dissenting.
What the majority fails to recognize, and the State fails to adequately address, the defendant forcefully asserts. The issue here is whether a defendant should be subject to a felony conviction before the harsh reality of such a conviction is brought to bear. The only way the threat of an enhanced penalty can deter conduct is if the prospective defendant is provided the time to alter his conduct. Here, Craig was placed in jeopardy of receiving an enhanced sentence for his third violation before he ever had a chance to change his ways after his second conviction.
When I combine the common sense policy considerations for enhancing the penalty for DUI to a felony with the shameful showing made by the State in this case, I am forced to disagree with the majority. The State’s opening brief scatterguns in four different and inconsistent directions. First the State’s brief sees no mandatory force in the rules promulgated by the Supreme Court:
Idaho Code § 18-8005 does not require that a defendant in a DUI case be informed of the consequences of future violations. Rather, this notification requirement is provided for by a court rule. There is nothing in the body of the criminal law that requires notification to a defendant of the potential penalty to be imposed upon conviction of a criminal offense. The fact that the state supreme court, by rule, has imposed such a duty upon the lower courts does not give rise to a due process violation if such mle-made procedure is not followed.
Appellant’s Brief, 9 (emphasis added).
Second, while conceding that the State had failed to provide the district court with documentation establishing compliance with M.C.R. 9.1, the State argues that under the rule, the court erred in not presuming compliance:
Admittedly, these documents were not provided to the district court before it issued its May 2, 1989, memorandum decision granting Craig’s motion to dismiss. But, based upon Rule 9.1, M.C.R., the district court should have presumed that Craig had been fully advised of his rights and penalties. Rule 9.1 provides that the court must, at or before sentencing, provide a written notice to the defendant as to the penalties that may be imposed for subsequent violations. The rule then sets forth the recommended form to be used. This form, which is to be used in the case of all DUI’s, whether it is the first, second, third, or subsequent offense, explains the enhanced penalties for both the second and the third violations within a five year period. There is a presumption of regularity in all that a court does.
Appellant’s Brief, 6 (emphasis added).
Third, the State, in apparent reliance on the divine right of sovereigns, takes for *986granted it can introduce new evidence on a motion for reconsideration:2
Prior to the district court issuing its May 2, 1989, memorandum decision, other than for the presumption of regularity afforded to the actions of a court, there was no evidence as to whether or not Craig had been notified of penalties for subsequent violations. But, at the time of the May 15, 1989, hearing on the state’s motion for reconsideration, the state provided documentation showing very clearly that on three different occasions Craig had been clearly notified that a third DUI offense within five years is a felony. (Appendices K, L, & M.) Thus, the district court clearly erred in its conclusion that Craig had not been ‘fully advised of his rights and penalties.’ (R., p. 53.)
Appellant's Brief, 7.
A fourth tenet of the State’s brief advances the proposition that neither the district court nor this Court can properly concern itself relative to the requirement of forewarning a charged defendant:
The state submits that determining whether ‘the defendant was specifically informed at his'October 12, 1988, sentencing that the offense which occurred on September 26, 1988, might result in a felony charge after such sentencing’ (R., p. 53, emphasis added) is not an issue proper for this court on appeal or for any court at any time. A sentencing court does not owe a DUI defendant the duty to determine whether he has another pending DUI and inform him as to the possible effect of his present guilty plea on the pending DUI. Rather, complying with the general notice provisions of Rule 9.1, I.M.R. [sic M.C.R], complies with the defendant’s rights.
Appellant’s Brief, 7-8 (emphasis in original).
Confronted as we are with internal inconsistencies in the State’s brief, this Court should be hesitant to place much reliance on the State’s argument. Should we rescind Rule 9.1 because it need not be followed according to the State, or observe instead that the State relies on the rule? Should we recognize that the State claims the benefit of a presumption arising from the rule? Or, should we ignore the State's protestations, and direct our attention to the actions of a highly respected district judge? I would choose the latter. The memorandum decision is succinct, enough to allow for repetition:
1. It appears that Idaho Code 18-8005(3) necessarily contemplates that a defendant must be found guilty or must plead guilty on two occasions prior to the commission of a third D.U.I.
2. This is necessarily so in light of the rights and penalties which are discussed with a defendant when he pleads guilty to a second D.U.I. When a defendant pleads to the second D.U.I., he must be informed that a third offense will result in a felony charge. It does not appear that the defendant was specifically informed at this October 12, 1988, sentencing that the offense which occurred on September 27, 1988, might result in a felony charge after such sentencing. Therefore, the State cannot, by way of amended information after the October 12, 1988,' sentencing, elevate the September offense to a felony. To hold otherwise would result in the defendant not being fully advised of his rights and penalties.
Defendant’s Motion to Dismiss is hereby GRANTED and counsel for defendant is directed to prepare an Order consistent with this decision.
Appellant’s Brief, Appendix A — Memorandum Decision.3
*987The district court correctly noted in paragraph 1 that two prior convictions, either through a finding of guilt or a plea of guilty, are a prerequisite to subjecting a defendant to the provisions of I.C. § 18-8005(3). Where the defendant elects to enter a guilty plea, the rules of the court also require that the presiding judge ascertain for himself that a plea of guilty is made both knowingly and intelligently.
The district court made a specific finding that at the defendant’s court appearance on October 12, 1988, when sentence was imposed, that the sentence being then and there imposed on October 12, 1988, might thereafter result in a felony sentence when and if another DUI charge came up for disposition. The district court was correct in its holding that the offense which occurred on September 26, 1988, was the only charge pending, and could not under the circumstances be elevated at the State’s opinion to a felony charge triable in district court. Dismissal was not improper, but that did not preclude the State’s pursuit of a conviction on the alleged offense of September 26, 1988.
A DUI conviction sometimes leads defendants to reconsider their actions and seek professional help. The State will sometimes require defendants to seek out professional help. Today’s decision closes the door on some of those defendants who would perhaps benefit the most from another chance.
APPENDIX A
A portion of defendant’s memorandum in support of his motion to dismiss filed in the district court:
The Information filed against the Defendant contains two parts: Part 1 of the Information sets forth the underlying offense, which occurred on September 26, 1988. In part 2, as the foundational predicate for the enhanced charge of felony DUI, the State charges and alleges that the Defendant was convicted of a DUI on January 23,1985, and on October 12, 1988, approximately three weeks after he was cited for the current charge. The important aspect of this case is that the Defendant was originally charged on September 27, 1988, with a first offense DUI in the Idaho Uniform Citation. After the Defendant entered his plea of guilty to the second offense DUI in Blaine County Case No. 6093, the State elected to amend the Complaint on November 16, 1988, and charged the Defendant with a felony DUI.
The general rule provides that a person may be punished as a recidivist only when shown to have been previously convicted of one or more crimes defined by statute. It is therefore generally essential that the alleged conviction must precede the date of the offense for which the increased punishment is sought to be imposed. 39 Am.Jur.2d Habitual Criminal Section 6. See also, 24 A.L.R. 2d 1247 Annotated: ‘Habitual Criminal Statutes,’ finding that the majority rule holds that it is a prerequisite that the prior conviction or convictions precede the commission of the principal offense in order to enhance the punishment under habitual criminal statutes____ See also, State v. Carlson, 560 P.2d 26 (1977, Alaska), holding that each prior offense and conviction must follow in sequence in order to accumulate under habitual criminal statute. [State v. Carlson has been superceded by statute. See Linn v. State, 658 P.2d 150 (Alaska Ct.App.1983); and State v. Rastopsoff, 659 P.2d 630 (Alaska Ct.App.1983).]
The case of State v. Felton, 194 Kan. 501, 399 P.2d 817, involved a similar situation with the present case regarding the timing of offenses and the application of a habitual criminal act. The important dates in Felton are as follows: The Defendant was convicted on March 23, 1956, of the crime of First Degree Robbery which in the Information was alleged to have occurred on November 17, 1954. At the sentencing hearing, the Court received evidence of an authenticated copy of a prior conviction which occurred on December 14, 1954, approximately one month after the date on which the Defendant was charged with *988having committed the underlying offense. The issue on appeal was whether it was erroneous for the Court to apply the habitual criminal act where the prior conviction had been obtained after the commission of the offense resulting in the second conviction. After reviewing the case authority and the annotation referred to above, 24 A.L.R.2d 1247 Annotated: ‘Habitual Criminal Statutes,’ the Kansas Supreme Court held as follows:
[T]he great weight of authority, as well as the better reasoned cases, hold it is a prerequisite that the prior conviction or convictions precede the commission of the principal offense in order to enhance the punishment under the habitual criminal statutes. 399 P.2d [at] 822.
These holdings are consistent with the policy reasons and rationale for the recidivist statutes and the same rationale and policy applies to the Idaho DUI providing for enhanced penalties for subsequent convictions. In the Linam case, [State v. Linam, [93 N.M. 307], 600 P.2d 253 (N.M.1979) ] the rationale and policy was stated by the Court as follows:
The historical reason is that the intent of such statutes is to provide an increased penalty in order to deter commission of a subsequent offense, and that an increase in penalty would not deter one who had not yet been convicted and punished for an earlier offense. It is the opportunity to reform under threat of more severe penalty which serves to deter. 600 P.2d [at] 255.
In State v. Felton, 399 P.2d 817, the Court aptly stated the rationale: ‘... and it is a salutary provision of law that criminals who the law’s discipline has hitherto failed to reform by prior convictions and punishment should form a class to be more severely punished than first offenders.’
In this case, the same rationale and policy reasons apply to Mr. Craig. He is currently serving a one-year sentence on the offense which the State alleged in part 2(b) of the Information, where he was convicted one month after the commission of the underlying offense. The sentence in that case in no way could deter the commission of the offense which occurred in this case on September 26, 1988. The increased penalty statutes were unable to deter his conduct and Mr. Craig should be given an opportunity to reform his behavior, now knowing the threat of a more severe penalty for subsequent convictions.
R. 42-46.
. After the court had ruled, on May 3, 1989, the State filed three motions: (1) A motion to reconsider; (2) A motion to augment the record with evidence which was not newly discovered; and (3) A motion to amend the information. The State tendered no reasons, grounds, excuses, or explanations which could entitle it to belatedly make up a record differing from the one before the court when it ruled on May 2, 1989.
. To give the interested readers a more complete perspective of what this case involves, pertinent parts of Craig’s brief are attached as Appendix A.