The opinion of the Court was delivered by
COLEMAN, J.This appeal involves convictions for purposeful or knowing murder, kidnapping, aggravated sexual assault, and sexual assault. The appeal is of right based on a dissenting vote in an interlocutory appeal and a dissenting vote in a direct appeal. We must decide whether it was reversible error for the Appellate Division to overrule the trial court and order it to permit the State to introduce evidence that defendant was awaiting sentencing on a charge of sexual assault at the time of the murder and other offenses. We must also decide whether the trial court’s jury instructions concerning the other-crime evidence were so deficient that they constituted plain error.
I
On Friday, August 26, 1988, F.C. and defendant Adam Marrero met for the first time at a social gathering at the home of F.C.’s aunt. Defendant and F.C. left the party at approximately 11:30 p.m. and went to a bar together. On Saturday morning at 8:20 a.m., F.C.’s daughter arose and noticed her mother’s absence. Friends and family were called and a search was conducted for F.C. throughout the entire day. The Vineland police became involved in the case Saturday afternoon.
F.C.’s body was discovered on Monday morning in a remote area surrounding Central Park in Vineland. The body was nude, with legs apart and knees bent. Her arms were extended over her head, as if the body had been dragged. Her clothing was scattered around the area.
A Cumberland County grand jury indicted defendant for murder, felony murder, first-degree kidnapping, first-degree aggravat*475ed sexual assault, and second-degree sexual assault. As a result of a pretrial motion, trial of the case was conducted in Salem County in May 1990. The trial court denied the State’s motion to introduce other-crime evidence.
During the trial, the State presented the following evidence. Before defendant went to the party at the home of F.C.’s aunt on August 26, 1988, he borrowed his uncle and housemate, Jorge Marrero’s pickup truck for transportation. Defendant and F.C. left the party together at approximately 11:30 p.m. with a pizza that was intended to be delivered to F.C.’s daughter.
When Johnny Lazano, another uncle of defendant, learned on Saturday that F.C. had not returned home, he confronted defendant. When Lazano demanded information about F.C.’s whereabouts, defendant jumped up from the table, saying, “What am I going to do now? What am I going to do now?” Defendant later insisted that he had driven F.C. directly home. Lazano requested that defendant take him to F.C.’s home, but defendant claimed that he forgot where she lived.
Lazano reminded defendant where the victim lived, and the two drove to her home. Defendant told those present that he had dropped F.C. off three doors from her home as she requested. Defendant claimed that he had watched F.C. approach her door. On Saturday, August 27, 1988, Patrolman Frank Buseemi of the Vineland police questioned defendant about the events of the previous night. Defendant told Buseemi he had dropped off F.C. at about 11:00 p.m.
On Sunday, August 28, 1988, Detective Curley and Buseemi questioned defendant at his home. Defendant explained that he had taken F.C. home at about 11:30 p.m. and had then gone to the Peking Restaurant alone. He claimed that he left the restaurant at 1:30 a.m. and drove around Vineland before going home at 4:00 a.m.
Curley and Buseemi questioned Jorge, who told them that when he left for work at 6:30 a.m. on Saturday, neither the truck nor *476defendant was at the house. The officers obtained permission from Jorge to search the truck. Buscemi testified that defendant was “literally looking over our shoulders into the truck as we were going through [it].” When inconsistencies began to arise in defendant’s alibi, Curley and Buscemi decided to interview defendant at headquarters. Curley noted bruises and swelling on defendant’s hands. Defendant claimed the bruises were from working at a carnival, but he later admitted that he had last worked at the carnival more than eighteen months prior to the interview. Defendant stated that he had gone home at 6:00 a.m. on August 27, 1988, and then he changed the time to 7:00 a.m.
When confronted with evidence that F.C. had gone to the Peking Restaurant with him, defendant first denied that she had, but he eventually claimed that he had taken her home at 1:30 a.m. and driven around Vineland and Millville until 7:00 a.m. Defendant claimed that he had neither stopped for gas nor seen anyone during his drive. Defendant could not recall his route, so Curley and Sergeant Ballurio asked him to drive the route while they accompanied him. The trip took between one and one and one-half hours.
Near where F.C.’s body was found, the Vineland police discovered tire tracks running through a patch of vegetation. According to the State’s expert, the tire tracks were made by tires similar to those of Jorge’s pickup truck, and similar vegetation was stuck in the undercarriage of the pickup truck.
Dr. Lawrence Maypow, the Cumberland County Medical Examiner, conducted an autopsy and concluded that F.C. had died between twenty-four hours and several days before the corpse was discovered. Dr. Maypow concluded that F.C. had died from manual strangulation, based on several bruises on her neck and a fracture of the hyoid bone. A physical assault was evident from a piece of wood lodged in the victim’s throat that matched the wood in the bed of Jorge’s pickup truck. Semen found on F.C.’s sweater matched that of thirty-six percent of the White male population that included defendant’s semen type.
*477Guy Bishop, another inmate housed in the Cumberland County Jail with defendant, testified that defendant, while in jail awaiting trial, confessed to killing F.C., saying first that she died during consensual- intercourse. Bishop also testified that defendant told him that F.C. had slapped defendant and that he had “grabbed her by the throat and before he realized it she wasn’t breathing.”
At the time of F.C.’s death, defendant was awaiting sentencing for a sexual assault on another victim. Defendant was charged with raping and sodomizing K.N. in a wooded area of Vineland on March 12-13, 1988. Defendant was also charged with raping and sodomizing another victim, I.F., in a wooded area on March 19-20, 1988. Defendant pled guilty to reduced second-degree sexual assault charges in the K.N. case in exchange for the dismissal of the charges in the I.F. ease.
At the close of the State’s case, it renewed its motion to introduce the other-crime evidence respecting the K.N. and I.F. sexual assaults, or in the alternative, to introduce the fact that defendant had pled guilty to one of the prior sexual assaults. The State argued that the fact that defendant had pled guilty to a sexual assault and was awaiting sentencing, suggested a motive to kill F.C. and that evidence would assist the jury in determining the type of homicide committed. The trial court denied the State’s motion.
The Appellate Division granted the State’s motion for leave to appeal on May 25, 1990. Over the dissent of one judge, the Appellate Division summarily reversed by order. The trial court was ordered to admit the fact that defendant was awaiting sentencing for a sexual assault at the time the offenses against F.C. were committed. The trial court was directed to give
an appropriate limiting instruction which shall include the direction that this evidence is not to be considered unless and until the jury finds independently from other evidence in the case, beyond a reasonable doubt, that defendant was in fact the perpetrator of the homicide. Once having so found, the jury may consider the evidence on the issue of defendant’s motive and intent in committing the homicide in order to determine the type and degree of homicide involved.
*478The dissenting member of the panel would have affirmed the trial court’s ruling based on Evidence Rule 4 balancing test. This Court denied defendant’s motion for leave to appeal on May 30, 1990.
The defense ease essentially consisted of claiming that everyone connected with the case, including the police officers and Johnny Lazano, had lied in their testimony. Defendant testified in his own defense, and at one point claimed that he would not have committed the murder because he did not want “to do anything to get more time” and that, because “[a]ny [jail] time [is] not pleasant for anybody,” he “wasn’t going to get in any trouble” after being released on his own recognizance on August 25, 1988, after pleading guilty to the sexual assault on K.N.
The State introduced the other-crime evidence through defendant by agreement after the Appellate Division’s ruling. Defendant testified that at the time of F.C.’s murder, he was waiting to be sentenced for the sexual assault on K.N. and that he was released from the Cumberland County Jail the day before the August 26,1988, murder for which he was on trial.
The defense also presented two experts. The first of those, a dermatologist, testified that the bruises on defendant’s hands were not bruises at all, but were rather the result of “acquired acromelanosis” or “hyperpigmentation,” a darkening of the skin often seen in darker complexioned people. The expert conceded, however, that the “discoloration” shown in the photographs of defendant’s hands could have been caused by punching or beating another person. The second expert testified that he did not find any of defendant’s hair on the victim’s body or clothing. He admitted on cross examination, however, that he found no hairs or other material originating from a third party either, explaining that a sample’s prolonged exposure to the elements greatly reduces the likelihood of recovering any hairs or fibers that may have been transferred onto it.
The trial court dismissed the charge of second-degree sexual assault at the end of the State’s case. The jury convicted defen*479dant on all the other charges. He was sentenced to prison for terms aggregating life plus twenty years with forty years of parole ineligibility.
The Appellate Division affirmed the judgment of conviction in an unpublished opinion, with one judge dissenting. The majority of the Appellate Division panel regarded the prior Appellate Division decision to be the law of the case, and therefore, the issue whether the other-crime evidence should have been admitted was not before the court. The dissenting judge found the law-of-the-case doctrine to be a discretionary rule. He concluded that the conviction should be overturned because the probative value of the other-crime evidence was substantially outweighed by the risk of undue prejudice. Thus, the dissents in both appeals were for the same reason: that under Evidence Rule 4 balancing test the evidence should have been excluded. This appeal is before the Court based on the two dissents. R. 2:2 — 1(a)(2).
II
Before dealing with the other-crime-evidence issues, we address a procedural problem related to the two dissents in the Appellate Division. The State relies on the law-of-the-case doctrine, explicated in State v. Reldan, 100 N.J. 187, 495 Ad 76 (1985), and other cases, to argue that because it relied on the interlocutory decision of the Appellate Division and introduced the other-crime evidence, it would have been unfair to the State for the Appellate Division in the direct appeal to have reversed the admission of other-crime evidence that was based on the order of the first panel.
The applicability of the law-of-the-case doctrine is not affected by the fact that the prior decision was made in an interlocutory appeal as opposed to an appeal after final judgment. State v. Myers, 239 N.J.Super. 158, 164, 570 A.2d 1260 (App.Div.), certif. denied, 127 N.J. 323, 604 A.2d 598 (1990). Similarly, the right to appeal based on a dissent in the Appellate Division does not depend on whether that dissent was filed in an interlocutory *480appeal or an appeal after final judgment. If, on the one hand, the Appellate Division’s decision in an interlocutory appeal is deemed a final judgment, a dissent creates an automatic right of appeal to this Court pursuant to Rule 2:2-l(a)(2). If, on the other hand, the Appellate Division’s decision in an interlocutory appeal is not deemed a final judgment, a dissent still creates an automatic right of appeal. The only difference is whether a motion for leave to appeal is required by Rule 2:2-2. If leave to appeal based on a dissent is denied, the right to appeal after final judgment is preserved.
In the present case, there is no need for an extended discussion of the law-of-the-case doctrine. This Court’s denial of the motion for leave to appeal on May 30, 1990, preserved the issue of whether under Evidence Rule 4 balancing test the other-crime evidence was too prejudicial to be amenable to a limiting jury instruction. When this Court denied leave to appeal, an issue framed by the first dissent remained viable in the event the jury convicted defendant of any of the charges. When defendant was convicted on four of the charges, the Appellate Division in the direct appeal declined to entertain defendant’s argument that the admission of other-crime evidence had unfairly prejudiced him. That decision was based on the law-of-the-case doctrine. One of the judges on the panel wrote a concurring opinion in which he stated that if he were sitting in the court of last resort, he would entertain the argument. A second member of the panel filed a dissenting opinion in which he concluded that the law-of-the-case doctrine was discretionary. That dissenter conducted a plenary review of the alleged prejudicial effect of the other-crime evidence and found that the prejudice was so substantial that a reversal was required. Thus, the dissents in both the interlocutory appeal and the direct appeal addressed the same issue and reached the same conclusion.
The dissent in the interlocutory appeal entitled defendant to seek review by this Court pursuant to Rule 2:2-2. Where irreparable harm cannot be demonstrated in a non-capital case, *481unless a broad public policy issue is presented, a denial of leave to appeal by this Court is the rule rather than the exception. Reldan, supra, 100 N.J. at 205, 495 A.2d 76; In re Uniform Admin. Procedure Rules, 90 N.J. 85, 100, 447 A.2d 151 (1982). If this Court denies leave to appeal, once the direct appeal has been concluded, there is an appeal of right pursuant to Rule 2:2-l(a)(2) based on a dissent in the interlocutory appeal. The issues and reasons for a dissent, even one entered when the appeal is handled summarily pursuant to Rule 2:11-2, should be explained in an opinion for the benefit of the parties and this Court as required by Rule 2:ll-8(a).
In the present case, the dissent in each of the appeals below is limited to the prejudicial effect of the other-crime evidence. Hence, both dissenters would have affirmed the trial court’s exclusion of that evidence. Because both dissents raise the same issue, the appeal of right pursuant to Rule 2:2 — 1(a)(2) makes a discussion of the law-of-the-case doctrine unnecessary to our decision. If the two dissents, however, raised different issues, the doctrine would be inapplicable and the scope of the issues that could be raised in an appeal of right would be framed by the two dissents.
Ill
First, we must decide whether the Appellate Division in the interlocutory appeal erred when it overturned the trial court’s ruling that the other-crime evidence was inadmissible. If the Appellate Division erred, we must then decide whether the error was harmless which in turn requires us to determine whether the trial court was compelled by Evidence Rule 4 to exclude the evidence in the first instance.
-A-
At the time of defendant’s trial, the admissibility of other-crime evidence was controlled by Evidence Rule 55. Currently, the *482admissibility of other-crime evidence is governed by N.J.R.E. 404(b). Evidence Rule 55 stated:
Subject to Rule 47, evidence that a person committed a crime or civil wrong on a specified occasion, is inadmissible to prove his disposition to, commit crime or civil wrong as the basis for an inference that he committed a crime or civil wrong on another specified occasion but, subject to Rule 48, such evidence is admissible to prove some other fact in issue including motive, intent, plan, knowledge, identity, or absence of mistake or accident.
[Evid. R. 55.]
Evidence Rule 55 makes clear that other-crime evidence is only admissible if relevant to prove some other fact genuinely in issue. State v. Oliver, 133 N.J. 141, 151, 627 A.2d 144 (1993); State v. Stevens, 115 N.J. 289, 300, 558 A.2d 833 (1989). Where the other-crime evidence tends to make the existence of a material fact reasonably likely, it is admissible subject to the “probativeness/prejudiee” balancing under Evidence Rule 4, now N.J.R.E. 403.
In addition to being relevant to an issue genuinely in dispute, the other-crime evidence must “be necessary for [the disputed issue’s] proof.” Stevens, supra, 115 N.J. at 301, 558 A.2d 833. Because of its damaging nature, in determining the probative worth of other-crime evidence, “a court should consider ... whether its proffered use in the case can adequately be served by other evidence.” Id. at 303, 558 A.2d 833; see also Oliver, supra, 133 N.J. at 151, 627 A.2d 144 (stating that “[a]n important factor in weighing the probative value of other-crime evidence is whether other, less-inflammatory evidence can prove the same fact in issue”).
Once it is determined that the other-crime evidence is material to a fact genuinely in issue and that the other-crime evidence is necessary, “the probative value of the proffered evidence [must] be carefully balanced against the danger that it will create undue prejudice against the defendant.” Stevens, supra, 115 N.J. at 302, 558 A.2d 833. Where the probative value is outweighed by prejudice to the defendant, then it is inadmissible. Evid. R. 4 (currently N.J.R.E. 403). Consequently, the primary *483focus of Evidence Rule 55, when examined in conjunction with Evidence Rule 4, is to view it as a rule of exclusion rather than a rule of inclusion. State v. Cofield, 127 N.J. 328, 337-38, 605 A.2d 230 (1992).
After many years of decisional law determining when other-crime evidence is admissible, a four-part test has been distilled. That test is designed to “avoid the over-use of extrinsic evidence of other crimes or wrongs.” Id. at 338, 605 A.2d 230. That rule is as follows:
1. The evidence of the other crime must be admissible as relevant to a material issue;
2. It must be similar in kind and reasonably close in time to the offense charged;
3. The evidence of the other crime must be clear and convincing; and
4. The probative value of the evidence must not be outweighed by its apparent prejudice.
[Ibid, (quoting Abraham P. Ordover, Balancing the Presumptions Of Guilt and Innocence: Rules 404(b), 608(b), And 609(a), 38 Emory L.J. 135, 160 (1989)).]
Determinations on the admissibility of other-crime evidence are left to the discretion of the trial court: “The trial court, because of its intimate knowledge of the case, is in the best position to engage in this balancing process. Its decisions are entitled to deference and are to be reviewed under an abuse of discretion standard.” State v. Ramseur, 106 N.J. 123, 266, 524 A.2d 188 (1987); see also State v. DiFrisco, 137 N.J. 434, 496, 645 A.2d 734 (1994) (noting that “[w]e accord trial judges broad discretion in applying the balancing test”), cert. denied, — U.S. — , 116 S.Ct. 949, 133 L.Ed.2d 873 (1996); State v. Atkins, 78 N.J. 454, 462, 396 A.2d 1122 (1979) (refusing to reverse admission of prior conviction where trial judge balanced probative value against potential for prejudice and noting that “particularly in view of his feel of the case, we do not find [that the trial judge’s] judgment constituted an abuse of the discretion vested in him”); State v. Sands, 76 N.J. 127, 144, 386 A.2d 378 (1978). Only where there is a “clear error of judgment” should the “trial court’s conclusion with respect to that balancing test” be disturbed. DiFrisco, supra, 137 N.J. at 496-97, 645 A.2d 734; see also State *484v. Koedatich, 112 N.J. 225, 313, 548 A.2d 939 (1988) (noting that “[a] trial court’s ruling will not be upset unless there has been an abuse of that discretion, i.e., there has been a clear error of judgment”), cert. denied, 488 U.S. 1017, 109 S.Ct. 813, 102 L. Ed.2d 803 (1989).
The primary focus in this case, both at the trial and appellate levels, is on the first and fourth prongs of the Cofield test: whether the other-crime evidence was relevant to a material issue in the case and whether the probative value of that evidence outweighed its prejudicial effect.
We agree with defendant that the Appellate Division erred when it overturned the trial court’s decision not to admit the other-crime evidence. The trial court made a discretionary determination to exclude the other-crime evidence under Evidence Rule 4. Its decision was entitled to deference absent a showing of an abuse of discretion, i.e., there has been a clear error of judgment. DiFrisco, supra, 137 N.J. at 496-97, 645 A.2d 734; Koedatich, supra, 112 N.J. at 313, 548 A.2d 939. Rather than reviewing the trial court’s determination under an abuse of discretion standard, Ramseur, supra, 106 N.J. at 266, 524 A.2d 188, the Appellate Division substituted its judgment for that of the trial court without a discussion of the deferential standard of review. It did not find that the trial court’s ruling “was so wide of the mark that a manifest denial of justice resulted.” State v. Kelly, 97 N.J. 178, 216, 478 A.2d 364 (1984).
-B-
Because the Appellate Division erred in reversing the trial court’s ruling, we must now determine whether the introduction of the other-crime evidence was harmless error.
The State argues that the evidence of defendant’s guilty plea was relevant because it tended to show intent and motive. The State argues that the fact defendant had pled guilty to sexual assault and was awaiting sentencing suggests a motive for killing *485the victim. It was the State’s theory that defendant killed the victim after sexually assaulting her in order to avoid an enhanced prison term on his pending sentencing for sexual assault and to avoid further prosecution for yet another sexual assault. The State further contends that the testimony of Guy Bishop stating that defendant told him that he was having consensual sex with the victim when she slapped him and that he responded by grabbing “her by the throat and before he realized it she wasn’t breathing,” raises a question for the jury’s determination of whether the homicide was purposeful or knowing murder, aggravated manslaughter, reckless manslaughter, passion-provocation manslaughter, or felony murder. The other-crime evidence, according to the State, assisted the jury in determining motive and intent in order to determine the degree of the homicide.
Furthermore, notwithstanding the fact that the defense at trial was a general denial of guilt, the testimony of Guy Bishop compelled the trial court to require the jury to consider whether the victim’s death occurred during consensual sexual intercourse and whether the killing was accidental or intentional. The charges against defendant included first and second-degree sexual assaults. “When a defendant claims that he penetrated with permission, he puts his own state of mind in issue: he argues that he reasonably believed that the alleged victim had affirmatively and freely given him permission to penetrate. The State, therefore, can introduce evidence to disprove that the defendant had that state of mind.” Oliver, supra, 133 N.J. at 155, 627 A.2d 144. Thus, defendant’s state of mind was a relevant issue respecting the sexual assaults and the death of F.C., and the other-crime evidence was probative of those issues notwithstanding the fact that the trial court’s jury instructions prohibited the jury from using the other-crime evidence with respect to the assaults.
The other-crime evidence was also relevant to defendant’s motive for the killing: to silence F.C. to prevent her from filing a sexual assault charge thereby causing a revocation of defendant’s bail status pending sentencing on the K.N. sexual assault. A *486second sexual assault charge would also enhance the possibility of a more severe sentence for the K.N. sexual assault. Viewed in that context, the other-crime evidence was offered to establish issues in the case such as motive and intent that were genuinely in dispute. The other-crime evidence was also necessary because the other evidence bearing on defendant’s state of mind, such as that presented by Bishop, had been severely attacked during cross-examination.
In the past, the Court has found other-crime evidence to be probative of intent and motive. In State v. Erazo, 126 N.J. 112, 594 A.2d 232 (1991), the State introduced evidence showing that the defendant had been convicted of murder to support its argument that the defendant had killed the victim to prevent her from causing a revocation of his parole. Erazo, supra, 126 N.J. at 130-31, 594 A.2d 232. The Court held that the other-crime evidence was properly admitted because it was “necessary to prove the State’s theory of defendant’s motive.” Id. at 131, 594 A.2d 232.
The Court reached the same conclusion in State v. Baldwin, 47 N.J. 379, 221 A.2d 199, cert. denied, 385 U.S. 980, 87 S.Ct. 527, 17 L. Ed.2d 442 (1966). There, the defendant was accused of killing a man who was to have been a prime witness against him in a prosecution for robbery. Baldwin, supra, 47 N.J. at 391, 221 A.2d 199. The State introduced statements made by the victim in which he indicated his intent to testify against the defendant. Ibid. The Court held that the evidence was properly admitted as evidence of motive. The Court stated:
Here the emphasis was not upon defendant’s guilt of [the robbery], but rather upon the prospect that [the witness-victim] would be the instrument of defendant’s conviction of it. To that end, it was proper to show [the witness-victim’s] intent to testify and that defendant knew it. Statements made by the deceased of his intent to be a witness for the State were directly probative of that state of mind..
[Ibid.]
Similarly, our courts have allowed the admission of other-crime evidence to establish intent. The most relevant cases are State v. Mulero, 51 N.J. 224, 238 A.2d 682 (1968), and State v. Cusick, 219 N.J.Super. 452, 530 A.2d 806 (App.Div.), certif. denied, 109 N.J. *48754, 532 A.2d 1118 (1987). In Mulero, the defendant was accused of beating to death the daughter of his paramour. Mulero, supra, 51 N.J. at 226-27, 238 A.2d 682. He admitted that he had struck the victim, but denied having killed her. Id. at 227-28, 238 A.2d 682. The paramour testified that the defendant had beaten her on previous occasions. Ibid. The Court held that admission of the testimony was proper because it was probative of the defendant’s intent with regard to his striking the victim.
The Appellate Division reached the same conclusion in Cusick, where the defendant was accused of sexually assaulting a child. Cusick, supra, 219 N.J.Super, at 454, 530 A.2d 806. The trial court permitted, over the defendant’s objection, testimony by the victim and another child concerning prior acts of sexual assault for which the defendant had been convicted in a separate proceeding. Id. at 464, 530 A.2d 806. The Appellate Division affirmed, finding that the evidence was admissible to show lack of mistake and intent. On the intent issue, the court noted:
Extremely probative of whether defendant’s acts were done for purposes of sexual arousement or gratification was the evidence that defendant had previously pleaded guilty to having sexually assaulted young girls. This fact supported the inference that defendant enjoyed or was stimulated by sexual acts with young girls and was therefore relevant to whether or not defendant was guilty of sexual contact,
[/d at 465-66, 530 A.2d 806.]
Two other jurisdictions have permitted the admission of other-crime evidence to show motive and intent in cases with fact patterns virtually identical to that of the instant case. Those are North Carolina v. Moseley, 338 N.C. 1, 449 S.E.2d 412 (1994), cert. denied, — U.S.— , 115 S.Ct. 1815, 131 L. Ed.2d 738 (1995), and Pennsylvania v. Billa, 521 Pa. 168, 555 A.2d 835 (1989).
■ In Moseley, the defendant was convicted and sentenced to death for the sexual assault and murder of Dorothy Johnson. Moseley, supra, 449 S.E. 2d at 421. The defendant had been seen talking and dancing with the victim at a nightclub on the day of her killing. Ibid. The victim’s naked body was found the next day in a rural area. Ibid. “She had been savagely beaten with a blunt force object, cut with a sharp object, sexually assaulted with a *488blunt instrument, raped, and manually and ligaturally strangled.” Ibid.
The trial court permitted the testimony of Denise Fletcher, whom the defendant had sexually assaulted two years earlier. Id. at 438. She testified that, on the day in question, the defendant picked her up in his vehicle and drove her to a secluded spot where the pair engaged in consensual kissing. Ibid. When the defendant started to fondle Fletcher, she told him to stop, but he instead brandished a gun, and ordered her to undress and to perform fellatio on him. Ibid. When she resisted, a struggle ensued, the gun discharged, and Fletcher was slightly wounded. Ibid. Although he told her that he “knew she would tell the authorities about him and that he would get in trouble,” he then drove her home. Ibid.
The North Carolina Supreme Court held that it was proper to admit evidence of assault on Fletcher during the Johnson murder trial. Id. at 438-39. Although noting the many dissimilarities between the two assaults, it found that the “evidence contained sufficient similarities to the crimes charged to support a reasonable inference that the same person committed both acts.” Id. at 439. In discussing the probative value of the evidence to show motive, the Court stated:
In the case sub judies, the testimony of Ms. Fletcher was properly offered to show defendant’s motive for killing Ms. Johnson: From his experience with Ms. Fletcher, defendant knew that his crime would be reported to law enforcement authorities and that he would suffer the consequences if he left his victim alive.
[Ibid.]
In Billa, the defendant was convicted of murdering Maria Rodriguez and sentenced to death. Billa, supra, 555 A.2d at 837. The victim was found in the basement of her house after she had been raped and stabbed eight times. Ibid. The State produced Florence Morales, who testified that two months prior to the murder, the defendant had taken her to a vacant lot against her will, tried to force her to perform oral sex on him, and then raped her. Id. at 838. She said that he then told her that “he could not let her go because she would go to the police,” and he then *489“strangled her until she lost consciousness.” Ibid. The defendant testified in his own defense, claiming that the stabbing had been accidental. Ibid. The Pennsylvania Supreme Court held that the testimony was properly admitted: “We agree with the Commonwealth that the evidence of the sexual assault on his prior victim was, under the circumstances, relevant and of significant evidentiary value to proving appellant’s motive, [which was to prevent her from reporting him to the police], intent and the absence of accident in the murder and other crimes against his second victim.” Id. at 841.
In Moseley and Billa, both courts accepted the argument that the State advances here — that the fact that a person had committed a sexual assault in the past is probative of his motive to kill his latest victim to prevent defendant from receiving an enhanced sentence. See Moseley, supra, 449 S.E.2d at 439; Billa, supra, 555 A.2d at 839. Further support for that proposition can be found in three other eases in which the respective court found the other-crime evidence to be admissible. Those are United States v. Menzer, 29 P.3d 1223 (7th Cir.), cert. denied, 513 U.S. 1002, 115 S.Ct. 515, 130 L. Ed.2d 422 (1994); New Mexico v. Clark, 108 N.M. 288, 772 P.2d 322, cert. denied, 493 U.S. 923, 110 S.Ct. 291, 107 L. Ed.2d 271 (1989); and California v. Heishman, 45 Cal.3d 147, 246 Cal.Rptr. 673, 753 P.2d 629, cert. denied, 488 U.S. 948, 109 S.Ct. 380, 102 L. Ed.2d 369 (1988).
We conclude that the other-crime evidence was material to prove motive and intent that were genuinely in dispute. Defendant could have been motivated to kill F.C. to prevent her from filing new charges against him, thereby causing a revocation of his bail status. A second sexual assault charge would also enhance his chances of receiving a greater sentence for the sexual assault on K.N. In addition, the other-crime evidence was relevant to refute defendant’s statement to Guy Bishop that he did not intend to kill F.C. Finally, there was no other evidence available to the State to establish motive and intent. Unlike some cases, the physical evidence revealed by the autopsy was less than conclusive *490with regard to defendant’s motive or intent for committing the homicide. Consequently, the first prong of the Cofield test was satisfied. However, that means that only the probative aspect of the probative-prejudicial balancing test has been satisfied so far.
-C-
Defendant claims that irrespective of the relevance and probative worth of the motive and intent evidence, it should have been excluded because of its prejudicial impact. The dissent agrees with that assertion.
This is a case in which reasonable minds can and did differ about the Rule 55 decision to admit other-crime evidence based on the probative-prejudicial balancing test. At least two judges in the Appellate Division and five members of this Court have disagreed with the trial court’s decision that the prejudicial effect of that evidence required exclusion.
Although this Court has imposed a high standard for the admission of other-crime evidence because of its potentiality to cause unfair prejudice, it has not excluded all other-crime evidence. A decision to admit such evidence should not be upset unless “the danger of undue prejudice ... outweigh[s] probative value so as to divert jurors from a reasonable and fair evaluation of the basic issue of guilt or innocence.” State v. Moore, 122 N.J. 420, 467, 585 A.2d 864 (1991); see also State v. Wilson, 135 N.J. 4, 20, 637 A.2d 1237 (1994) (noting that trial court’s discretion in this area is “broad”).
In Erazo, a capital case, this Court found that the introduction of evidence of a prior eleven-year-old homicide to establish motive and intent was not too prejudicial. Erazo, supra, 126 N.J. at 130, 594 A.2d 232.
In Cusick, the defendant was on trial for aggravated sexual assault and sexual assault upon an eight-year-old female. Cusick, supra, 219 N.J.Super. at 454, 530 A.2d 806. Other-crime evidence from three six-year-old female children that defendant had sexual*491ly assaulted them was admitted to establish motive, intent, and the absence of mistake. Id. at 464, 530 A.2d 806. The court found that the probative value of the evidence outweighed its prejudicial effect. Id. at 464-65, 530 A.2d 806.
The other-crime evidence in this case consisted of testimony that defendant pled guilty to sexual assault upon K.N., that he was released from jail the day before F.C.’s murder, and that he was waiting to be sentenced on the K.N. sexual assault at the time of F.C.’s murder. Neither the details of K.N.’s sexual assault, nor any victim impact statements, were placed before the jury except for the fact that the jury was informed that the K.N. offense predated the F.C. murder by five months. Whether the probative worth of such evidence was outweighed by its prejudicial effect on defendant must be pragmatically evaluated in the context in which that evidence was offered. Stevens, supra, 115 N.J. at 303, 558 A.2d 833.
The temporal remoteness of other-crime evidence affects both its probative worth and prejudicial effect on a defendant. In the present case, the fact that defendant was waiting to be sentenced on the five-month-old sexual assault satisfied the second prong of the Cofield test: that the other-crime evidence must be “similar in kind and reasonably close in time to the offense charged.” Cofield, supra, 127 N.J. at 338, 605 A.2d 230. In addition, because the assault on K.N. and defendant’s guilty plea were so recent, he had not been sentenced for that sexual assault. Consequently, his criminal conduct before that sentencing had substantial probative worth because it could have an impact on the severity of the sentence within the range of sentencing discretion permitted by the plea agreement. Given the obligation imposed upon the State to prove defendant’s state of mind, the other-crime evidence was “inextricably entwined with the material facts.” State v. West, 29 N.J. 327, 335, 149 A.2d 217 (1959). Indeed, this Court has recognized that “evidence as to motive [of a criminal defendant] is admissible even though it may be prejudicial in the sense that it *492will arouse or inflame the jury against the defendant.” State v. Carter, 91 N.J. 86, 106, 449 A.2d 1280 (1982).
Many times the delicate balancing of the probative worth of other-crime evidence against its prejudicial impact can be tipped in favor of exclusion based on anticipated misuse of that evidence by a prosecutor during summation. In this case, rather than arguing propensity to the jury, the prosecutor argued that the defendant’s motive for killing F.C. was to silence her.
If he didn’t silence her, he was going to be put in jail right away and he was going to get more time. He had just pled guilty to a sexual assault, a rape ... on August 25,1988. He had been released ... on his own recognizance ... [and] if he had let her live, she would go to the police and what that would mean is that he would go back in jail, and he would get more time than what he had been told [at the plea hearing] he would get ... [because of the] second sexual assault.
Our pragmatic evaluation of the other-crime evidence in the context in which it was offered leads us to conclude that the probative value of that evidence outweighed any prejudicial effect on defendant. That conclusion is strengthened by the fact that the trial court instructed the jury not to consider the other-crime evidence for any purpose until after the jury had concluded from other evidence that defendant perpetrated the homicide.
-D-
We are also satisfied that the admission of other-crime evidence over the trial court’s discretionary decision to exclude it was harmless error. Although a trial court’s ruling concerning Rule 55 evidence is entitled to deference, that ruling does not preclude appellate review. The Appellate Division in the interlocutory appeal found that the trial court had abused its discretion in excluding the other-crime evidence. This Court has made a similar determination in the past. In State v. Balthrop, 92 N.J. 542, 546, 457 A.2d 1152 (1983), based on its appraisal of the record, the Court held that the trial court had “mistakenly exercised its discretion in excluding the [other-crime] evidence.” Ibid. Under the harmless error analysis, any prejudice to defendant was not such that created a real possibility that the jury arrived at a result *493it otherwise might not have reached. State v. Macon, 57 N.J. 325, 336, 273 A.2d 1 (1971). Unlike the dissent, we have no reasonable doubt whether the other-crime evidence diverted jurors from a reasonable and fair evaluation of defendant’s guilt or innocence. Moore, supra, 122 N.J. at 467, 585 A.2d 864.
IV
The final issue to be decided is whether the trial court’s jury instructions limiting the use of the other-crime evidence were adequate.
The jury was instructed as follows:
Evidence also can be admitted for limited purposes, ladies and gentleman. In other words, it can be admitted as evidence tending to prove certain facts in issue but for no other facts, and we have evidence like that in this particular case, I want to deal with it at this point.
You’ll recall, ladies and gentlemen, that there was some testimony presented to you that indicated that at the time this offense is alleged to have happened, the defendant was awaiting sentence after a plea of guilty on a charge of sexual assault. Now, that testimony and that evidence could only be used by you for a limited purpose, and I will explain that to you. It cannot be used on any of the charges that have been presented by the State with the exception of the homicide charge. And with reference and that means that it can’t be considered by you in connection with any of those other charges. In addition to that, your consideration of that evidence in reference to the homicide charge, the Court is instructing you is to be used on a limited basis and that is as follows:
It cannot be used by you even on the homicide charge for any purpose unless and until you have found independently from all of the other evidence in the case beyond a reasonable doubt that the defendant was, in fact, the perpetrator of the homicide that’s alleged by the State. In other words, you can use that evidence for no purpose until such time as you have determined from all of the other evidence, if you do so determine that the defendant is, in fact the one who caused the death of [F.C.]. If, in fact, you have determined that beyond a reasonable doubt, then you may consider the evidence that was presented with reference to the defendant’s plea and his awaiting sentence on sexual assault on the issue of the defendant’s motive and his intent in committing the homicide in order to determine the type and degree of the homicide.
So that, ladies and gentlemen, my instructions to you are that you may not use that evidence in your considerations for any purpose in connection with your considerations of the charges of kidnapping or aggravated sexual assault and that you may only use that evidence after your consideration of all of the other evidence and your determination based upon that other evidence that the State has proven beyond a reasonable doubt, that the defendant is the one who caused the death of *494[the victim]. At that point, you may then use that evidence to determine the motive or intent of the defendant if it helps you to do so.
Interestingly, the same defense attorney who represented defendant throughout the trial and participated in both the State’s application to admit the other-crime evidence and the interlocutory appeal, did not object to the jury charge. The same attorney represented defendant in his direct appeal to the Appellate Division where no claim was made that the jury charge was inadequate. Nor did either of the dissents raise the issue of the adequacy of the jury instructions. The issue is raised for the first time before this Court. Because defendant’s appeal is before the Court based on the two dissents, the issues are limited to those framed by the dissent. R. 2:2 — 1(a)(2). Technically, the issue of the adequacy of the limiting instruction is not before us. However, because we have found that the Appellate Division made a harmless error when it reversed the trial court’s decision not to admit the other-crime evidence, we are constrained to consider the adequacy of the limiting instruction as part of our harmless error analysis.
Defendant contends that the instruction was flawed in three respects: (1) it failed to explain the “abstract issues [of intent and motive] in context or illustrate[ ] to the jury how it could apply the other crime evidence to those issues for which the evidence had been admitted”; (2) it failed to “relate the limited instruction to the subsequent instructions respecting the types and degrees of homicide”; and (3) it failed to “inform the jurors that they were not to use the evidence of prior sexual assault to determine that defendant was a bad person, or to determine that he had been disposed to commit the crimes charged in the indictment.” We will examine those contentions under the plain-error rule. Rule 2:10-2 provides that any error not “clearly capable of producing ■ an unjust result” shall be disregarded. Under that standard the issue becomes whether the instruction created a possibility of injustice, defined to mean “one sufficient to raise a reasonable doubt as to whether the error led the jury to a result it otherwise might not have reached.” Macon, supra, 57 N.J. at 336, 273 A.2d
*4951. We conclude that the jury instructions, considered as a whole, do not rise to the level of being “clearly capable of producing an unjust result.” R. 2:10-2.
When other-crime evidence is admitted, “the court must instruct the jury on the limited use of the evidence.” Cofield, supra, 127 N.J. at 340-41, 605 A.2d 230; see also Stevens, supra, 115 N.J. at 304, 558 A.2d 833. Because of the inherently prejudicial nature of other-crime evidence, the court’s instruction “ ‘should be formulated carefully to explain precisely the permitted and prohibited purposes of the evidence, with sufficient reference to the factual context of the case to enable the jury to comprehend and appreciate the fine distinction to which it is required to adhere.’ ” Cofield, supra, 127 N.J. at 341, 605 A.2d 230 (quoting Stevens, supra, 115 N.J. at 304, 558 A.2d 833).
This case falls between the sufficient instruction in Cusick, supra, 219 N.J.Super. at 466, 530 A.2d 806, and the deficient instruction in Oliver, supra, 133 N.J. at 157, 627 A.2d 144. Here, the trial court did not merely state that the evidence could be used in connection with the issues of intent, motive, or absence of an accidental killing. Rather, the trial court explained to the jury how the other-crime evidence could not be used and how it could be used, as required by Oliver and Stevens. The trial court told the jury that it was not to consider the other-crime evidence until it had found independently from the other evidence that defendant committed the homicide. The trial court then explained, “[a]t that point, you may then use that evidence to determine the motive or intent of the defendant” in committing the homicide in order to determine the type and degree of the homicide. The court told the jury that the other-crime evidence could not be used for any other purpose, including “kidnapping or aggravated sexual assault.”
Unlike the instructions in Oliver and Stevens, the trial court did not specifically tell the jury that it could not use the other-crime evidence to conclude that defendant was a bad person or that he had the propensity to be a rapist. This omission is clearly in *496contradiction to this Court’s conclusion that the anti-propensity instruction is an essential point to be made in the limiting instruction. Stevens, supra, 115 N.J. at 309, 558 A.2d 833.
Nonetheless, the trial court’s instruction not to use the other-crime evidence for any other purpose except for motive and intent on the homicide charge implicitly told the jury not to use the other-crime evidence for propensity. The evidence could not be used before the jury found defendant guilty of the homicide beyond a reasonable doubt based on evidence independent of the other-crime evidence even though the evidence was admitted to show motive and intent.
In addition, the evidence of guilt, independent of the other-crime evidence, was nearly overwhelming. Defendant was seen leaving the party with F.C. and later seen with her at a bar. Defendant admitted to his Mend, Guy Bishop, who also was an inmate at the time defendant was in jail, that he had sex with F.C. and that he killed her. An FBI Special Agent concluded that the tires on the pickup truck defendant drove that evening created a “similar” groove pattern to those at the murder scene. The same type of vegetation that was growing near where the body was discovered was found protruding from the undercarriage of the truck. Wood that was in the bed of the truck was found to be very similar to the wood in the victim’s throat. Defendant was determined to be a possible source of the semen found on the victim’s sweater.
On the one hand, courts are generally reluctant “to reverse on the grounds of plain error when no objection to a charge has been made.” State v. Weeks, 107 N.J. 396, 410, 526 A.2d 1077 (1987). On the other hand, “ ‘incorrect instructions of law are poor candidates for rehabilitation under the harmless error theory.’ ” State v. Wilson, 128 N.J. 233, 241, 607 A.2d 1289 (1992) (quoting Weeks, supra, 107 N.J. at 410, 526 A.2d 1077). Here, however, the problem is an incomplete instruction rather than an affirmative misstatement of the law.
*497In State v. Hunt, 115 N.J. 330, 558 A.2d 1259 (1989), this Court found that the failure to give a limiting instruction on the proper use of other-crime evidence was harmless error. Hunt, supra, 115 N.J. at 363-64, 558 A.2d 1259. More recently, this Court concluded that after conducting a fact-specific inquiry “to determine whether prejudice has resulted from the failure to give a sufficiently limiting instruction governing the use of other-crime evidence,” State v. G.S., 145 N.J. 460, 473, 678 A.2d 1092 (1996), a court may conclude that an inadequate limiting instruction did not “tip[ ] the jury’s deliberations in favor of a non-guilty verdict.” Id. at 476, 678 A.2d 1092. The strength of the evidence against a defendant, independent of the other-crime evidence, is a factor to be considered in determining prejudice to a defendant. Id. at 475, 678 A.2d 1092.
Our fact-specific inquiry in the present case, and consideration of the near overwhelming evidence of guilt independent of the other-crime evidence, convince us that the failure of the trial court to give a sufficiently limiting instruction governing the use of the other-crime evidence was not “clearly capable of producing an unjust result.” Cofield, supra, 127 N.J. at 341, 605 A.2d 230. It did not tip the scales in the jury’s deliberations.
Accordingly, the judgment of the Appellate Division is affirmed.