten up, so while she states that
17
she can’t be – I mean, that she can be an
impartial witness, I don’t – I mean, juror,
I don’t know about that. And [T.J.]
speaking with his wife about what was on
Facebook, about somebody not making it
out of here. I don’t think any of those six
jurors should remain on the jury, and
with us only having three alternates, I
would move for a mistrial.
POSLEY: Posley joins in that motion. Especially
[B.T.] because I think he did not – was not
truthful with the Court.
COURT: All right.
POSLEY: And I think he’s really living in fear now,
afraid not to convict both of these
defendants.
COURT: All right. I’m going to deny your motion
for mistrial. I’m going to replace [B.T.]
with the next juror in line, [J.S.]. All
right.
The trial court then removed B.T. and J.S., replaced them with
alternates, and instructed the jury to start deliberations from the
beginning since two new jurors had been placed on the panel. The
jury resumed deliberating at 2:21 p.m. Five hours later, the jury
reached a verdict acquitting Posley of all charges and acquitting
Monroe of four charges but finding him guilty of all remaining
counts.
18
Monroe claims that the trial court abused its discretion by
failing to order a mistrial upon discovering that (1) B.T. had received
extra-judicial information that there would be “trouble” when the
court read the verdict and had shared that information with other
jurors, and (2) J.S. had received extra-judicial information that an
acquittal might result in one of the defendants being killed. We
disagree.
We review a trial court’s denial of a motion for mistrial for
abuse of discretion, “and the trial court’s exercise of [its] discretion
will not be disturbed on appeal unless a mistrial is essential to
preserve the defendant’s right to a fair trial.” Mitchell v. State, __
Ga. __, __ (2) (__ SE2d __) (2022) (citation and punctuation omitted).
“To set aside a jury verdict solely because of irregular jury conduct,
a court must conclude that the conduct was so prejudicial that the
verdict is inherently lacking in due process.” Harris v. State, 314 Ga.
51, 53 (2) (875 SE2d 649) (2022) (citation and punctuation omitted).
“Any juror [irregularity] that has the potential to injure a
defendant’s due process rights triggers [a] presumption of
19
prejudice,” and “the prosecution [must then carry] the burden of
establishing beyond a reasonable doubt that no harm occurred.” Id.
at 53-54 (2) (citations and punctuation omitted). It is well settled
that
the type of irregularity that gives rise to such a
presumption of prejudice involves juror misconduct that
has the potential to injure a defendant’s due process
rights, e.g., making an unauthorized visit to the crime
scene and then presenting the findings to the jury panel;
privately discussing the defendant’s guilt prior to
deliberations in violation of the court’s instructions; or
improperly accessing outside news sources.
Dixon v. State, 302 Ga. 691, 695 (3) (a) (808 SE2d 696) (2017)
(citation omitted). “To establish that the juror [irregularity] was
harmless beyond a reasonable doubt, the State must show based on
the record evidence that there is no reasonable possibility that the
juror [irregularity] contributed to the conviction.” Id. at 54 (2)
(citation and punctuation omitted).
Here, because the State showed that the irregularities were
harmless beyond a reasonable doubt, the trial court did not abuse
its discretion by denying Monroe’s motion for a mistrial based upon
20
alleged juror misconduct. Although J.S. improperly accessed social
media in violation of the trial court’s instruction, the record
authorized the trial court to conclude that he did not share what he
found with other jurors. Further, the court removed any potential
for harm by dismissing him from the jury once it discovered that he
had disregarded the court’s instructions not to access social media.
Accordingly, the trial court was authorized to conclude that J.S.’s
misconduct was harmless beyond a reasonable doubt. See Dixon,
302 Ga. at 695 (juror irregularity harmless beyond a reasonable
doubt where there was no evidence juror shared any impermissible
information with other jurors and where juror was dismissed after
her actions came to light).
Turning to B.T., the record shows that he obtained information
about the case from his wife and shared that information with other
members of the jury. Assuming for the sake of argument that this
is the type of conduct that would trigger a presumption of prejudice,
see Dixon, 302 Ga. at 695, the trial court was authorized to find that
the juror’s actions did not impact any other juror’s assessment of the
21
charges against Monroe. The information obtained and shared by
B.T. – that there would be “trouble” when the court read the verdict
– did not indicate that any particular verdict (guilty or not guilty)
would trigger “trouble,” nor did it indicate what kind of “trouble”
might occur or who might be harmed. Moreover, the other jurors
who talked to B.T. (P.H. and B.H.) stated that the information they
heard would not affect their ability to remain fair and impartial, 4
and the record supports the conclusion that the information in fact
did not cause the jury to return any particular verdict. 5
Because “no evidence was presented that the juror’s conduct
4 K.P. testified she did not hear what B.T. said, and L.N. testified that
she refused to listen to B.T. and told him to report any information to the
sheriff. L.N. did overhear a conversation between P.H. and B.H., but she
testified that nothing she heard affected her ability to remain fair and
impartial.
5 Although T.J. received more specific information about the potential
consequences of an acquittal – that “if somebody got away, [someone] was going
to kill them” – the trial court was authorized to find that he did not share that
information with any other juror and to determine that the information did not
ultimately impact the verdict. See Burney v. State, 309 Ga. 273, 294 (5) (845
SE2d 625) (2020). Thus, “no evidence was presented that the juror’s conduct
contributed to the conviction such that the verdict is inherently lacking in due
process.” Hodges v. State, 302 Ga. 564, 569 (4) (807 SE2d 856) (2017) (citations
omitted).
22
contributed to the conviction such that the verdict is inherently
lacking in due process,” Hodges v. State, 302 Ga. 564, 569 (4) (807
SE2d 856) (2017) (citations omitted), the trial court was authorized
to conclude that the State had carried its burden in establishing
beyond a reasonable doubt that B.T.’s alleged misconduct was
harmless. Consequently, the trial court did not abuse its discretion
by denying Monroe’s motion for a mistrial based upon alleged juror
misconduct. 6
3. Monroe claims that the trial court erred by failing to
instruct the jury on self-defense. Monroe, however, did not request
a jury charge on self-defense. Because he raises this issue for the
first time on appeal, this claim can be reviewed only for plain error.
See Williams v. State, 302 Ga. 147, 151-152 (2) (805 SE2d 873)
(2017); Shaw v. State, 292 Ga. 871, 872-873 (2) (742 SE2d 707)
6 To the extent that Monroe alleges that the trial court clearly erred by
finding that K.G. did not violate the trial court’s “no social media” instruction,
we disagree. The record shows that K.G. did not access social media,
explaining only that he heard during lunch “that people were putting stuff up
on Facebook.” K.G. testified that he had not seen any of the postings or heard
anything during the lunch hour that would have affected his ability to be fair
and impartial. Based on the foregoing, we cannot say that that the trial court
clearly erred by finding no misconduct on behalf of K.G.
23
(2013) (jury charge reviewed for plain error where appellant “neither
requested a charge on the duty to retreat nor objected when the trial
court failed to give such a charge”). In reviewing a failure to charge
for plain error, “we will reverse the trial court only if the
instructional error was not affirmatively waived, was obvious
beyond reasonable dispute, likely affected the outcome of the
proceedings, and seriously affected the fairness, integrity, or public
reputation of judicial proceedings.” Herrington v. State, 300 Ga. 149,
151 (2) (794 SE2d 145) (2016) (citation and punctuation omitted).
At trial, Monroe elicited the following testimony from Freeney
on cross-examination: that, on one occasion, Monroe told Freeney
that Kenneth had shot first and Monroe had only returned fire in
self-defense; and that Posley had also told Freeney that Kenneth
pulled a gun and shot at Monroe first, and Monroe had merely
returned fire. Based upon Freeney’s testimony, we agree with
Monroe that there was slight evidence to support a self-defense
charge. See Leeks v. State, 303 Ga. 104, 107 (2) (810 SE2d 536)
(2018) (“A trial court is authorized to give a requested jury
24
instruction if there was produced at trial slight evidence supporting
the theory of the jury charge.” (citation omitted)). Moreover, there
is nothing in the record showing that Monroe affirmatively waived
the challenged charge. However, given the strength of the evidence
of Monroe’s guilt as discussed in Division 1, we cannot say that
Monroe has made an affirmative showing that the trial court’s
failure to give the charge likely affected the outcome of his trial.
Accordingly, there is no plain error. See Munn v. State, 313 Ga. 716,
723 (3) (873 SE2d 166) (2022) (even assuming that there was slight
evidence to support a jury charge on self-defense, there was no plain
error where the evidence supporting the charge was self-serving and
weak compared to the overwhelming evidence of defendant’s guilt);
Jones v. State, 310 Ga. 886, 889 (2) (855 SE2d 573) (2021) (harmless
error to fail to charge jury on defense of self or third person because
“to the extent there was any evidence supporting a charge on defense
of self or a third person, it was meager at best”).
4. Monroe alleges that the trial court erred by admitting the
improper lay opinion testimony of Special Agent Klay Luke at trial.
25
During the direct examination of Agent Luke, the State asked him
to describe his role as the lead investigator, which included
questions concerning witness interviews and evidence collection. At
one point, the following exchange occurred:
STATE: …Is it safe to say there was over a
hundred and fifty exhibit numbers
indicating that’s a hundred and fifty
different people you interviewed, pieces of
evidence you touched or some kind of
documentation that you conducted --
documentation investigation you
conducted regarding this case?
LUKE: That is correct.
STATE: Regarding the murder of Clay Cross?
LUKE: That is correct.
STATE: All right. There are several people that
you interviewed that did not agree to
come testify; is that correct?
LUKE: That is correct.
STATE: During your interview process, did
everyone cooperate fully?
LUKE: No, they did not.
STATE: And what did you surmise from that lack
of cooperation as the case agent, as the
investigator of this murder of Clay Cross?
LUKE: They’re in fear.
Co-defendant Posley objected to the agent’s testimony, and Monroe
joined the objection. The prosecutor responded, “[T]his is the case
26
agent. It’s his investigation and he had to draw conclusions from his
investigation and that’s what I’m asking him.” The trial court
overruled the objection, stating that the agent was allowed to “give
his opinion based on his investigation and his discussions with these
people.” Thereafter, the prosecutor moved onto another topic.
Monroe alleges that the trial court erred by allowing Agent
Luke to give opinion testimony because it did not meet the
requirements of OCGA § 24-7-701 (a)7 of the Evidence Code.
Assuming without deciding that the admission of this evidence was
erroneous, any error was harmless. “In determining whether [an
evidentiary] error was harmless, we review the record de novo and
weigh the evidence as we would expect reasonable jurors to have
done so.” Timmons v. State, 302 Ga. 464, 470 (2) (b) (807 SE2d 363)
(2017) (citation and punctuation omitted). “The test for determining
7 OCGA § 24-7-701 (a) states that lay witness opinion testimony
shall be limited to those opinions or inferences which are:
(1) Rationally based on the perception of the witness;
(2) Helpful to a clear understanding of the witness's testimony or
the determination of a fact in issue; and
(3) Not based on scientific, technical, or other specialized
knowledge within the scope of Code Section 24-7-702.
27
nonconstitutional harmless error is whether it is highly probable
that the error did not contribute to the verdict.” Id. (citation
omitted).
Here, the jury had already heard testimony that Posley and
Monroe had threatened witnesses not to talk to or cooperate with
law enforcement officers. Further, the evidence against Monroe was
strong, and the exchange between Agent Luke and the prosecutor
was brief. Based on the foregoing, it is highly probable that any
error did not contribute to the verdict. See Tuggle v. State, 305 Ga.
624, 627 (2) (825 SE2d 221) (2019) (any error in the admission of
evidence was harmless where testimony was cumulative of other
evidence already admitted and where there was strong evidence of
guilt); Soto v. State, 303 Ga. 517, 524 (3) (813 SE2d 343) (2018)
(holding that any error in admitting evidence was harmless where
the evidence against the defendant was strong, and the reference to
the evidence was brief).
5. Monroe alleges that the trial court erred when it sent the
autopsy report back with the jury in violation of the so-called
28
“continuing witness rule.”8 Monroe contends that allowing the
autopsy report in the jury room during deliberations placed an
undue emphasis on the report over the oral testimony of the medical
examiner from the witness stand. However, this issue is not
preserved for appellate review.
During the State’s case-in-chief, the State called the medical
examiner, Dr. Maryanne Gaffney-Kraft, to testify regarding her
findings from Cross’s autopsy. When the State tendered the autopsy
report into evidence, Posley lodged an objection under the
continuing witness rule and argued that it not be allowed to go back
8 As we have previously explained:
In Georgia, the continuing witness objection is based on the notion
that written testimony is heard by the jury when read from the
witness stand just as oral testimony is heard when given from the
witness stand. But, it is unfair and places undue emphasis on
written testimony for the writing to go out with the jury to be read
again during deliberations, while oral testimony is received but
once. The types of documents that have been held subject to the
rule include affidavits, depositions, written confessions,
statements, and dying declarations.
Rainwater v. State, 300 Ga. 800, 803 (2) (797 SE2d 889) (2017) (citation
omitted).
29
with the jury. Monroe joined the objection. The State responded,
“[I]t is the actual findings of the autopsy, and we are submitting it
as such for the jury’s review.” The trial court “note[d] the objection”
and admitted the report into evidence. The record shows no
additional discussion, objection, or ruling by the trial court on this
issue, and the record does not reflect whether the autopsy report
went out with the jury during deliberations. Because there is
nothing in the record indicating that the autopsy report was given
to the jury during deliberations, this claim fails. See McFarlane v.
McFarlane, 298 Ga. 361, 362 (4) (782 SE2d 29) (2016) (explaining
that the burden is on the appellant to show error affirmatively by
the record). See also Parrott v. State, 330 Ga. App. 801, 803 (1) (769
SE2d 549) (2015) (“It is well settled that the burden is on the
appellant ‘who asserts error to show it affirmatively by the record.’”
(citing Griffin v. State, 265 Ga. 552, 555 (10) (458 SE2d 813) (1995),
and quoting Roach v. State, 221 Ga. 783, 786 (4) (147 SE2d 299)
(1966))); Smart v. State, 253 Ga. App. 649, 653 (5) (560 SE2d 92)
(2002) (“The burden is on appellant to show error affirmatively from
30
the record, and we will not presume error where the record is
silent.”).9
6. Next, Monroe alleges that he received ineffective
assistance of counsel when trial counsel failed to: (a) request a jury
charge on self-defense, (b) conduct a pre-trial investigation into the
criminal histories of all of the State’s witnesses and discover any
deals that Kenneth and Freeney may have obtained in exchange for
their testimony, and (c) properly impeach Kenneth and Freeney
with their prior criminal histories and potential deals in exchange
for their testimony.
In order to establish constitutionally ineffective assistance, a
defendant must show that his counsel’s performance was
professionally deficient and that, but for such deficient performance,
9 Monroe also argues that the trial court failed to adequately advise him
of his appellate and habeas rights and asks this Court to remand his case to
the trial court so it can “appropriate[ly] advis[e]” Monroe of his post-conviction
rights. However, the record shows that, at the conclusion of Monroe’s
sentencing hearing, the trial court advised Monroe that he had the right to file
for habeas corpus relief and that he had the right to appeal this case to the
Supreme Court or Court of Appeals within 30 days from that date. The trial
court also advised Monroe that if he had any questions regarding these rights
that he could ask his attorney. Thereafter, Monroe timely exercised his right
to a direct appeal.
31
there is a reasonable probability that the result of the trial would
have been different. See Strickland v. Washington, 466 U. S. 668
(III) (104 SCt 2052, 80 LE2d 674) (1984). If the defendant fails to
satisfy either prong of the Strickland test, this Court is not required
to examine the other. See Green v. State, 291 Ga. 579, 580 (2) (731
SE2d 359) (2012).
“A court considering a claim of ineffective assistance must
apply a ‘strong presumption’ that counsel’s representation was
within the ‘wide range’ of reasonable professional assistance.”
Harrington v. Richter, 562 U.S. 86, 104 (IV) (131 SCt 770, 178 LE2d
624) (2011) (citation omitted). “The proper measure of attorney
performance remains simply reasonableness under prevailing
professional norms.” Strickland, 466 U.S. at 688 (III).
“In reviewing the trial court’s decision, we accept the trial
court’s factual findings and credibility determinations unless clearly
erroneous, but we independently apply the legal principles to the
facts.” Wright v. State, 291 Ga. 869, 870 (2) (734 SE2d 876) (2012)
(citation and punctuation omitted). With these principles in mind,
32
we review Monroe’s claims of ineffective assistance.
(a) Jury Charge
Monroe alleges that trial counsel was ineffective for failing to
request a jury charge on self-defense where there was slight
evidence to support such a charge. However, for the reasons
discussed in Division 3, supra, Monroe cannot show prejudice under
Strickland. See Jackson v. State, 306 Ga. 69, 84 (4) (b) (829 SE2d
142) (2019) (“This Court has equated the prejudice step of the plain
error standard with the prejudice prong for an ineffective assistance
of counsel claim.” (citation and punctuation omitted)). Accordingly,
this claim fails.
(b) Trial Preparation
Monroe claims that trial counsel was ineffective for failing to
fully investigate the prior criminal histories of all of the State’s
witnesses. At the motion for new trial hearing, trial counsel
explained that “there were more than one hundred witness names
given to me,” and she had no recollection “if we ran histories on them
or not.” However, counsel explained that she was familiar with
33
many of the State’s witnesses because her office had previously
represented them on their own criminal matters. Counsel also
testified that the District Attorney’s office had an open file policy
and that she personally copied the State’s file to make sure no
papers were missed.
Insofar as Monroe claims that counsel was deficient for failing
to investigate the criminal histories of Freeney and Brand, this
claim fails. Counsel testified that, prior to trial, she learned the
details of Freeney’s guilty plea agreement and sentence. Counsel
was also aware that, at the time of trial, Freeney and Brand both
had pending Gang Act charges. 10 Based on the foregoing, Monroe
has failed to “show that counsel’s representation fell below an
objective standard of reasonableness” regarding counsel’s
investigation into the criminal histories of Freeney and Brand.
Strickland, 466 U.S. at 688 (III) (A).
10 At the motion for new trial hearing, Monroe introduced the certified
copies of the convictions for Freeney and Brand on these charges. However, as
explained by trial counsel, those charges were in pending status at the time of
Monroe’s trial.
34
Monroe has also failed to show deficient performance for trial
counsel’s alleged failure to investigate the criminal histories of all of
the State’s witnesses. The record shows that the State called 22
witnesses during its case-in-chief. At the motion for new trial
hearing, Monroe introduced the convictions of two witnesses, Darryl
Thomas and Bobby Joe Clark. But Clark was not called as a witness
at trial, and therefore could not have been impeached with a prior
conviction. Thomas’s prior convictions were for misdemeanor
violations of Georgia’s alcohol sale and licensing statute, which
would not have been admissible as impeachment evidence. See
OCGA § 24-6-609 (a) (a witness may be impeached by a prior
conviction where crime was punishable by imprisonment “in excess
of one year” or where the elements of the crime “required proof or
admission of an act of dishonesty or making a false statement”).
Therefore, Monroe has failed to show how counsel was deficient for
allegedly failing to conduct this additional investigation.
As to the remainder of the State’s witnesses, Monroe did not
introduce any evidence to show what counsel might have uncovered
35
had she investigated their criminal histories further. Without that
evidence, his claim of deficient performance fails as to those
witnesses as well. See Martin v. State, 276 Ga. 121, 122 (2) (575
SE2d 498) (2003) (“Because the defendant has not presented any
evidence to support his allegation that trial counsel’s [actions] fell
below a reasonable standard of professional conduct, we conclude
that he has not met the standard for proving ineffective assistance
of trial counsel.”); Banta v. State, 282 Ga. 392, 399 (6) (e) (651 SE2d
21) (2007) (“Mere speculation will not support a claim of ineffective
assistance of counsel.”) Monroe further claims that trial counsel was
deficient in her pretrial investigation in that she failed to discover
any deal that Freeney and Kenneth were given in exchange for their
testimony. As discussed above, the record shows that counsel knew
of the deal Freeney was given prior to his testimony and that he was
thoroughly cross-examined on this topic. Accordingly, Monroe has
failed to show that counsel’s investigation was objectively
unreasonable and, therefore, has not established deficient
performance on this claim with respect to Freeney. See Martin, 276
36
Ga. at 122.
Regarding an alleged plea deal for Kenneth, the record shows
that, at trial, counsel questioned Kenneth regarding whether he had
received a deal in exchange for his testimony, to which Kenneth
replied “no.” At the motion for new trial hearing, in an attempt to
support his claim of ineffective assistance of counsel, Monroe
introduced evidence that the arrest warrants taken out against
Kenneth in this case were dismissed after the trial, with the
explanation that “the State determined he was actually a victim,
intended target rather than a suspect,” and that the “victim
cooperated at trial.” Another set of warrants for possession of
contraband of an inmate against Kenneth were also dismissed after
trial. However, this evidence did not establish that Kenneth had in
fact received a deal in exchange for his testimony, and Monroe did
not introduce any additional evidence to support his speculation to
that effect. Because “[m]ere speculation will not support a claim of
ineffective assistance of counsel,” Banta v. State, 282 Ga. 392, 399
(6) (e) (651 SE2d 21) (2007), Monroe has failed to establish deficient
37
performance on this claim. 11
(c) Impeachment of Witnesses
Monroe claims that trial counsel was ineffective for failing to
properly impeach Kenneth and Freeney with their prior criminal
histories and potential deals in exchange for their testimony.
Regarding Kenneth, Monroe has failed to put forward any evidence
that Kenneth had prior convictions that could be introduced at trial
and has also failed to introduce any evidence that he received a deal
in exchange for his testimony. Because Monroe has failed to support
this claim with any evidence, this claim of ineffective assistance of
counsel fails. See Martin, 276 Ga. at 122 (“Because the defendant
has not presented any evidence to support his allegation that trial
counsel’s [actions] fell below a reasonable standard of professional
conduct, we conclude that he has not met the standard for proving
11 Monroe also summarily argues that the prosecutor committed a
discovery violation in that he failed to inform Monroe prior to trial that the
State had dismissed charges against Kenneth in exchange for his testimony.
However, Monroe makes no further argument in support of this claim, and
cites no evidence in the record or case law in support of the same. Accordingly,
the argument is deemed abandoned. See Supreme Court Rule 22.
38
ineffective assistance of trial counsel.”).
Concerning Freeney, the record shows that both trial counsel
and counsel for Posley conducted lengthy and thorough cross-
examinations of Freeney regarding the plea deal he received in
exchange for his testimony, his gang affiliations, and his status as a
drug dealer. “The scope of cross-examination is grounded in trial
tactics and strategy, and will rarely constitute ineffective assistance
of counsel.” Brown v. State, 289 Ga. 259, 263 (4) (b) (710 SE2d 751)
(2011) (citation omitted). Monroe provides no argument as to how
additional cross-examination of Freeney would have benefitted the
defense, nor can we conclude from the record that counsel’s cross-
examination was deficient. Therefore, Monroe’s claim of deficient
performance concerning trial counsel’s impeachment of Freeney
fails. 12 See Brown, 289 Ga. at 263 (no deficient performance for
12 In our analysis we have assumed one deficiency by trial counsel with
respect to a claim of ineffective assistance and one trial court error with respect
to a jury instruction. Monroe has not sought a cumulative error analysis and,
therefore, has not made any specific argument concerning why the effects of
the assumed errors have a cumulative prejudicial effect on the outcome of his
trial. Nevertheless, we have conducted a cumulative error analysis under
39
counsel’s alleged failure to further cross-examine a witness where
the record shows that counsel conducted a thorough cross-
examination of that witness, and the defendant made no argument
as to how further cross-examination would have benefited the
defense).
7. Monroe raises two claims of trial court error concerning
the sentences imposed and the failure to merge certain charges with
others. We will address each in turn.
(a) Merger claims
Monroe alleges that the trial court erred when it failed to
merge the Gang Act charges listed in Counts 6, 7, 22 through 33, 46,
and 47 with the Gang Act charges listed in Counts 34, 35, 38, 39,
and 48 because the crimes in these counts alleged the same conduct,
included the same victims, and were proven by the same facts at
State v. Lane, 308 Ga. 10 (1) (838 SE2d 808) (2020), and “we discern no
apparent cumulative prejudice on this record.” Prickett v. State, 314 Ga. 435,
445 (3) n.8 (877 SE2d 573) (2022). See also Lane, 308 Ga. at 18 (“[A] defendant
who wishes to take advantage of the [cumulative error rule] should explain to
the reviewing court just how he was prejudiced by the cumulative effect of
multiple errors.”).
40
trial. Merger is a legal question that we review de novo. See Price
v. State, 313 Ga. 578, 581 (872 SE2d 275) (2022). For the reasons
discussed below, we conclude that, while the trial court erred in
sentencing Monroe on Counts 47 and 48 of his indictment, the trial
court properly sentenced Monroe on the rest of his Gang Act charges.
Here, Monroe challenges the sentences he received for crimes
committed pursuant to two subsections of the Gang Act: OCGA § 16-
15-4 subsections (a) and (b). OCGA § 16-15-4 (a) states that “[i]t
shall be unlawful for any person employed by or associated with a
criminal street gang to conduct or participate in criminal gang
activity through the commission of any offense enumerated in
paragraph (1) of Code Section 16-15-3.”13 Id. OCGA § 16-15-4 (b)
makes it illegal “for any person to commit any offense enumerated
13 OCGA § 16-15-3 defines “criminal gang activity” as “the commission,
attempted commission, conspiracy to commit, or the solicitation, coercion, or
intimidation of another person to commit . . . [a]ny offense defined as
racketeering activity by Code Section 16-14-3,” OCGA § 16-15-3 (1) (A), and
“[a]ny offense defined in Article 4 of Chapter 11 of this title, relating to
dangerous instrumentalities and practices,” OCGA § 16-15-3 (1) (E). OCGA §
16-14-3 defines murder and aggravated assault as “racketeering activity,” see
OCGA § 16-14-3 (5) (A) (iv and v), and Article 4 of Chapter 11 of Title 16
includes the offense of possession of a firearm during the commission of a
crime, see OCGA § 16-11-106.
41
in paragraph (1) of Code Section 16-15-3 with the intent to obtain or
earn membership or maintain or increase his or her status or
position in a criminal street gang.” Id. Monroe contends that all of
the crimes charged as violations of OCGA § 16-15-4 (a) should have
merged as a matter of fact into the crimes charged as violations of
OCGA § 16-15-4 (b) pursuant to the required evidence test of
Drinkard v. Walker, 281 Ga. 211 (636 SE2d 530) (2006).
The State, however, contends that the plain language of OCGA
§ 16-15-4 (m), which provides that “[a]ny crime committed in
violation of this Code section shall be considered a separate offense,”
shows the legislature’s intent to allow for double punishment under
the Gang Act statute. 14 We have previously been called upon to
interpret subsection (m) of the Gang Act in order to answer the
question of whether the statute provides for the merger of a
predicate offense into the separate Gang Act count. We concluded
that it does not. See Anthony v. State, 303 Ga. 399, 404 n.7 (2) (b)
14 Monroe only asserts that the Gang Act crimes should merge under
Drinkard and does not argue that the crimes should merge under any other
theory.
42
(811 SE2d 399) (2018) (“We have also held that OCGA § 16-15-4 (m)
allows separate punishment for both participation in criminal gang
activity and for the predicate offense through which the
participation in gang activity is established.”); Lupoe v. State, 300
Ga. 233, 239 n.4 (794 SE2d 67) (2016) (noting that the language of
subsection (m) “indicat[es] the General Assembly’s intent to impose
separate punishment for conduct that violates both OCGA § 16-15-
4 and another felony statute”).15
However, the question of whether the language of subsection
(m) provides for separate sentences for violations of different
subsections of the Gang Act has not been addressed by this Court.
It is well settled that “[t]he legislature remains free under the
Double Jeopardy Clause to define crimes and fix punishments.”
Brown v. Ohio, 432 U.S. 161, 165 (II) (97 SCt 2221, 53 LE2d 187)
(1977). “[T]he Double Jeopardy Clause does no more than prevent
the sentencing court from prescribing greater punishment than the
15For these same reasons, we reject Monroe’s claim that the trial court
erred by not merging the predicate felonies listed in Counts 10, 12, 13, 16, 18
and 20 into one of the OCGA § 16-15-4 (a) violations.
43
legislature intended.” Missouri v. Hunter, 459 U.S. 359, 366 (III)
(103 SCt 67374, LE2d 535) (1983). See also Ohio v. Johnson, 467
U.S. 493, 499 (104 SCt 253, 681 LE2d 425) (1984) (“Because the
substantive power to prescribe crimes and determine punishments
is vested with the legislature, the question under the Double
Jeopardy Clause whether punishments are ‘multiple’ is essentially
one of legislative intent.”). Indeed, “[e]ven if the crimes are the same
under Blockburger[ v. United States, 284 U.S. 299, 304 (52 SCt 180,
76 LE 306) (1932)], if it is evident that the state legislature intended
to authorize cumulative punishments, a court’s inquiry is at an end.”
Johnson, 467 U.S. at 499 n.8. Accordingly, in order to determine
whether the required evidence test of Drinkard applies, we must
determine if the legislature has provided for double punishments
within the relevant section of the Gang Act.
Our analysis turns on the proper interpretation of OCGA § 16-
15-4 (m). It is well settled that “[a] statute draws its meaning . . .
from its text.” Chan v. Ellis, 296 Ga. 838, 839 (1) (770 SE2d 851)
(2015) (citation omitted). When interpreting a statute, we must give
44
the text its plain and ordinary meaning, view it in the context in
which it appears, and read it in its most natural and reasonable way,
see Deal v. Coleman, 294 Ga. 170, 172-173 (1) (751 SE2d 337) (2013),
while also giving meaning to all words in the statute, see Arby’s
Restaurant Group, Inc. v. McRae, 292 Ga. 243, 245 (734 SE2d 55)
(2012). When we construe a statute on appeal, our review is de novo.
See Hankla v. Postell, 293 Ga. 692, 693 (749 SE2d 726) (2013).
OCGA § 16-15-4 (m) states that “[a]ny crime committed in
violation of this Code section shall be considered a separate offense.”
The plain language of this provision evidences the legislature’s clear
intent to designate certain crimes as “separate offense[s]” subject to
separate punishments. OCGA § 16-15-4 (m). Those crimes that
constitute separate offenses under subsection (m) are specifically
“crime[s] committed in violation of this Code
section.” Id. (emphasis supplied). Subsection (m) appears within
“Code section” 16-15-4. Thus, subsection (m) indicates that the
crimes which should be treated as “separate offense[s]” are those
violations of law defined in OCGA § 16-15-4, including, as relevant
45
here, violations of subsections (a) and (b), each of which specify that
“[i]t shall be unlawful” for a person to engage in certain
conduct. OCGA § 16-15-4 (a), (b). Because the plain language of
OCGA § 16-15-4 (m) indicates the legislature’s intent to punish as
“separate offenses” violations of subsections (a) and (b), charged
violations of those subsections cannot merge. See Nolley v. State,
335 Ga. App. 539, 545 (2) (782 SE2d 446) (2016) (discussing how the
express language of subsection (m) illustrates the legislature’s
intent “that any crime committed in violation of [the Gang Act] is a
separate offense which does not merge with another separate offense
under the Code section or with any predicate offense listed in the
Code section”).
In this case, where Monroe was found guilty of numerous
violations of both OCGA § 16-15-4 (a) and (b), the convictions for
violating those two subsections do not merge for sentencing
purposes.16 Consequently, Monroe’s 15 violations of OCGA § 16-15-
16 Monroe also alleges that the trial court should have merged the OCGA
§ 16-15-4 violations listed in Counts 22, 24, 26, and 30 through 42 into Count
46
4 (a) found in Counts 6, 7, 22 through 33, and 46, do not merge into
his 6 counts of violating OCGA § 16-15-4 (b) found in Counts 34, 35,
38, 39, 47, and 48.
That said, we agree with Monroe that the trial court erred in
sentencing him on two counts. Count 47 charged that Monroe
possessed the firearm “with the intent to maintain his status,” in
violation of OCGA § 16-15-4 (b), while Count 48 charged that Monroe
possessed the firearm “with the intent to increase his status,” also
in violation of OCGA § 16-15-4 (b). We agree with the Court of
Appeals’ decision in Nolley that there is “no statutory basis to
8 for sentencing purposes. To the extent that Monroe alleges that the separate
(a) and (b) violations should have merged, we reject that for the reasons set
forth above. To the extent that Monroe alleges that the numerous subsection
(a) violations should have merged into a single subsection (a) violation, that
claim also fails. The trial court merged the predicate offense of the aggravated
assault of Cross (Count 4) into the malice murder of Cross (Count 1).
Thereafter, the trial court purported to merge the violation of OCGA § 16-15-4
(a) Gang Act charge for the aggravated assault of Cross (Count 8) into the
violation of OCGA § 16-15-4 (a) for the murder of Cross (Count 6). However,
pursuant to our decision in Anthony, 303 Ga. at 403, Count 8 should have been
vacated because, once the predicate offense for that Gang Act charge merged,
there was “only one predicate crime to form the basis for unlawful participation
in criminal gang activity in violation of OCGA § 16-15-4 (a).” Anthony, 303 Ga.
at 406. In any event, because this left no conviction into which the other
counts could have merged, the claim fails. See Collett v. State, 305 Ga. 853,
855 (1) n.2 (828 SE2d 362) (2019); White v. State, 287 Ga. 713, 714-715 (1) (a)
(699 SE2d 291) (2010).
47
conclude that the Legislature intended that proof of intent to
‘maintain’ status or position in the gang would constitute a separate
‘unit of prosecution’ [in OCGA § 16-15-4 (b)] from proof of intent to
‘increase’ status or position in the gang.” Nolley, 335 Ga. App. at
547. Accordingly, because the charges in Counts 47 and 48 are
duplicative and resulted in Monroe being punished twice for a single
offense, we vacate Monroe’s convictions on Counts 47 and 48, and
remand for resentencing on only one of those counts. See State v.
Owens, 312 Ga. 212, 223 (6) (862 SE2d 125) (2021). 17
17 We note that Count 38 charged that Monroe unlawfully participated
in criminal gang activity in violation of OCGA § 16-15-4 (b) by committing
aggravated assaults against Cross, Kenneth, Darius, Calhoun, Clark, Ellis,
and Harris with the intent to maintain his status or position in said gang.
Then Count 39 charged that Monroe unlawfully participated in criminal gang
activity in violation of OCGA § 16-15-4 (b) by possessing a firearm during the
commission of the aggravated assaults of Cross, Kenneth, Darius, Calhoun,
Clark, Ellis, and Harris. At sentencing, the trial court merged the aggravated
assault of Cross (Count 4) and the possession of a firearm during the
aggravated assault of Cross (Count 5) into other counts. Despite a portion of
the predicate felonies listed in Counts 38 and 39 being merged, Monroe does
not allege that the entirety of Counts 38 and 39 could or should have merged
with the OCGA § 16-15-4 (b) counts charging Monroe with the murder of Cross
and for possessing a firearm during the murder of Cross (Counts 34 and 35,
respectively). Because any potential sentencing error on Counts 38 and 39 is
not clear, and because the parties have not raised this issue on appeal, we do
not address it. See Dixon v. State, 302 Ga. 691, 696 (808 SE2d 696) (2017)
(holding that this Court may exercise its discretion to correct a merger issue
48
(b) Improper Sentencing Enhancement
Monroe further alleges that the trial court erred by imposing a
10-year sentence for each of the weapons charges listed in Counts
11, 13, 15, 17, 19, and 21. Monroe was tried on a 48-count
indictment, which included seven charges of possession of a firearm
during the commission of a crime. Monroe was properly sentenced
to five years on the first weapon charge (Count 3). However, when
the trial court reached the weapons charges in Counts 11, 13, 15, 17,
19, and 21, it determined that these charges were separate
convictions triggering the enhancement provisions of OCGA § 16-11-
106 (c), which states that, “[u]pon the second or subsequent
conviction of a person under this Code section, the person shall be
punished by confinement for a period of ten years.” This was error.
“The rationale for statutes imposing enhanced punishment is
that the repetition of the unlawful conduct aggravates the guilt of
the accused by demonstrating the incorrigible and dangerous
not raised by the parties where “[the] merger error is so clear and obvious that
it comes to our attention even without the help of any party”).
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character of the accused, thereby establishing the necessity for an
enhanced restraint.” Mays v. State, 262 Ga. 90, 91 (1) (a) (414 SE2d
481) (1992). Where, as here, there are “several crimes arising from
the same conduct [that] are known to the proper prosecuting officer
at the time of commencing the prosecution and are within the
jurisdiction of a single court, they must be prosecuted in a single
prosecution.” OCGA § 16-1-7 (b). Monroe was tried on a multi-
count indictment in a single prosecution. He was not convicted of a
crime until he was found guilty by a jury and a sentence was entered
by the trial court. See OCGA § 16-1-3 (4) (defining “conviction” as
“a final judgment of conviction entered upon a verdict or finding of
guilty of a crime or upon a plea of guilty”). Because the weapons
charge convictions in the instant case did not qualify as a “second or
subsequent conviction” for sentencing purposes, Monroe could only
be sentenced to five years on each count for possessing a firearm
during the commission of a crime.
Based on the foregoing, the trial court erred by imposing
separate 10-year sentences on Counts 11, 13, 15, 17, 19, and 21;
50
accordingly, we vacate these sentences and remand for resentencing
in a manner consistent with this opinion.
Judgment affirmed in part and vacated in part and case
remanded. All the Justices concur.
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