delivered the Opinion of the Court.
The defendant, William Strizich, was charged by complaint filed in the City Court of Great Falls with a first offense of driving under the influence of alcohol in violation of § 61-8-401(1)(a), MCA. He pled not guilty to the charge against him and his case was scheduled for trial. Prior to trial in the City Court, the State moved in limine for an order to determine the admissibility of specified evidence. When the City Court held the evidence inadmissible, the State appealed to the District Court for a trial de novo. Prior to trial in the District Court, the State made the same pretrial motions and the District Court also excluded the proffered evidence. The State appeals the District Court’s pretrial order excluding .evidence of statements made by Strizich to the investigating officer. Strizich cross-appeals from the District Court’s denial of his motion to dismiss for failure to provide him with a timely trial in compliance with § 46-13-401(2), MCA. We *3reverse the District Court’s denial of Strizich’s motion to dismiss and, therefore, decline to discuss the issue raised by the State on appeal.
We limit our consideration in this matter to the following issue:
Did the District Court err when it denied the defendant’s motion to dismiss based on the State’s failure to comply with § 46-13-401(2), MCA, which required trial of the charges against the defendant within six months from the date that he entered his plea?
PROCEDURAL HISTORY
On November 4, 1995, the defendant, William Strizich, was stopped, arrested, and issued a notice to appear and complaint for driving under the influence of alcohol in violation of § 61-8-401(l)(a), MCA. He appeared in the City Court of Great Falls on November 6, 1995, and pled not guilty to that charge.
Strizich’s case was set for trial in the City Court on February 29, 1996. However, two weeks prior to trial, the State moved for a continuance of the trial based on the unavailability of one of its witnesses. The trial was then continued to May 2, 1996.
On April 11,1996, the State filed several motions in limine. In one of those motions, the State asked the City Judge to determine prior to trial that statements made by Strizich after he was stopped on the night of his arrest were admissible as evidence. In a second motion, the State asked the City Judge to determine prior to trial whether results from a preliminary breath test (PBT), sometimes referred to in the record as a preliminary alcohol screening test (PAST), are admissible at trial. A PBT was administered to Strizich by the investigating officer, Christopher Hickman, by use of a portable device known as an Aleo-Sensor III at the scene of his arrest on November 4.
On April 23,1996, the City Judge, Nancy Luth, held that pursuant to § 61-8-409(2), MCA, read in the context of Title 61, Chapter 8, part 4, the results of a PBT are intended to assist in the determination of probable cause only and not to be admitted “as substantive evidence in the State’s case in chief.” She therefore denied the State’s motion to allow admission of these results as evidence. She issued no order regarding the State’s other motion in limine because on April 24, 1996, the State filed a notice of appeal to the District Court of the Eighth Judicial District in Cascade County from the City Court’s order denying its motion to admit evidence of PBT results. In its notice of appeal, the State referred to Judge Luth’s order as an order *4“suppressing evidence” and based its appeal on §§ 46-17-311 and 46-20-103(2)(e), MCA.
On May 1, 1996, the State filed the same motions in limine in the District Court that it had filed in City Court. On May 10, Strizich moved the District Court to dismiss the charges against him pursuant to § 46-13-401(2), MCA, for failure of the State to try him within six months from the date on which he entered his plea. The uncontroverted evidence in support of his motion was that he had done nothing to postpone his date of trial and that the State had no good cause for delay beyond six months, other than its interest in appealing the City Court’s denial of its motion in limine.
In response to Strizich’s motion to dismiss, the State argued that pursuant to §§ 46-17-311 and 46-20-103(2)(e), MCA, it had a right to appeal to the district court from a city court order “suppressing evidence”; that the City Court’s order denying its motion in limine regarding PBT evidence was, in effect, an order suppressing evidence; and that, pursuant to this Court’s decision in State v. Bullock (1995), 272 Mont. 361, 901 P.2d 61, since city court jurisdiction had been exhausted within six months, § 46-13-401(2), MCA, had been satisfied.
On July 3, 1996, the District Court denied Strizich’s motion to dismiss. Its order was based on its conclusion that the City Court’s order denying the State’s motion in limine was, in effect, an order to “suppress evidence” and, therefore, pursuant to our decision in Bullock, that § 46-13-401(2), MCA, had been complied with.
On August 29, 1996, the District Court denied the State’s motions in limine regarding Strizich’s statements and evidence of PBT results. It held that Strizich’s statements were made after his arrest without the benefit of Miranda1 advice; it also held that PBT results, when conducted in the field, were inherently unreliable and were intended neither by statute nor administrative rule for admission as substantive evidence in the State’s case.
On September 3,1996, the State filed a notice of appeal from both the District Court’s order regarding Strizich’s admissions and the order regarding PBT evidence. However, the State has since abandoned its appeal from the District Court’s exclusion of PBT evidence.
On September 6, 1996, Strizich filed a cross-appeal from the District Court’s order dated July 3,1996, which denied his motion to dismiss for failure to timely try him in accordance with § 46-13-401(2), MCA.
*5Because our disposition is based upon our conclusions regarding Strizich’s right to a timely trial pursuant to statute, we need not discuss the remaining issue raised by the State’s appeal. We confine our discussion to the following issue:
Did the District Court err when it denied the defendant’s motion to dismiss based on the State’s failure to comply with § 46-13-401(2), MCA, which required trial of the charges against the defendant within six months from the date that he entered his plea?
DISCUSSION
The district court’s denial of a motion to dismiss is based on a legal conclusion which we review to determine if it was correct. State v. Bullock (1995), 272 Mont. 361, 368, 901 P.2d 61, 66.
Our analysis of the District Court’s decision to deny Strizich’s motion to dismiss must necessarily begin with § 46-13-401(2), MCA, which provides that:
After the entry of a plea upon a misdemeanor charge, the court, unless good cause to the contrary is shown, shall order the prosecution to be dismissed, with prejudice, if a defendant whose trial has not been postponed upon the defendant’s motion is not brought to trial within 6 months.
In this case, Strizich’s trial date in City Court was not postponed by any motion made by Strizich, and the State admitted, at hearings before the District Court, that there was no good cause for delay beyond the May 2,1996, trial date, other than its desire to appeal the City Court’s decision that PBT results were not admissible evidence.
The District Court based its decision to deny Strizich’s motion to dismiss on our decision in Bullock. In that case, the defendants were charged in justice court with unlawfully killing and possessing a game animal. However, the justice court suppressed all of the State’s evidence pertaining to one defendant on constitutional grounds, and dismissed the State’s charges against the other defendant. The State then appealed to the district court for a trial de novo pursuant to §§ 46-17-311 and 46-20-103, MCA. When the defendants had not been tried in district court within six months from the date on which they entered their plea, they moved to dismiss pursuant to § 46-13-401(2), MCA. That motion was denied. On appeal from that denial, this Court pointed out that in State v. Mantz (1994), 269 Mont. 135, 887 P.2d 251, we held that the statute requiring misdemeanors be tried within six months is inapplicable to those situations “in which the case comes *6from justice court to a trial de novo in district court.” Mantz, 269 Mont. at 138, 887 P.2d at 253. In Bullock, we stated that:
While this Court was not unanimous in its conclusion that § 46-13-401(2), MCA, does not apply to misdemeanor charges appealed to the district court (see Mantz, Justices Trieweiler and Hunt dissenting), all members do concur that for purposes of applying that rule there is no basis for distinguishing between cases appealed after trial in the justice court and cases appealed from disposition in some other fashion in justice court. So long as the justice court jurisdiction is exhausted within six months by some action which authorizes appeal de novo to the district court, § 46-13-401(2), MCA, has been satisfied.
Bullock, 272 Mont. at 369, 901 P.2d at 66-67 (emphasis added).
We noted that § 46-20-103, MCA, authorizes the State to appeal from justice court to district court any order or judgment which has the effect of (a) dismissing a case, or (e) suppressing evidence. Bullock, 272 Mont. at 369, 901 P.2d at 66. For these reasons, we concluded that justice court jurisdiction had been exhausted in that case within six months by some action which authorized appeal de novo to the district court and, therefore, that the motion to dismiss on the basis of § 46-13-401(2), MCA, had been properly denied. Bullock, 272 Mont. at 369, 901 P.2d at 67.
The issue in this case is, then, whether City Court jurisdiction was exhausted within six months “by some action which authorizes appeal de novo to the district court.” Bullock, 272 Mont. at 369, 901 P.2d at 66-67. The State contends that that requirement was satisfied when the City Court denied its motion in limine to admit evidence of PBT results and, in effect, “suppressed evidence.” The defendant contends that the term “suppressing evidence” is a term of art which does not apply to the exclusion of evidence based on the rules of evidence and, therefore, that there was no action by the City Court which authorized appeal de novo to the District Court.
The State’s position finds support in several prior decisions of this Court. We conclude, however, that our own statutory framework and the better-reasoned authority from other jurisdictions support the position of the defendant.
In State v. Carney (1986), 219 Mont. 412, 714 P.2d 532, the defendant was being tried for driving under the influence of alcohol when, during the second day of trial, the district court sustained the defendant’s objection to blood samples because the State had failed to establish a proper chain of custody. The State advised the district *7court of its desire to appeal that issue; the jury was dismissed; and a notice of appeal was filed. We held that based on double jeopardy considerations it was necessary to distinguish between appeals prior to the commencement of trial and appeals taken during the course of trial for purposes of applying § 46-20-103, MCA. We then interpreted subsection (e) as follows:
We conclude that the order sustaining the objection to the admission of evidence did not constitute “suppressing evidence” as defined in Section 46-20-103, MCA. We hold that the District Court order ruling the blood samples inadmissible for failure to lay a proper foundation was not an appealable order.
Carney, 219 Mont. at 418, 714 P.2d at 536.
We then held that because there was no “manifest necessity” for the appeal, further trial of the defendant would constitute double jeopardy. Carney, 219 Mont. at 418, 714 P.2d at 536.
We next discussed the term “suppressing evidence” in State v. T.W. (1986), 220 Mont. 280, 715 P.2d 428. In that case, the State filed an interlocutory appeal from a district court order granting the defendant’s motion in limine which precluded the State from using the defendant’s youth court records as evidence and from offering evidence of prior offenses allegedly committed by the defendant while he was a minor. After asking the parties in that case to brief the issue of whether a pretrial order denying the State’s motion in limine was an appealable order, as provided for by § 46-20-103, MCA, we held that it was. We distinguished appeals from pretrial rulings from those taken during the course of trial. We held that:
There is an important distinction between interlocutory appeals on pre-trial rulings and those taken in the course of the trial.... No jeopardy attaches here, as the jury had not yet been sworn. Because there is no double jeopardy problem in this case the ruling is appealable.
T.W., 220 Mont. at 287, 715 P.2d at 432 (citation omitted).
We followed T.W. in State v. Yarns (1992), 252 Mont. 45, 826 P.2d 543. Although two members, in dissent, cautioned that
there is a significant difference between the “suppression of evidence” and an evidentiary ruling which excludes material or information which is offered but is neither relevant to nor probative of the issues in the case.
*8The effect of the majority’s decision is to provide the State with the option of divesting justice courts of jurisdiction to try misdemeanor cases whenever the State chooses to do so.
Yarns, 252 Mont. at 53-55, 826 P.2d at 548-49 (Trieweiler, J., and Hunt, J., dissenting).
Since our decision in Yarns, several other jurisdictions have also considered this same issue. In State v. Dwyer (Mo. Ct. App. 1992), 847 S.W.2d 102, the state appealed from the trial court’s order in limine excluding prior acts of the defendant. Missouri, like Montana, permits the state by statute to appeal “from any order or judgment the substantive effect of which results in ... suppressing evidence.” Mo. Rev. Stat. § 547.200.1(2) (1986). However, the Court of Appeals for the Western District of Missouri held that:
The in limine order which is sought to be appealed here is not an order “suppressing” evidence or having that substantial effect. Section 547.200.1 was not intended to allow the appeal of this order in limine. State v. Holzschuh, 670 S.W.2d 184, 185 (Mo.App.1984).
The “suppression” of evidence is not the same thing as the exclusion of evidence on the basis of some rule of evidence. Suppression is a term used for evidence which is not objectionable as violating any rule of evidence, but which has been illegally obtained. Fed.R.Crim.R 12(b), Section 542.296, RSMo 1986, Black’s Law Dictionary (“motion to suppress,” “suppression of evidence”) 914, 1291 (5th Ed.1979). Evidence may be highly relevant and admissible as against all objections based upon the rules of evidence (i.e., hearsay, best evidence, parol evidence, relevancy, privileged communications, and the like), but yet may be suppressed because it was illegally obtained. Id.
The position advanced by the State would allow the State to appeal any in limine order of the trial court which ruled inadmissible any evidence which the State proposed to offer. The State could thus by a single appeal, or by repeated appeals, secure appellate rulings upon the admissibility of all its evidence. The statute has no such meaning. It is intended to apply only to those orders “suppressing” evidence; it should not be broadened by intendment to cover in limine orders. State v. Holzschuh, 670 S.W.2d 184 (Mo.App.1984).
Dwyer, 847 S.W.2d at 103-04.
*9In State v. Shade (Nev. 1994), 867 P.2d 393, the state appealed from the district court’s order in limine excluding evidence of the defendant’s prior bad act on the basis that the evidence was irrelevant. The trial court’s order was not based on any allegation that the evidence was illegally obtained. The state’s appeal was based on a Nevada statute which permitted the state to appeal from district court orders which suppressed evidence. The Nevada Supreme Court noted that while there was no Nevada statute defining “motions to suppress,” “suppression” had been defined by numerous courts. It cited decisions from appellate courts in Illinois, Colorado, Georgia, Missouri, North Dakota, and Virginia for the principle that “suppression” of evidence relates to evidence which would be otherwise admissible but was illegally obtained, as opposed to exclusion of evidence which is inadmissible based on the rules of evidence. Shade, 867 P.2d at 396.
The court in Shade held that:
“Motion to suppress” is a term of art which is defined as a request for the exclusion of evidence premised upon an allegation that the evidence was illegally obtained. Black’s Law Dictionary 914 (5th ed. 1979) defines the term as follows:
Device used to eliminate from the trial of a criminal case evidence which has been secured illegally, generally in violation of the Fourth Amendment (search and seizure), the Fifth Amendment (privilege against self incrimination), or the Sixth Amendment (right to assistance of counsel, right of confrontation, etc.), of [the] U.S. Constitution.
In this case, the district court excluded evidence for evidentiary reasons. The district court did not suppress evidence. The right to appeal is statutory. Where no statute or rule provides for an appeal, no right to appeal exists. There is no statute or rule which provides for an appeal from an order of the district court granting a motion in limine to exclude evidence.
Shade, 867 P.2d at 396 (citation omitted).
In State v. Howard (Tex. Ct. App. 1995), 908 S.W.2d 602, the state appealed from an interlocutory trial court order which had been entitled “Order Suppressing Evidence” but which, in fact, excluded evidence of statements by co-defendants which implicated the defendant. The statements were not excluded based on the Sixth Amendment grounds claimed by the defendant, but instead on Texas Rules of Criminal Evidence. The Court of Appeals found that distinction significant. It held that while the Texas Code of Criminal Procedure *10allowed the state to appeal from orders which grant motions to suppress, “the legislature did not intend to create an avenue by which the state could secure interlocutory review of general evidentiary rulings.” Howard, 908 S.W.2d at 604. The court held that:
[T]he phrases “motion to suppress” or “suppress evidence” have developed unique meanings in our criminal jurisprudence. Indeed, they are terms of art which contemplate more than the simple exclusion of evidence pursuant to the general rules of evidence. State v. Kaiser, 822 S.W.2d at 700. As discussed in Kaiser and in decisions issued by neighboring jurisdictions, a motion to suppress presupposes that the evidence was illegally obtained. We opt, as did the Kaiser court, to construe the wording of article 44.01(a)(5) to comport with, not contradict, its technical meaning.
Additionally, in our system of jurisprudence, we note that it is not the function of appellate courts to sit in “instant replay” of the general pretrial decisions made by a trial judge. He is entitled to control his dockets and dispense justice without undue interference from appellate bodies.
Howard, 908 S.W.2d at 604-05 (citations omitted).
For those reasons, the Texas Court held that it was without jurisdiction to hear the state’s appeal, and it was dismissed.
These decisions are consistent with the manner in which “suppression of evidence” is discussed in our statutory framework. Both of this State’s statutory references to the suppression of evidence relate to evidence which would otherwise be admissible had it not been illegally obtained. Section 46-13-301, MCA, permits the suppression of confessions which were made involuntarily. Section 46-13-302, MCA, permits the suppression of evidence gathered as the result of an unlawful search or seizure.
To hold that this Court has jurisdiction to consider appeals from orders which simply exclude evidence based on the rules of evidence would require that this Court micro-manage the discretionary functions of trial courts. Just as importantly, to hold that district courts have jurisdiction to entertain appeals from justice court or city court based upon pretrial determinations of the admissibility of all evidence, would allow the State to avoid justice court or city court jurisdiction altogether anytime it decides it would be tactically advantageous to do so. That certainly was not the intent of the Legislature when it authorized appeals based on the “suppression of evidence.”
*11We therefore conclude that orders “suppressing evidence” are orders which exclude evidence on the grounds that the evidence has been illegally obtained. They do not include pretrial orders which exclude evidence based on Rules of Evidence, such as relevancy, probative value, or statutory inadmissibility. To the extent that our decisions in State v. T.W. (1986), 220 Mont. 280, 715 P.2d 428, and State v. Yarns (1992), 252 Mont. 45, 826 P.2d 543, are inconsistent with this holding, they are reversed.
We further conclude that the City Court’s order dated April 23, 1996, which excluded PBT results, and which was the basis of the State’s appeal to the District Court, was not an order “suppressing evidence.” It was, in effect, an order determining that PBT results are not substantive evidence at all. The City Court’s and the District Court’s decisions in that regard were correctly based on the statutory scheme pertaining to PBT’s, the legislative history of those statutes, and the administrative rules enacted to enforce those statutes.
Title 61, Chapter 8, part 4, Montana Code Annotated, relating to the offense of driving under the influence of alcohol, provides for two types of tests to measure the presence of alcohol in a person’s body after being stopped based on a suspicion of driving under the influence of alcohol. Section 61-8-402, MCA, provides for tests of a person’s blood, breath, or urine for the purpose of measuring the presence of alcohol after that person has been arrested. Section 61-8-404, MCA, provides that test results obtained pursuant to the post-arrest test are admissible as evidence at a DUI trial. That statute specifically refers to the foundation for admission of evidence obtained pursuant to § 61-8-402, MCA.
Section 61-8-409, MCA, on the other hand, provides for a preliminary alcohol screening test (previously referred to as a PBT) of a person’s breath for the purpose of “estimating the person’s alcohol concentration, upon the request of a peace officer who has a particularized suspicion that the person was driving or in actual physical control of a vehicle ... while under the influence of alcohol.” (Emphasis added.) In other words, the PBT is intended for use prior to an actual arrest for the limited purpose of “estimating” the alcohol concentration. Subparagraph (2) specifically provides that: “The results of a screening test may be used for determining whether probable cause exists to believe a person has violated 61-8-401, 61-8-406, or 61-8-410.” Section 61-8-409(2), MCA (1995). There is no suggestion in § 61-8-409, MCA, that the results of a PBT are admissible as substantive evidence to establish a person’s guilt. Neither did those who *12spoke in support of Senate Bill 316 in the 1995 Legislative Session suggest that the new statute providing for preliminary blood testing would produce substantive evidence of a person’s guilt. It was only referred to by the statute’s proponents as assistance to an investigating officer in the determination of whether to proceed to an arrest. Hearings on S.B. 316 Before the Montana Senate 1995 Legislature Judiciary Comm, at 5-6, 54th Legislature Regular Session (1995) (describing testimony of Peter Funk, former Assistant Attorney General, involved in drafting Senate Bill 316).
Finally, those rules adopted by the Forensic Science Division of the Department of Justice in 1995 referred to preliminary breath testing devices as “associated equipment,” as opposed to a “breath analysis instrument,” and define it as follows:
[A]ny approved device which is designed to detect and verify the presence of alcohol or provide an estimated value of alcohol concentration. Analyses from this type of device, e.g., a preliminary breath tester, are to be considered as probable cause evidence only.
Rule 23.4.201(7)(b), ARM (emphasis added).
There are reasons apparent from the District Court record for the legislative decision to allow use of PBT results for probable cause purposes only. Norm Fort, a criminalist employed by Ventura County in California, who has conducted tests of the Aleo-Sensor III, acknowledged that while the instrument is reliable during controlled studies, there are variations when used under field conditions based on physiological, instrumental, and operator-induced factors.
Philip Lively, Director of the Breath Analysis Program at the Division of Forensic Science at the Montana Department of Justice, testified similarly. He gave the following answer to the following question:
Q. The point is in a field setting there are a great many variances, depending upon not only environmental conditions but on the testing procedures and accuracies of the officer; isn’t that true?
A. That is true.
For these reasons, we conclude that results of a preliminary breath test (statutorily identified as preliminary alcohol screening test) are not substantive evidence of the amount of alcohol present in a person’s body, but instead are an “estimate” of alcohol concentration for the purpose of establishing probable cause to believe that a person is under the influence of alcohol prior to making an arrest for violation of §§ 61-8-401, -405, or -410, MCA. For this reason, we conclude that *13the City Court’s order excluding PBT results at the City Court trial of the defendant, William Strizich, was not an order to “suppress evidence.”
Because the City Court did not enter an order to “suppress evidence” in this matter, there was no statutory basis pursuant to § 46-20-103(2)(e), MCA, for appeal to the District Court. Therefore, we conclude that City Court jurisdiction was not exhausted within six months by some action which authorized appeal to the District Court, and that § 46-13-401(2), MCA, has not been satisfied.
For these reasons, we conclude that in the language of § 46-13-401(2), MCA, the prosecution of the defendant “shall... be dismissed with prejudice.”
Because of Strizich’s official position, this case has received more public attention than is normally given to a first charge of driving under the influence of alcohol. Most members of the public, and presumably the defendant, would prefer that the charge be resolved on its merits. However, the law is clear. Absent good cause or efforts by the defendant to delay trial, a misdemeanor charge must be brought to trial within six months from the entry of the defendant’s plea, or it must be dismissed with prejudice. The defendant in this case is as entitled to the protection of that law as if he had no official position.
The State had numerous opportunities to comply with the controlling statute. Strizich denied his guilt on November 6, 1995, and trial was immediately scheduled for February 29, 1996. The State sought a continuance on the basis that its witness, a full-time employee of the State, could not be present for trial on that date. Strizich objected to the continuance but it was granted. A second trial was scheduled for May 2, 1996 — still within the time allowed. The State, however, receiving no positive response to its efforts to disqualify the City Judge, divested the City Court of an opportunity to try the case on May 2 by appealing to the District Court from the City Court’s denial of its motion to admit evidence which was clearly inadmissible. The State, in other words, made it impossible for the City Court to comply with the law which protects misdemeanor defendants from untimely trials and, due to the State’s delay, the charges must be dismissed.
We reverse the order of the District Court which denied the defendant’s motion to dismiss and remand to the District Court for entry of judgment consistent with this opinion.
*14CHIEF JUSTICE TURNAGE, JUSTICES HUNT, NELSON and LEAPHART concur.. Miranda v. Arizona (1966), 384 U.S. 436, 86 S.Ct. 1602, 16 L.Ed.2d 694.